Charles & Colvard Financial Ratios for Analysis 2009-2024 | CTHR

Fifteen years of historical annual and quarterly financial ratios and margins for Charles & Colvard (CTHR).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
3.485.276.363.695.93-3.704.494.475.596.2310.7010.8115.6120.18
---0.02-----------
---0.02-----------
15.8146.9846.9627.3746.19-42.7730.0626.2729.7548.7555.5859.3961.9655.60
-46.676.6714.04-21.647.03--2.25-13.50-19.71-35.27-5.551.168.109.79-43.04
-46.676.6714.04-21.647.03--2.25-13.50-19.71-35.27-5.551.168.109.79-43.04
-44.497.7815.48-19.968.52--0.69-11.59-16.76-30.95-2.503.8910.0010.97-41.01
-45.686.7116.51-21.117.05--1.58-13.50-19.75-35.28-5.481.468.6310.43-42.59
-65.395.5132.65-21.117.06--1.68-15.52-37.26-51.08-4.5319.509.7812.27-43.52
0.610.620.600.600.63-0.660.720.580.500.460.370.300.250.17
3.372.071.822.851.46-1.382.091.761.351.121.180.950.771.10
78.7919.4023.6143.5216.43-8.0010.446.674.652.782.762.643.347.97
4.6318.8115.468.3922.22-45.6034.9754.7378.4413113213810945.81
-49.233.9923.00-14.874.92--1.30-11.33-13.25-28.46-2.257.733.073.19-7.76
-49.614.0023.09-14.934.93--1.30-11.34-13.28-28.60-2.267.783.093.21-7.80
-40.063.4319.73-12.604.44--1.10-9.76-11.53-25.47-2.077.312.923.06-7.49
-49.233.9923.00-14.604.92--1.30-11.33-13.25-28.46-2.257.733.073.19-7.76
13.0319.3718.6214.3116.49-16.1516.3218.1822.5828.4328.8026.2425.3024.53
-1.280.182.140.090.410.00-1.211.060.771.00-4.681.391.750.761.03
-1.68-0.302.00-0.070.25--1.340.850.570.73-5.080.961.050.640.99

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.472.843.033.485.004.694.715.276.384.855.866.365.845.575.053.693.444.104.565.933.513.333.29-4.04-3.404.194.11-5.076.077.83-4.974.985.05-7.405.405.25-4.798.579.65-14.7516.6110.10-10.7311.1315.42-13.4811.9311.15-15.1113.1611.76
------------0.010.010.010.02---------------------------------------------
0.02-----------0.020.020.020.02---------------------------------------------
22.5436.1239.26-89.8132.3541.4344.5940.9045.6948.8651.2044.9746.0249.2247.0640.84-41.3048.1149.0544.2447.4847.2745.20-39.14-43.89-42.95-38.21-19.57-34.33-36.88-27.71-39.63-44.52-55.70-58.77-51.47-71.66-55.38-63.71-62.89-57.26-55.73
-70.28-37.16-53.13-167.81-32.70-11.90-16.730.624.2610.559.2311.0411.0120.7511.03-23.44-95.427.172.012.0810.0911.781.74--8.48--2.74100.00-9.66--21.95100.00-6.53--11.45100.00-9.09--67.71100.00-19.22--16.43100.008.02-2.19100.00-17.16--5.33100.00-7.72-8.85100.005.00--26.05100.00-51.00
-70.28-37.16-53.13-167.81-32.70-11.90-16.730.624.2610.559.2311.0411.0120.7511.03-23.44-95.427.172.012.0810.0911.781.74--8.48--2.74--9.66--21.95--6.53--11.45--9.09--67.71--19.22--16.43-8.02-2.19--17.16--5.33--7.72-8.85-5.00--26.05--51.00
-------------------------------------------------------------
-69.04-36.25-51.27-165.50-31.66-11.32-16.180.804.2810.559.2421.0510.9920.7411.04-23.20-94.827.592.802.2110.0911.781.74--8.48--2.74-6.00-9.66--21.95-15.01-6.54--11.45-46.85-9.09--67.72-26.03-19.29--16.36-13.088.12-2.5010.98-16.60--4.62-3.01-7.21-9.7710.645.90--25.74-92.52-50.59
-69.04-36.25-51.27-166.29-126.41-10.05-12.070.443.478.498.0486.1710.9820.7411.03-23.21-94.837.642.722.1310.3011.731.67--8.55--2.81-6.06-9.91--22.20-15.14-11.48--38.55-65.46-23.94--67.79-78.99-17.53--17.65-7.554.71-2.4410.85-9.00-3.79-3.45-7.94-17.0510.1010.46--26.54-93.87-51.68
0.130.180.110.110.120.150.110.130.140.200.150.150.160.240.160.090.130.190.140.150.190.240.17-0.17-0.150.170.14-0.130.160.27-0.110.130.14-0.090.140.10-0.110.110.11-0.090.090.08-0.060.060.06-0.060.070.06-0.040.020.04
0.390.510.361.410.570.460.340.500.390.560.420.470.400.510.470.351.730.520.330.360.360.470.34-0.38-0.310.380.34-0.320.380.88-0.260.450.32-0.210.430.30-0.330.380.34-0.300.240.28-0.150.270.22-0.170.200.25-0.310.200.15
9.295.1711.1914.647.114.974.734.196.233.773.855.854.413.974.886.613.943.453.803.885.543.413.16-2.67-2.383.332.53-2.682.934.32-1.781.391.37-0.821.000.69-0.760.830.87-0.850.930.70-0.830.720.74-0.891.281.63-2.343.630.88
9.6917.408.046.1512.6518.1219.0221.4814.4523.8723.3915.3820.3922.6718.4613.6222.8326.0723.6723.2216.2626.3828.47-33.75-37.8727.0035.62-33.6030.7320.85-50.4664.9565.74-11089.71131-119109103-10696.71128-108126122-10170.5855.12-38.5424.82103
-11.75-8.31-6.81-23.26-17.14-1.82-1.530.070.571.991.4515.052.205.582.06-2.48-14.581.680.440.322.243.390.32--1.68--0.49-1.18-1.63--3.20-2.68-2.00--1.48-7.03-1.43--6.32--1.87--2.14-0.54-0.24--0.74-0.22--0.48-1.06-0.63--1.16--2.53
-11.88-8.39-6.87-23.44-17.25-1.83-1.530.070.572.001.4515.112.215.602.07-2.49-14.631.680.440.322.253.400.32--1.68--0.49-1.18-1.63--3.20-2.68-2.00--1.48-7.06-1.44--6.36--1.88--2.15-0.54-0.24--0.74-0.23--0.49-1.07-0.64--1.17--2.55
-8.87-6.45-5.45-18.93-14.89-1.56-1.320.060.491.671.2412.911.814.891.82-2.10-12.711.450.380.291.922.870.28--1.44--0.41-1.02-1.40--2.78-2.35-1.79--1.29-6.14-1.26--5.79--1.72--1.92-0.50-0.23--0.70-0.22--0.46-1.02-0.61--1.07--2.32
-11.75-8.31-6.81-23.26-17.14-1.82-1.530.070.571.991.4515.052.185.532.03-2.44-14.581.680.440.322.243.390.32--1.68--0.49-1.18-1.63--3.20-2.68-2.00--1.48-7.03-1.43--6.32--1.87--2.14-0.54-0.24--0.74-0.22--0.48-1.06-0.63--1.16--2.53
10.1911.3712.2213.0316.0518.7919.2219.3719.3419.1918.8118.6215.7915.5214.6414.3114.5716.7416.2416.4916.7116.3715.74-15.98-15.7715.7715.88-16.7017.0817.40-18.8419.5321.78-23.7725.0428.09-28.1628.5929.07-26.6226.4326.15-25.1725.0225.28-25.0324.7424.65-25.9326.1427.50
-2.00-1.30-0.88-1.28-1.26-1.01-1.210.180.350.04-0.692.141.530.82-0.220.09-0.55-0.08-0.420.410.75-0.02-0.450.00-0.780.00-0.54-0.43-0.280.002.122.662.880.000.810.630.640.000.570.89-0.030.00-2.56-1.170.430.001.050.710.200.000.930.710.250.000.440.330.250.000.720.840.13
-2.23-1.46-0.95-1.68-1.55-1.21-1.35-0.30-0.05-0.21-0.822.001.420.74-0.26-0.07-0.69-0.19-0.460.250.60-0.15-0.53--0.84--0.55-0.54-0.38-1.922.612.86-0.720.560.59-0.070.42-0.04--2.90-1.270.39-0.680.470.02-0.490.410.11-0.390.290.23-0.710.840.13