DallasNews Financial Ratios for Analysis 2009-2024 | DALN

Fifteen years of historical annual and quarterly financial ratios and margins for DallasNews (DALN).

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
1.542.112.742.802.372.762.973.283.172.043.102.221.811.291.61
---------------
---------------
93.7192.6893.6093.4190.9789.1190.5290.1688.6588.0887.3887.8787.6588.6288.23
-5.78-5.97-6.45-10.095.20-13.26-3.05-9.13-6.72-2.820.441.471.45-28.33-22.82
-5.78-5.97-6.45-10.095.20-13.26-3.05-9.13-6.72-2.820.441.471.45-28.33-22.82
-4.69-4.17-3.81-5.3810.36-7.971.46-4.66-2.002.325.877.548.86-20.63-14.07
-4.76-6.13-1.70-5.557.47-11.341.57-8.25-7.2633.721.222.461.21-27.05-23.22
-5.09-6.50-0.30-4.455.06-12.474.09-7.43-6.5634.075.840.19-2.77-25.49-20.82
2.242.081.461.251.301.651.531.351.230.910.990.961.141.161.28
4.564.054.515.156.445.637.437.567.626.636.264.494.914.395.83
14.0810.749.649.329.959.179.308.938.647.938.567.167.808.588.23
25.9333.9837.8639.1836.6739.8039.2640.8742.2646.0242.6550.9546.7942.5444.35
-240.43-79.16-1.10-14.8116.09-49.6510.40-21.51-15.3168.251.145.00-0.29-62.16-33.55
-240.43-79.16-1.10-14.8316.18-49.9512.76-27.37-23.8885.341.337.51-0.45-81.15-40.02
-11.43-13.54-0.44-5.586.59-20.586.24-9.95-8.2128.790.691.75-0.10-29.58-26.68
-240.43-79.16-1.10-14.8116.09-49.6510.40-21.51-15.3168.251.145.00-0.29-62.16-33.55
0.552.317.958.6710.799.4017.9816.4522.1223.1430.9218.5722.5237.5561.97
-0.22-2.60-1.08-0.280.222.16-2.231.41-0.90-4.812.58-0.25-2.8211.675.90
-0.43-2.91-1.22-0.420.631.12-0.521.23-1.22-4.401.81-1.41-4.1011.513.77

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.091.421.511.541.651.801.922.112.092.652.742.742.582.622.692.802.752.892.302.372.452.602.822.762.982.902.882.972.773.262.973.283.303.083.353.172.993.163.012.043.372.892.563.102.072.021.562.221.671.681.851.811.621.771.781.291.891.781.671.611.331.010.98
---------------------------------------------------------------
-------------------------------------------------------------0.010.04
95.8295.9495.8794.4693.1093.4993.8092.3991.6193.3493.4093.3093.6393.8593.6494.7393.4493.5991.8991.8290.7891.4689.8189.1288.7389.3389.2690.6190.6790.5090.3189.7890.2590.3090.3089.5889.1488.2487.5288.4088.0088.2887.5988.9687.6087.5786.1186.9786.4485.9286.6792.1886.7186.8487.0785.8888.8589.7290.3190.6790.3087.1284.73
-13.221.77-5.65-7.30-4.68-3.39-7.83-4.96-6.08-6.06-6.83-1.62-6.73-7.79-10.06-9.82-6.40-12.36-11.82-5.16-16.2048.51-8.43-34.11-2.65-2.67-12.57-2.050.00-2.03-8.20-36.52-0.753.99-2.85-13.07-4.64-0.80-7.80-9.490.763.48-5.6610.38-0.252.02-6.334.752.87-0.03-4.0729.24-0.25-3.03-6.57-98.523.01-3.72-7.104.52-13.33-3.56-80.15
-13.221.77-5.65-7.30-4.68-3.39-7.83-4.96-6.08-6.06-6.83-1.62-6.73-7.79-10.06-9.82-6.40-12.36-11.82-5.16-16.2048.51-8.43-34.11-2.65-2.67-12.57-2.050.00-2.03-8.20-36.52-0.753.99-2.85-13.07-4.64-0.80-7.80-9.490.763.48-5.6610.38-0.252.02-6.334.752.87-0.03-4.0729.24-0.25-3.03-6.57-98.523.01-3.72-7.104.52-13.33-3.56-80.15
---------------------------------------------------------------
-11.503.77-3.68-6.30-3.69-2.34-6.80-5.45-6.33-5.99-6.784.88-1.97-3.62-6.64-4.37-0.85-8.60-8.45-2.92-13.5050.91-6.65-31.73-0.90-0.93-10.789.824.28-0.81-7.34-33.95-0.584.60-2.72-13.44-6.21-0.57-8.2797.505.2030.49-6.1111.381.212.90-6.295.633.350.59-3.3324.150.32-2.79-5.62-99.234.361.02-7.263.33-13.30-4.34-79.74
-12.614.52-4.38-6.49-4.09-2.41-7.46-5.48-6.86-6.43-7.295.304.26-3.83-7.51-4.26-0.26-9.64-4.02-2.34-9.3035.08-4.58-37.32-2.11-1.04-8.1220.004.26-1.28-7.27-28.56-0.771.04-1.01-18.69-5.91-0.890.5577.2327.9831.74-6.2733.387.891.71-9.252.691.610.24-3.714.78-0.12-5.96-6.00-91.333.84-0.14-7.894.17-4.54-5.55-78.37
0.510.520.540.550.520.530.510.540.490.400.360.380.350.340.310.330.290.270.300.330.300.310.340.430.340.340.320.390.390.370.340.340.300.300.290.330.290.280.270.250.260.280.240.190.250.250.310.340.310.360.320.170.320.320.310.310.290.300.290.340.310.300.29
0.941.030.790.971.281.110.861.091.711.411.341.241.111.180.991.091.200.741.221.491.521.161.221.461.321.331.321.901.651.951.452.001.481.241.281.882.302.011.771.731.131.020.721.050.991.041.221.711.231.451.240.451.351.220.961.461.351.381.041.211.061.111.04
2.773.523.623.423.323.073.032.792.842.762.842.532.692.652.372.462.492.722.702.542.552.302.382.392.482.572.422.402.342.632.392.272.422.622.372.322.072.072.122.132.632.441.971.641.961.732.162.542.272.822.801.142.742.812.672.302.582.302.382.151.822.442.26
32.4725.6024.8326.2827.1529.3329.6732.2831.6632.5831.6435.5133.4733.9537.9036.5336.1833.0933.3435.4635.3139.1037.7737.7336.2535.0637.2237.5638.5134.1837.7239.6437.1634.3937.9638.7943.3943.5342.5142.2834.2636.9045.5754.9645.8551.9441.5935.4839.5831.9632.0979.0332.8232.0733.7239.0634.9439.1037.8841.8449.4336.8739.90
68244.63-80.32-74.61-29.04-12.16-29.60-17.32-10.46-6.70-6.745.053.86-3.60-6.41-3.75-0.20-6.75-2.97-1.90-7.2226.94-4.58-38.66-1.19-0.59-4.3613.123.04-1.08-5.78-21.10-0.400.59-0.51-11.66-3.36-0.560.2554.661.3813.20-2.953.480.451.62-6.335.042.200.23-3.3210.97-0.07-3.66-3.47-59.791.43-0.05-2.911.76-1.96-2.36-32.93
68244.63-80.32-74.61-29.04-12.16-29.60-17.32-10.46-6.70-6.745.053.86-3.60-6.41-3.75-0.20-6.78-2.98-1.91-7.2827.94-4.60-38.89-1.49-0.74-5.4016.093.87-1.44-7.63-26.84-0.650.94-0.80-18.18-5.49-0.890.4068.341.6315.87-3.584.080.672.57-10.207.563.250.34-5.0616.67-0.10-4.80-4.53-78.061.69-0.06-3.472.10-2.40-2.90-40.45
-6.372.37-2.35-3.55-2.12-1.28-3.78-2.96-3.34-2.55-2.642.041.50-1.31-2.34-1.41-0.08-2.61-1.19-0.78-2.7510.72-1.57-16.02-0.71-0.35-2.617.871.68-0.47-2.49-9.76-0.210.31-0.28-6.25-1.74-0.300.1323.060.907.88-1.782.100.160.55-2.111.760.860.09-1.193.86-0.04-1.93-1.83-28.451.12-0.04-2.311.40-1.43-1.68-22.49
68244.63-80.32-74.61-29.04-12.16-29.60-17.32-10.46-6.70-6.745.053.86-3.60-6.41-3.75-0.20-6.75-2.97-1.90-7.2226.94-4.58-38.66-1.19-0.59-4.3613.123.04-1.08-5.78-21.10-0.400.59-0.51-11.66-3.36-0.560.2554.661.3813.20-2.953.480.451.62-6.335.042.200.23-3.3210.97-0.07-3.66-3.47-59.791.43-0.05-2.911.76-1.96-2.36-32.93
-0.110.610.320.550.911.331.662.314.626.747.327.957.907.698.068.679.319.4510.2110.7910.3511.428.009.4016.0616.5316.9417.9815.6213.6714.1216.4520.6421.0521.6422.1221.8522.8323.2923.1430.0527.1429.6930.9217.4916.8416.8618.5721.2421.1721.4522.5234.3634.6236.0837.5560.4559.6260.3761.9757.2358.2859.58
-0.43-0.31-0.60-0.22-0.02-0.53-0.18-2.60-1.84-0.61-0.09-1.08-0.87-0.49-0.54-0.28-0.24-0.44-0.480.220.52-0.19-0.512.162.131.320.17-2.23-2.900.460.191.411.231.510.06-0.90-1.64-1.63-1.57-4.810.430.380.542.581.171.230.17-0.25-1.13-1.760.14-2.82-6.02-6.06-6.3411.679.617.083.605.903.092.21-0.91
-1.46-0.87-0.62-0.43-0.20-0.69-0.23-2.91-2.09-0.78-0.13-1.22-0.96-0.54-0.57-0.42-0.36-0.54-0.560.631.150.58-0.551.121.330.64-0.25-0.52-2.83-0.420.031.230.520.93-0.33-1.22-1.39-1.02-1.78-4.400.21-0.110.361.810.620.82-0.05-1.41-1.76-2.38-0.09-4.10-7.15-6.63-6.6311.5110.196.713.453.771.671.27-1.31