Digimarc Financial Ratios for Analysis 2009-2024 | DMRC

Fifteen years of historical annual and quarterly financial ratios and margins for Digimarc (DMRC).

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
2.966.335.708.587.9511.5015.1514.159.049.036.4310.268.449.7112.68
---0.01-----------
---0.06-----------
57.8650.7466.9066.9365.0460.2466.0661.0159.6867.1476.5385.3380.7578.4966.96
-138.32-204.69-150.32-136.78-146.74-158.19-105.36-100.58-81.02-59.33-6.9032.8917.7319.75-13.45
-138.32-204.69-150.32-136.78-146.74-158.19-105.36-100.58-81.02-59.33-6.9032.8917.7319.75-13.45
-115.00-176.28-138.29-124.37-132.11-148.08-95.74-89.31-70.05-50.31-1.2135.1119.8321.81-10.36
-131.29-197.71-131.01-135.62-142.77-153.20-103.03-99.40-80.53-59.12-6.5930.8010.7413.53-14.34
-131.87-198.03-131.07-183.33-142.86-153.39-102.21-99.44-80.82-61.66-1.4518.6415.6913.40-14.46
0.430.270.410.250.400.340.290.280.390.450.610.770.790.560.38
---------------
6.005.563.176.145.725.453.944.294.815.655.9910.5310.298.955.34
60.8865.6011559.4463.8566.9692.7185.0575.9364.6660.9434.6835.4740.7968.33
-74.27-61.31-62.82-38.83-66.48-57.47-31.31-29.57-34.89-30.35-1.0015.6213.578.17-5.92
-185.11-106.42-72.94-42.75-78.82-66.54-34.43-32.94-41.01-35.68-1.1818.3114.548.52-6.08
-57.06-52.56-53.58-33.53-57.22-52.61-29.16-27.52-31.82-27.55-0.8914.4312.357.49-5.46
-74.21-61.27-62.76-38.30-66.41-57.42-31.30-29.55-34.85-30.32-1.0015.6113.568.16-5.91
3.044.823.275.013.974.767.076.975.776.196.887.395.956.876.48
-1.08-2.32-1.59-1.54-1.85-1.87-1.67-1.51-1.19-0.940.512.231.381.370.11
-1.12-2.40-1.68-1.67-1.99-2.05-1.95-1.79-1.45-1.300.111.981.191.15-0.07

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
5.076.192.963.323.846.286.335.447.091.955.707.975.537.138.588.885.166.837.959.5510.278.5811.5016.0215.2516.1215.1518.5019.0816.0214.1519.059.8311.099.0414.0610.789.709.037.848.009.366.439.298.847.7110.269.149.426.608.448.838.638.149.7113.7217.9116.2712.6815.8314.4313.17
-------------0.000.010.030.07---------------------------------------------
------------0.080.070.060.070.14---------------------------------------------
66.1262.5162.7958.0755.7754.1152.8853.2551.5945.1269.5465.7667.3664.7669.4866.4867.4864.4966.1867.0964.6462.3059.8060.6259.4561.0757.6676.1262.0562.0960.4161.2361.6360.7560.4561.0557.7659.6662.2569.4065.5370.2270.7673.6779.7579.1782.3183.5282.6389.3879.2079.6382.1681.8682.4971.9570.6681.7868.5267.6964.6666.47
-96.18-109.25-118.66-124.04-129.07-188.28-184.50-198.53-192.97-243.10-115.76-123.98-245.87-122.78-141.08-145.82-116.02-146.31-166.85-137.82-131.91-153.22-158.06-175.13-152.68-148.82-178.30-50.79-126.19-105.83-113.53-94.24-97.31-98.10-105.40-83.01-69.77-69.69-71.70-46.77-78.72-46.09-49.65-27.2512.9516.0520.6217.8421.1953.7013.4616.6724.7715.5930.07-15.52-7.2041.14-4.96-10.46-18.83-22.06
-96.18-109.25-118.66-124.04-129.07-188.28-184.50-198.53-192.97-243.10-115.76-123.98-245.87-122.78-141.08-145.82-116.02-146.31-166.85-137.82-131.91-153.22-158.06-175.13-152.68-148.82-178.30-50.79-126.19-105.83-113.53-94.24-97.31-98.10-105.40-83.01-69.77-69.69-71.70-46.77-78.72-46.09-49.65-27.2512.9516.0520.6217.8421.1953.7013.4616.6724.7715.5930.07-15.52-7.2041.14-4.96-10.46-18.83-22.06
--------------------------------------------------------------
-89.21-103.93-112.39-118.72-121.66-178.78-165.16-190.56-191.76-243.15-115.72-44.63-245.59-122.63-140.72-145.19-114.81-144.01-163.38-133.37-128.17-149.03-153.13-169.58-147.65-144.33-174.60-48.78-124.11-103.89-111.58-93.01-96.54-97.28-104.90-82.47-69.21-69.31-71.64-46.73-78.35-45.72-49.24-26.8013.1316.3321.0518.3821.5547.555.199.0417.9010.3224.88-25.00-16.7337.25-10.31-14.34-15.59-18.15
-89.32-104.03-113.88-119.22-121.68-179.01-172.46-190.90-188.96-239.93-115.71-44.74-245.65-122.72-346.82-145.23-114.84-143.93-163.24-133.17-128.37-149.52-153.32-169.76-147.81-144.52-172.29-48.86-124.27-102.09-111.12-93.22-96.81-97.40-105.72-82.97-69.20-69.29-156.39-28.66-47.32-27.56-18.83-10.715.759.4811.3211.2713.3529.335.087.4738.2810.3226.30-27.88-17.0737.05-10.51-14.41-15.68-18.27
0.110.100.120.100.090.080.060.070.060.080.110.090.080.070.060.070.130.120.090.090.090.100.080.070.070.070.060.110.070.080.070.070.120.110.090.090.110.110.100.140.110.130.120.130.180.170.160.160.170.310.190.190.210.220.190.100.100.190.110.090.080.09
--------------------------------------------------------------
1.291.911.601.280.731.631.331.001.321.250.851.561.371.621.421.901.821.561.321.631.461.521.341.661.421.480.761.231.431.601.022.212.202.431.092.001.921.651.291.801.531.791.171.452.322.302.212.453.586.902.552.503.333.343.011.692.193.581.551.581.602.18
69.9947.2356.3570.4712455.3867.6789.7668.1972.0610657.6465.8055.6363.3247.2949.5457.5768.0455.1361.7359.2666.9454.1663.6060.7711972.9262.7856.2188.2340.6940.8537.0382.8244.9046.8854.4069.7750.0358.6650.4276.9762.0238.8539.0540.7436.7025.1213.0435.3136.0027.0426.9829.9153.2941.0425.1757.9057.1356.3941.23
-12.02-12.25-17.09-15.58-13.52-16.21-12.76-14.81-12.70-24.88-14.90-4.57-23.66-10.71-9.33-12.08-20.04-20.87-17.58-13.91-12.72-17.00-14.17-13.28-11.54-10.66-10.17-5.48-8.65-9.12-7.85-6.66-12.38-11.59-10.31-8.00-8.60-8.37-17.59-4.43-5.78-4.03-2.53-1.481.111.811.991.972.4410.261.091.598.792.515.39-2.90-1.767.39-1.25-1.45-1.41-1.68
-21.40-21.02-42.59-33.95-27.49-30.64-22.15-24.72-20.63-76.39-17.30-5.21-26.81-11.90-10.27-13.59-25.25-25.45-20.84-16.17-14.53-20.11-16.40-15.13-12.96-11.84-11.18-6.07-9.54-10.24-8.75-7.37-15.03-13.83-12.12-9.29-10.33-9.92-20.68-5.38-6.95-4.79-2.98-1.731.292.122.332.112.6110.981.161.709.332.675.62-3.02-1.827.61-1.29-1.48-1.44-1.70
-9.93-10.37-13.13-12.07-10.80-13.90-10.94-12.45-11.03-19.02-12.71-3.99-19.15-9.12-8.06-10.25-15.05-17.66-15.13-12.21-11.20-14.60-12.97-12.42-10.75-9.97-9.47-5.16-8.15-8.50-7.31-6.33-11.27-10.75-9.40-7.50-7.93-7.65-15.97-4.06-5.30-3.69-2.25-1.361.011.641.841.812.249.190.991.447.972.244.94-2.71-1.666.94-1.15-1.36-1.32-1.57
-12.01-12.24-17.07-15.57-13.51-16.20-12.76-14.81-12.70-24.86-14.89-4.57-23.64-10.67-9.20-11.74-18.62-20.84-17.56-13.90-12.71-16.98-14.16-13.27-11.53-10.66-10.16-5.48-8.65-9.11-7.85-6.65-12.36-11.57-10.30-7.99-8.60-8.36-17.57-4.42-5.77-4.02-2.52-1.481.111.811.991.972.4310.251.091.598.782.515.38-2.90-1.767.38-1.25-1.45-1.41-1.68
3.603.953.043.383.874.284.825.035.784.043.273.713.854.565.014.522.943.383.974.495.024.114.765.295.876.437.076.837.136.386.977.434.705.175.776.285.465.816.195.846.136.566.887.397.507.347.397.157.036.875.955.775.925.376.876.887.087.016.486.536.606.61
-0.71-0.41-1.08-0.83-0.82-0.44-2.32-1.87-1.31-0.68-1.59-1.12-0.76-0.37-1.54-1.24-0.83-0.48-1.85-1.41-0.94-0.47-1.87-1.41-0.86-0.32-1.67-1.30-0.81-0.31-1.51-0.95-0.61-0.26-1.19-0.85-0.54-0.26-0.94-0.82-0.57-0.200.510.680.870.472.231.991.801.491.381.060.850.511.370.820.830.730.11-0.020.030.10
-0.73-0.42-1.12-0.85-0.83-0.44-2.40-1.93-1.36-0.71-1.68-1.19-0.81-0.40-1.67-1.34-0.90-0.51-1.99-1.51-1.01-0.51-2.05-1.55-0.95-0.36-1.95-1.49-0.94-0.39-1.79-1.18-0.75-0.34-1.45-1.01-0.64-0.30-1.30-1.09-0.73-0.260.110.340.760.431.981.801.671.401.190.900.760.481.150.680.730.69-0.07-0.16-0.060.06