New Oriental Education & Technology Financial Ratios for Analysis 2009-2024 | EDU

Fifteen years of historical annual and quarterly financial ratios and margins for New Oriental Education & Technology (EDU).

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
1.962.621.891.521.731.681.932.041.862.142.192.042.342.752.95
---0.040.04----------
---0.040.04----------
52.9843.5152.3755.6055.5556.4558.3558.4457.7960.3459.9860.6060.0961.8861.71
6.34-31.643.4911.159.8710.7414.5713.4512.3117.3512.7715.1417.4020.0120.82
6.34-31.643.4911.159.8710.7414.5713.4512.3117.3512.7715.1417.4020.0120.82
10.43-25.388.8715.3713.5513.9717.6516.7316.1121.1916.8518.5520.4523.2124.45
10.29-33.257.3713.6310.2014.5918.3818.0817.6821.3515.9918.5919.6821.6223.28
5.92-38.257.8211.557.6912.1015.2515.2115.4818.9414.2017.1918.2020.1320.85
0.470.510.420.550.670.620.620.630.640.710.710.680.650.650.62
26.7562.8265.3450.7247.3826.5323.6222.5021.9520.1917.0415.1512.368.587.38
70.6178.2733447367.40513194178160165163204338201191
5.174.661.090.775.420.711.882.052.292.212.241.791.081.811.91
6.17-32.174.5812.379.0214.8016.0915.7115.7521.0315.9419.2217.9918.1917.37
6.39-32.844.6712.809.4015.1316.3015.9016.0021.2116.1219.3918.5118.5017.73
3.68-20.222.275.414.907.479.469.579.8813.4510.1011.7511.9713.0413.00
6.17-32.174.5811.888.6914.8016.0915.7115.7521.0315.9419.2217.9918.1917.37
23.2222.3529.6918.1016.0012.6810.919.117.826.50-----
5.76-7.556.875.045.074.933.943.292.382.291.801.591.380.920.63
4.92-8.404.543.263.483.643.292.892.042.091.431.151.080.790.53

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
2024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.951.871.931.962.412.402.592.622.48-1.892.011.981.581.521.521.471.501.731.631.611.681.681.831.761.871.932.032.022.142.042.101.791.801.861.941.922.122.142.382.302.152.192.362.342.242.042.492.652.702.342.622.622.902.753.353.263.372.953.26
--------------0.040.040.040.030.040.02----------------------------------------
--------------0.040.040.040.040.040.02----------------------------------------
46.5951.4159.8954.4951.0047.3258.1052.7139.3050.9452.2454.6848.8952.8751.0256.8254.2858.9355.9557.6449.7457.2757.2856.5151.3659.1359.0358.0852.1161.9258.6158.1951.7362.5658.3056.2051.4962.3160.4157.6453.2165.8860.7458.2651.3764.8059.5358.7953.6565.9158.7558.5553.3865.4658.0260.2654.5368.1056.6460.21
9.402.4518.655.588.82-0.3910.47-20.16-22.992.48-5.828.52-3.6215.241.2812.703.2222.979.1312.02-4.7818.768.079.44-2.8024.3610.6613.140.0628.579.3912.19-3.7428.327.3211.09-5.4928.0610.7012.050.3234.8610.1610.75-16.1830.244.879.51-3.0134.858.7016.00-2.1334.284.2115.31-1.4840.804.1713.29
9.402.4518.655.588.82-0.3910.47-20.16-22.992.48-5.828.52-3.6215.241.2812.703.2222.979.1312.02-4.7818.768.079.44-2.8024.3610.6613.140.0628.579.3912.19-3.7428.327.3211.09-5.4928.0610.7012.050.3234.8610.1610.75-16.1830.244.879.51-3.0134.858.7016.00-2.1334.284.2115.31-1.4840.804.1713.29
------------------------------------------------------------
10.926.6922.468.3513.663.7814.71-33.53-17.005.18-7.8914.043.4221.612.7616.437.5423.788.2415.87-4.6717.2011.4512.992.2528.1314.5417.654.7231.2013.6616.842.6732.1812.7216.761.6232.1417.8016.542.0437.4813.3314.59-11.8632.549.0613.541.8136.7410.8118.981.5235.536.0317.051.1841.775.5516.21
7.223.4615.033.3710.830.118.86-36.12-19.944.62-3.7512.716.0717.711.6514.926.8119.505.1312.23-4.3314.339.2811.060.9223.9611.3915.443.0426.4110.6413.962.1228.0410.7014.421.0128.5214.9216.542.0532.5411.7612.82-9.5028.548.4112.852.5133.3510.4117.561.9232.436.6715.521.8138.214.4415.90
0.170.120.160.130.120.110.120.090.09-0.120.120.090.130.120.140.120.180.180.190.150.220.180.170.140.200.170.160.130.210.170.160.130.220.170.160.130.220.180.170.140.260.180.170.140.270.170.160.130.280.160.170.130.280.150.170.120.280.130.15
6.684.886.977.435.894.517.108.8712.13-18.5715.1114.7614.9512.4912.1612.4414.8612.789.898.5410.127.456.376.548.506.286.525.416.935.995.624.756.615.725.104.656.175.094.613.996.054.174.273.795.703.903.733.555.313.153.172.573.742.122.551.913.491.701.79
30.1621.3325.1420.2720.1416.6628.0313.2113.98-94.8095.8874.0528.7910622.0217.4321.3218.3530.8623.3146.0214791.7275.6611352.3550.3341.7162.4647.6562.2858.1014142.1170.5240.5911741.6868.7631.9556.9940.6226.2039.7980.3451.0053.1945.8393.1483.2655.4539.5392.9045.0976.2130.1575.4438.8447.77
2.984.223.584.444.475.403.216.816.44-0.950.941.223.130.854.095.164.224.912.923.861.960.610.981.190.801.721.792.161.441.891.451.550.642.141.282.220.772.161.312.821.582.223.442.261.121.761.691.960.971.081.622.280.972.001.182.991.192.321.88
--------4.92---1.50----0.53---1.50---3.17---3.25---2.93---2.88---4.18---3.29---2.35---2.49--834.55-44,543.571.35-8,651.88-1,383.75-0.75-
2.130.884.571.082.520.462.26-5.02-3.12--1.532.570.594.96-0.554.181.867.911.564.82-1.406.183.243.280.438.683.294.180.819.152.973.730.4610.342.923.660.219.794.224.280.4613.783.323.37-1.9812.212.373.130.4913.452.564.380.3712.681.373.390.2914.230.773.11
1.190.492.640.621.530.281.41-3.09-1.88--0.741.300.292.06-0.231.760.763.350.812.26-0.663.061.601.860.234.921.912.500.485.661.792.290.286.181.802.350.146.382.672.770.298.402.082.22-1.307.801.442.110.349.361.662.990.259.100.972.580.2210.820.562.37
2.070.854.421.052.430.442.22-4.92-3.06--1.502.510.584.79-0.513.881.737.371.444.45-1.346.023.173.210.428.563.254.120.809.052.933.680.4510.192.883.600.219.714.184.240.4513.653.293.33-1.9612.112.353.100.4813.332.494.240.3612.501.353.330.2813.990.753.05
-------22.35--29.69---18.10---16.00---12.68---10.91---9.11---7.82---6.50---------------------
4.453.812.015.763.232.121.07-7.55-1.38-2.666.874.874.952.285.044.364.122.455.070.000.000.004.930.000.000.003.940.000.000.003.290.000.000.002.390.000.000.002.280.000.000.001.800.000.000.001.590.000.000.001.400.000.000.000.910.000.000.000.630.00
4.453.812.014.923.232.121.07-8.40-1.38-2.664.544.874.951.883.264.364.121.863.48---3.64---3.29---2.89---2.05---2.28---1.43---1.15---1.09---0.79---0.53-