Energy Focus Financial Ratios for Analysis 2009-2024 | EFOI

Fifteen years of historical annual and quarterly financial ratios and margins for Energy Focus (EFOI).

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
1.450.911.651.471.432.447.956.615.161.971.850.920.821.172.16
---0.060.03----0.010.580.680.390.170.06
0.43-10.230.630.730.850.20---0.051.395.021.710.270.06
3.90-5.3317.2130.8115.5418.8424.2924.7745.4834.2622.0516.9918.7018.2316.33
-69.46-155.75-88.26-24.19-54.74-50.17-56.84-54.2914.99-4.81-59.97-25.28-25.13-22.54-78.32
-69.46-155.75-88.26-24.19-54.74-50.17-56.84-54.2914.99-4.81-59.97-25.28-25.13-22.54-78.32
-64.95-146.98-84.02-20.75-51.33-47.27-53.41-51.7015.469.02-47.06-19.27-16.27-16.25-70.41
-75.04-172.17-79.95-35.57-57.95-50.26-57.35-54.3514.94-18.70-62.69-28.13-29.21-24.23-78.53
-75.09-172.24-79.94-35.54-58.03-50.32-56.77-54.4813.63-25.75-25.06-24.42-29.60-24.24-88.20
0.560.700.691.361.080.980.900.891.161.160.741.631.481.720.72
1.241.151.042.061.741.822.632.464.542.172.937.526.8511.302.77
3.236.715.858.335.448.235.525.506.378.552.403.936.375.654.27
11354.4362.3443.8467.1444.3766.1266.4157.3042.7115292.9657.3264.5785.40
-140.712,155-127.01-140.56-184.51-82.44-58.40-56.3720.90-43.45-202.02-797.09-406.88-127.74-85.30
-140.712,155-127.01-140.56-184.51-82.44-58.40-56.3720.90-43.45-205.89-3,030.422,586-197.38-121.42
-42.09-120.96-54.80-48.25-62.81-49.27-50.86-48.2417.00-21.78-46.12-45.82-43.35-41.74-56.47
-140.712,155-127.01-132.26-179.44-82.44-58.40-56.3720.90-43.14-85.18-251.18-246.51-106.29-80.31
0.70-0.346.828.4511.2531.9856.8789.4513636.2919.906.4620.6297.22189
-0.75-5.80-14.98-5.25-18.83-19.82-17.41-49.6214.47-0.73-45.71-58.99-37.1222.92-234.45
-0.77-5.81-15.66-5.72-19.19-19.27-17.60-54.407.17-1.02-46.98-61.77-40.4818.59-238.49

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
2.022.161.871.451.801.541.590.911.251.651.331.651.411.591.251.471.141.071.791.431.681.711.932.443.874.604.937.956.925.597.386.617.104.756.335.166.142.802.221.972.301.691.731.851.171.320.950.920.880.971.160.820.960.950.991.171.311.361.562.162.572.903.16
--------0.350.16---0.00-0.060.170.240.000.030.000.000.00-------------0.000.000.010.010.020.040.040.581.000.761.200.680.100.130.180.390.490.340.240.170.180.160.150.060.010.010.01
---0.430.330.520.56-10.233.121.111.240.630.950.561.040.731.411.600.280.850.580.550.410.20------------0.000.030.130.050.100.200.271.392454.63-9.285.020.860.850.511.711.260.670.430.270.220.200.170.060.140.150.15
15.728.1114.413.13-3.5816.971.83-35.90-9.247.36-1.267.8620.4818.9520.9738.2823.0740.2727.2827.1035.27-3.543.080.6124.8425.0617.5134.3122.7324.9713.66-14.9237.3135.3937.3343.8949.8045.8440.9244.6534.1632.4528.9123.1719.2721.9019.8114.1824.7822.2114.8121.0020.1018.8921.2318.1720.5517.4116.6317.1410.5920.7111.05
-33.28-35.87-71.91-31.97-67.44-104.27-129.35-305.28-136.45-149.19-128.87-97.96-65.84-108.10-87.18-23.12-16.97-27.86-33.39-33.14-28.58-69.73-88.23-95.35-36.86-34.82-51.73-39.73-35.75-51.57-109.96-108.39-38.13-55.04-23.378.6120.4019.4510.085.984.35-8.39-21.81-31.86-34.76-30.82-27.73-30.50-9.83-9.63-31.8090.58-20.56-12.22-48.99-35.86-15.15-16.32-23.25-33.22-82.93-60.16-107.13
-33.28-35.87-71.91-31.97-67.44-104.27-129.35-305.28-136.45-149.19-128.87-97.96-65.84-108.10-87.18-23.12-16.97-27.86-33.39-33.14-28.58-69.73-88.23-95.35-36.86-34.82-51.73-39.73-35.75-51.57-109.96-108.39-38.13-55.04-23.378.6120.4019.4510.085.984.35-8.39-21.81-31.86-34.76-30.82-27.73-30.50-9.83-9.63-31.8090.58-20.56-12.22-48.99-35.86-15.15-16.32-23.25-33.22-82.93-60.16-107.13
---------------------------------------------------------------
-25.25-35.67-50.18-35.94-69.45-110.62-143.33-347.81-150.91-167.97-136.88-109.44-41.47-119.24-62.271.66-19.57-130.13-14.30-36.76-32.45-73.13-90.18-95.77-37.22-34.88-51.30-41.74-35.45-51.81-110.13-108.54-38.32-54.95-23.348.8920.4419.199.724.553.50-9.30-82.35-37.29-38.74-20.56-32.66-33.05-11.72-11.69-35.16-8.97-24.07-14.27-51.43-18.04-17.24-20.21-42.60-48.29-88.65-61.34-108.38
-26.42-35.67-50.18-35.48-70.50-110.62-143.33-348.42-150.91-167.97-136.88-109.40-41.47-119.24-62.271.74-19.53-130.13-14.30-37.04-32.45-73.13-90.18-96.12-37.22-34.88-51.30-39.31-35.45-51.81-110.13-108.61-38.46-54.95-23.617.4423.2113.018.97-19.85-5.52-9.29-82.7421.18-34.20-12.01-32.03-28.32-11.74-11.73-35.21-10.08-24.13-14.32-51.52-17.94-17.27-20.23-42.72-83.14-86.60-61.57-108.41
0.190.220.110.230.140.110.110.080.170.120.160.170.210.150.210.300.420.240.300.300.230.210.180.170.280.260.220.210.200.220.140.210.190.140.160.310.350.660.520.190.420.580.470.510.380.430.350.500.630.540.360.440.410.500.330.430.460.440.430.210.220.230.15
0.270.380.160.520.280.170.180.160.310.190.280.280.280.210.280.410.870.340.590.420.260.420.370.380.600.680.690.540.570.570.420.870.370.320.461.251.150.890.690.301.321.751.642.021.301.851.152.362.512.531.840.351.542.021.262.832.592.512.120.600.580.610.47
1.612.392.101.351.591.250.690.741.751.281.551.431.691.811.771.851.771.321.991.511.641.711.331.421.741.541.311.311.681.741.591.271.631.371.401.712.426.484.031.421.811.561.311.681.151.310.981.191.851.541.291.881.841.851.491.411.521.491.561.242.542.011.29
56.0637.7342.7966.6456.7371.7413112151.3870.2458.0863.0653.3049.8650.9248.5650.7967.9545.3059.5755.0252.7167.5963.5351.6858.6368.6068.4553.6751.8156.7070.6455.2865.5064.4652.7537.1513.8922.3563.2749.8357.6268.6553.5678.0968.8391.5975.3448.7858.3469.8947.7648.9748.5560.4963.8159.1860.4857.6272.6935.4344.8269.95
-9.85-15.73-12.96-27.83-24.26-37.66-45.11484-174.44-59.60-82.20-42.37-25.32-44.14-50.091.53-54.46-253.21-9.19-32.73-18.05-36.64-33.97-27.12-13.87-11.63-14.00-9.63-8.47-13.83-17.81-26.07-8.50-9.76-4.533.6610.0913.819.041.742.47-11.36-79.02-84.10-8,907.90-90.15245-284.85-33.60-24.74-41.23-41.55-71.80-34.15-64.21-23.61-19.49-20.87-36.72-20.91-28.34-19.77-21.88
-9.85-15.73-12.96-27.83-24.25-37.66-45.11484-174.44-59.60-82.20-42.37-25.32-44.14-50.091.53-54.46-253.21-9.19-32.73-18.05-36.64-33.97-27.12-13.87-11.63-14.00-9.63-8.47-13.83-17.81-26.07-8.50-9.76-4.533.6610.0913.819.041.742.47-11.42-79.66-85.712,200-102.56128-1,082.95-67.39-41.88-63.75264-853.53-83.81-127.86-36.48-28.94-31.19-54.26-29.77-28.34-19.76-21.88
-4.91-7.83-5.64-8.32-10.04-12.41-15.48-27.18-25.89-19.87-22.48-18.28-8.70-18.45-13.320.52-8.28-31.21-4.35-11.14-7.37-15.16-15.88-16.21-10.34-9.13-11.19-8.39-7.23-11.20-15.49-22.31-7.37-7.82-3.852.978.448.965.010.871.47-5.37-38.78-19.20-14.54-8.74-11.47-16.37-7.39-6.29-12.68-4.43-9.82-7.04-16.95-7.72-7.89-8.97-18.16-13.85-19.80-14.31-16.08
-9.85-15.73-12.96-27.83-24.25-37.66-45.11484-113.71-50.13-82.20-42.37-25.32-44.03-50.091.44-45.28-193.06-9.19-31.83-18.04-36.61-33.95-27.12-13.87-11.63-14.00-9.63-8.47-13.83-17.81-26.07-8.50-9.76-4.533.6610.0713.759.001.732.43-10.96-75.80-35.46-43.76-21.70-49.64-89.76-30.24-21.48-33.96-25.18-36.28-22.75-48.84-19.65-16.00-17.44-31.40-19.69-28.14-19.64-21.55
0.610.670.680.700.890.891.07-0.341.163.743.726.826.197.716.238.454.373.7312.9511.2514.8217.4024.2031.9840.1245.0450.0556.8761.8066.4875.4689.4511212013113613155.4047.3036.2938.5423.9122.9419.900.159.17-4.666.4621.7028.5835.4820.62---97.22---189---
-0.20-0.16-0.01-0.75-0.67-0.48-0.51-5.80-4.75-5.22-2.94-14.98-11.59-10.15-5.39-5.25-3.35-1.541.14-18.83-17.90-14.52-10.26-19.82-11.16-6.73-2.18-17.41-13.82-9.34-4.91-49.62-40.86-24.64-12.6114.479.092.42-8.20-0.73-6.52-13.01-14.14-27.13-30.34-26.78-15.33-54.72-48.45-52.89-55.11-36.86-37.86-53.10-41.1521.272.24-5.58-7.07-208.74-149.42-110.33-84.67
-0.20-0.16-0.01-0.77-0.68-0.48-0.51-5.81-4.78-5.26-2.98-15.66-12.01-10.50-5.60-5.72-3.71-1.801.04-19.19-18.06-14.60-10.27-19.27-10.63-6.20-1.63-17.60-13.99-9.47-5.00-54.40-45.26-27.78-13.547.177.321.18-8.59-1.02-6.59-12.90-13.51-27.88-31.54-27.92-16.31-57.31-49.70-53.73-55.24-40.20-40.86-55.85-42.8417.250.60-6.36-7.24-212.33-152.90-106.57-86.56