Edgio Financial Ratios for Analysis 2009-2024 | EGIOQ

Fifteen years of historical annual and quarterly financial ratios and margins for Edgio (EGIOQ).

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
20222021202020192018201720162015201420132012201120102009
1.283.156.632.192.762.052.354.654.945.885.526.344.126.07
0.360.500.37----0.010.000.000.000.010.01-
0.601.020.58----0.010.000.000.010.010.01-
31.7627.0135.8440.6447.7747.6242.4139.8639.0835.5837.1835.1938.6734.97
-43.66-26.66-7.69-7.84-2.47-4.38-43.05-15.05-16.47-22.76-21.39-18.94-14.3326.34
-43.66-26.66-7.69-7.84-2.47-4.38-43.05-15.05-16.47-22.76-21.39-18.94-14.3326.34
-30.86-12.353.022.187.096.90-30.84-2.70-3.73-5.82-2.350.181.9146.12
-46.54-29.84-9.59-7.625.30-3.91-43.58-13.86-15.19-19.94-16.40-18.86-13.9427.32
-40.32-30.41-9.88-8.005.03-4.14-43.94-14.01-15.16-20.41-18.25-14.76-13.2026.50
0.620.640.710.960.980.940.810.760.670.650.590.490.520.56
--------------
4.005.997.065.817.485.686.116.347.107.966.666.105.464.88
91.3460.9651.7362.8748.8064.3059.7657.5951.4245.8854.8359.8366.8374.79
-57.04-46.31-12.63-9.635.96-5.29-53.74-12.09-11.72-14.74-11.24-9.73-8.6817.20
635-2,073.43-22.71-17.9411.09-11.37-120.55-19.64-18.42-22.14-16.63-13.68-11.9717.29
-25.17-19.48-7.04-7.664.95-3.88-35.52-10.62-10.30-13.04-9.85-8.68-7.4414.80
-36.33-23.37-8.01-9.635.96-5.29-53.74-12.00-11.71-14.72-11.20-9.66-8.6217.20
43.0839.3356.6756.2857.8252.0351.4077.4686.2497.1910911810295.42
-2.560.346.720.606.572.022.512.570.192.314.911.796.360.13
-10.34-6.49-2.36-11.361.25-5.56-0.96-7.30-7.37-5.36-2.35-9.33-7.85-9.15

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
2023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.850.941.121.281.612.083.313.153.224.935.246.635.341.971.902.191.742.102.162.762.602.542.012.052.042.132.322.352.553.142.834.653.923.875.074.945.145.415.565.885.305.536.185.526.155.896.946.346.084.275.564.122.893.105.586.076.747.716.42
0.470.440.390.360.290.270.470.500.460.480.470.370.36-------0.00--------0.100.070.01---0.000.000.000.000.000.000.000.000.000.000.000.010.010.010.010.000.010.010.00-----
0.950.830.680.600.410.360.901.020.860.930.870.580.56-------0.00--------0.120.080.01---0.000.000.000.000.000.000.010.010.010.010.010.010.010.010.010.010.010.010.00-----
23.9026.3530.3940.4525.8328.4330.3935.7028.6819.5324.4128.4536.6940.6536.3943.6740.4540.3237.0240.7148.7449.4551.2047.6848.3547.1147.3344.9141.1443.1640.1841.0437.8441.4439.0339.6041.3738.3937.0836.1935.7333.7136.6235.3537.1537.9938.3336.7435.5931.7236.5631.1037.4943.5441.8534.0835.7334.8135.28
-24.12-34.65-31.97-42.26-41.75-59.16-32.43-20.84-15.21-24.30-46.52-17.77-3.85-2.07-8.754.18-5.15-15.18-19.94-12.08-0.161.20-0.09-2.55-3.66-3.83-7.64-7.30-14.55-131.94-14.52-8.78-19.60-14.19-17.74-14.39-15.95-16.87-18.60-21.81-23.97-26.62-18.92-21.82-21.14-21.07-21.50-14.42-19.78-26.29-15.73-10.17-12.47-18.10-16.13-27.77-16.89-16.52165
-24.12-34.65-31.97-42.26-41.75-59.16-32.43-20.84-15.21-24.30-46.52-17.77-3.85-2.07-8.754.18-5.15-15.18-19.94-12.08-0.161.20-0.09-2.55-3.66-3.83-7.64-7.30-14.55-131.94-14.52-8.78-19.60-14.19-17.74-14.39-15.95-16.87-18.60-21.81-23.97-26.62-18.92-21.82-21.14-21.07-21.50-14.42-19.78-26.29-15.73-10.17-12.47-18.10-16.13-27.77-16.89-16.52165
-----------------------------------------------------------
-24.74-36.83-33.92-44.71-43.93-63.20-36.26-24.58-17.92-27.82-49.36-22.14-6.62-2.72-8.914.43-5.04-15.11-19.49-11.37-0.3230.660.26-1.94-3.40-3.25-7.22-8.49-15.18-132.74-13.97-9.59-18.28-14.32-13.30-12.24-12.74-17.20-18.42-11.01-25.10-26.15-17.58-21.79-1.32-20.87-21.57-15.02-19.59-25.84-15.37-10.22-12.30-17.45-15.37-27.35-15.86-15.86167
-25.24-37.23-34.31-42.75-44.32-32.39-36.63-25.52-18.31-28.33-49.87-22.68-6.73-2.95-9.224.09-5.36-15.67-19.78-11.81-0.5530.170.29-1.89-3.81-3.58-7.46-8.95-15.51-133.01-14.35-9.70-18.46-14.53-13.43-12.29-13.01-16.61-18.56-12.12-25.60-26.27-17.76-26.33-1.84-22.11-22.58-14.2511.85-33.53-23.71-17.64-14.90-5.37-16.03-28.93-16.05-16.39166
0.210.200.200.200.190.110.180.150.170.160.170.160.180.270.270.290.250.240.220.220.240.250.270.250.230.220.220.210.190.190.180.190.180.180.180.170.160.160.160.160.150.150.160.150.140.140.130.130.110.110.110.120.130.140.150.140.140.130.13
-----------------------------------------------------------
1.431.501.231.280.910.591.001.381.191.941.751.551.401.291.641.741.431.471.461.681.881.571.601.481.601.611.701.591.721.741.501.591.541.381.541.781.721.701.751.941.641.721.641.721.561.561.621.641.491.101.051.271.001.201.361.251.171.220.96
63.1559.8873.1370.0699.4415489.6265.1975.3946.4051.4358.0864.2769.6654.7451.7362.9561.2261.6153.5348.0057.3456.4060.6656.2956.0752.8956.6252.3951.6760.0556.7858.5165.0558.6350.5252.4352.9551.3746.4954.8752.2054.7252.4357.6657.6555.6854.9660.5282.2085.6270.6189.9975.2265.9772.2177.1273.5393.33
-15.94-20.26-16.77-19.44-16.63-6.12-14.99-8.96-7.15-10.47-18.31-6.37-2.24-1.02-3.211.48-1.74-4.59-5.36-3.15-0.169.230.10-0.63-1.24-1.15-2.42-2.85-4.42-40.97-3.04-2.09-3.91-3.12-2.75-2.36-2.31-3.14-3.30-1.98-4.54-4.56-3.18-3.85-0.22-3.35-3.21-1.94-1.94-3.36-1.97-3.46-2.09-0.89-2.87-4.80-2.50-2.5326.31
27.0548.3174.96216-86.90-20.50-256.48-401.15-81.35-25.73-41.19-11.45-3.96-1.86-6.042.75-3.40-9.01-10.33-5.85-0.3017.290.22-1.36-2.70-2.55-5.45-6.39-9.88-88.89-4.98-3.40-6.37-5.00-4.38-3.71-3.57-4.81-5.00-2.98-7.04-6.98-4.79-5.70-0.31-4.86-4.55-2.73-2.68-5.81-3.01-4.77-3.88-1.63-2.96-4.82-2.52-2.5526.31
-5.40-7.58-6.91-8.58-8.62-3.57-6.58-3.77-3.20-4.63-8.42-3.55-1.23-0.78-2.471.17-1.32-3.76-4.30-2.61-0.137.490.08-0.46-0.87-0.80-1.66-1.88-2.89-24.64-2.54-1.84-3.41-2.68-2.44-2.07-2.03-2.77-2.91-1.75-3.96-3.98-2.80-3.38-0.19-2.99-2.90-1.73-1.73-2.91-1.77-2.97-1.78-0.77-2.47-4.13-2.18-2.2122.28
-8.45-11.38-10.16-12.38-11.76-4.49-7.88-4.52-3.84-5.43-9.80-4.04-1.44-1.02-3.211.48-1.74-4.59-5.36-3.15-0.169.230.10-0.63-1.24-1.15-2.42-2.85-4.42-36.85-2.82-2.08-3.91-3.12-2.75-2.36-2.31-3.14-3.29-1.98-4.54-4.55-3.17-3.84-0.22-3.34-3.19-1.93-1.93-3.34-1.96-3.44-2.07-0.89-2.87-4.80-2.50-2.5326.31
27.2431.5037.4743.0853.3161.2839.1439.3342.2541.3244.5256.6757.8655.8254.7856.2854.2254.1355.5557.8259.0358.4452.1452.0351.7651.5551.1051.4052.6154.0575.7277.4678.6381.3283.0286.2489.1192.1694.2397.1998.7210210710911411311611811911711710210310394.5695.4298.4999.11100
-8.43-6.54-4.33-2.56-3.60-4.06-5.190.34-2.310.78-0.486.726.403.963.220.60-2.32-1.68-2.086.575.961.700.562.023.071.980.422.514.183.841.232.57-0.12-1.59-1.840.190.41-0.24-0.852.312.703.041.104.913.300.91-0.741.790.41-0.17-1.026.365.062.620.320.13-2.63-2.03-5.48
-9.60-7.31-5.01-10.34-9.08-10.35-6.92-6.49-6.00-2.24-2.61-2.36-0.83-1.010.91-11.36-10.64-7.38-3.831.252.29-0.35-0.11-5.56-2.69-1.86-1.70-0.962.403.190.68-7.30-8.37-6.42-4.55-7.37-5.27-3.86-2.11-5.36-2.540.080.02-2.35-3.73-3.02-2.92-9.33-9.04-7.01-4.09-7.85-5.16-3.23-1.68-9.15-10.51-4.92-5.83