Eltek Financial Ratios for Analysis 2009-2024 | ELTK

Fifteen years of historical annual and quarterly financial ratios and margins for Eltek (ELTK).

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
2.152.232.441.940.920.680.750.991.171.001.120.840.890.770.86
-0.120.160.090.060.260.100.230.220.170.100.120.250.270.34
-0.170.220.140.9510.862.570.730.410.490.241.051.362.441.61
28.0620.8620.3921.0817.267.654.057.6015.8412.9215.9117.1118.6212.8515.26
15.627.495.768.263.99-6.11-10.44-5.393.62-1.942.533.885.51-3.23-1.23
15.627.495.768.263.99-6.11-10.44-5.393.62-1.942.533.885.51-3.23-1.23
18.4411.3811.0312.608.32-1.25-4.12-0.397.812.125.998.819.972.244.34
16.539.734.447.305.37-7.50-11.30-6.933.01-2.621.601.623.93-4.83-2.39
13.618.0614.907.105.15-7.68-11.53-9.782.52-5.727.611.513.87-4.88-2.50
0.990.970.791.041.521.871.481.841.631.781.601.952.051.571.53
5.486.125.507.827.718.688.128.727.828.696.927.228.607.647.86
4.283.924.024.054.274.963.756.505.165.675.516.855.275.015.26
85.1993.1290.7090.1185.5573.5897.4456.1770.7564.4066.2653.2669.2172.8869.41
23.6415.2023.9117.0828.60-295.58-109.14-56.1510.02-30.9528.3412.4838.78-52.02-17.19
23.6415.2023.9117.0828.60-295.58-109.14-59.0110.29-31.6728.4712.6143.44-61.72-19.26
13.477.7911.787.427.85-14.36-17.05-18.494.04-10.8712.022.948.08-7.23-3.70
23.6413.4320.1615.5626.94-219.08-98.13-43.377.80-25.8125.6311.0429.03-37.68-11.37
4.463.593.612.611.430.431.703.275.054.55-----
1.490.650.660.720.69-0.40-1.700.080.850.041.123.611.821.130.73
1.420.140.410.480.47-0.71-1.83-0.270.46-1.160.462.681.160.790.27

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
3.133.222.152.432.242.222.232.352.462.352.442.532.492.031.941.161.130.980.920.890.880.660.680.700.730.750.750.800.840.920.991.121.151.151.171.141.111.091.000.981.081.121.120.930.900.850.840.860.870.910.890.840.810.790.770.740.730.840.860.930.940.89
-----0.070.120.120.130.150.160.190.200.080.090.140.160.050.060.070.020.160.260.100.110.100.100.260.240.230.230.180.190.210.220.230.230.260.170.070.080.090.100.180.200.140.120.140.080.230.250.030.01-0.270.030.020.370.340.330.360.28
-----0.080.170.170.190.210.220.280.280.120.140.540.750.790.951.031.237.3310.867.145.583.362.571.991.180.920.730.350.370.350.410.530.530.520.490.330.240.190.240.921.041.111.051.071.011.141.361.471.691.872.442.022.211.941.611.501.611.43
15.6327.6028.0531.0226.7326.2921.1123.4218.4620.1020.5417.7026.1615.8523.2819.7021.6119.6916.9818.9115.3217.627.6911.446.674.968.14-0.421.795.73-5.719.5114.769.5716.3415.9518.3212.6212.6412.7913.8812.3114.0518.3416.9214.2916.2916.0516.5619.3715.5019.8818.0420.9510.9715.6114.2810.6913.1514.8715.9017.07
3.8714.6116.2519.4812.6213.858.1010.893.816.676.541.7211.471.9710.246.899.206.684.426.120.094.96-5.35-3.61-8.32-6.99-6.26-15.58-13.60-7.44-19.87-3.662.46-2.995.065.605.23-1.11-3.39-3.06-0.49-0.95-1.715.864.051.942.332.774.196.082.488.053.837.51-4.441.34-2.22-5.68-6.340.54-1.341.92
3.8714.6116.2519.4812.6213.858.1010.893.816.676.541.7211.471.9710.246.899.206.684.426.120.094.96-5.35-3.61-8.32-6.99-6.26-15.58-13.60-7.44-19.87-3.662.46-2.995.065.605.23-1.11-3.39-3.06-0.49-0.95-1.715.864.051.942.332.774.196.082.488.053.837.51-4.441.34-2.22-5.68-6.340.54-1.341.92
--------------------------------------------------------------
8.5417.5813.5421.8314.3416.369.0611.4310.537.912.470.7510.553.398.296.588.266.074.604.539.762.92-8.01-5.16-9.52-7.30-7.11-15.63-14.15-9.34-24.27-4.892.09-3.613.366.174.42-2.32-3.11-4.69-1.33-1.47-2.375.022.750.96-2.731.393.124.511.484.842.346.93-6.981.44-5.69-7.58-7.91-0.73-2.731.47
7.1814.7610.8018.1011.8913.627.689.728.286.4840.290.5810.163.188.056.468.015.914.314.219.642.77-8.06-5.45-9.73-7.49-7.35-15.66-14.51-9.61-37.08-4.822.15-3.922.195.754.08-2.41-17.18-4.54-1.04-1.5221.894.592.741.02-2.841.253.044.391.994.792.236.66-6.531.38-5.68-7.08-8.13-0.76-2.171.11
0.190.210.260.280.270.280.260.250.230.220.220.210.240.210.270.400.380.410.380.400.360.410.430.390.390.400.410.360.350.390.400.380.400.390.410.410.390.390.400.420.410.420.400.460.470.480.480.470.510.490.500.510.460.460.420.380.390.390.380.380.330.40
1.371.331.451.471.421.591.611.711.461.431.551.551.731.491.972.091.982.161.911.991.781.742.001.741.781.932.161.781.712.002.181.731.831.981.961.941.611.801.991.981.841.831.791.651.822.081.821.772.121.932.201.861.891.782.061.781.932.301.992.151.742.08
1.051.131.131.100.891.101.041.020.981.101.131.081.061.071.051.141.161.211.051.321.071.391.141.051.000.971.041.131.201.181.421.311.271.241.301.241.201.221.291.341.311.301.391.291.251.341.711.521.491.401.291.421.261.441.341.201.161.181.291.241.151.25
85.5579.8079.6182.1810181.8986.8888.4892.0482.1079.4582.9684.7083.7985.8378.9677.3274.1485.5268.3584.5064.7478.6885.8990.2692.8286.5679.7775.3076.1863.3168.6670.6172.8469.3172.6375.2473.9769.7967.2168.6769.0664.7769.6372.1567.2952.7959.2060.4864.3269.5963.2971.5762.7267.2474.9477.7476.4269.5272.5578.1872.25
1.984.614.958.675.647.083.834.763.722.9618.200.285.691.535.017.259.328.125.906.7114.9220.88-71.66-33.21-46.55-24.33-19.34-29.70-20.39-13.14-45.96-4.831.79-3.692.236.254.52-2.70-19.77-4.58-0.96-1.4320.798.525.542.21-5.822.406.449.634.7912.095.6718.90-19.793.14-14.30-15.75-14.24-1.24-3.361.99
1.984.614.958.675.647.083.834.763.722.9618.200.285.691.535.017.259.328.125.906.7114.9220.88-71.66-33.21-46.55-24.33-19.34-29.70-21.85-13.91-48.30-4.991.84-3.802.296.384.62-2.77-20.19-4.57-0.96-1.4420.898.595.582.24-5.892.627.0610.655.3613.646.4721.77-23.483.62-16.42-17.90-15.95-1.37-3.742.21
1.373.142.825.083.173.791.962.441.881.468.970.122.470.682.182.603.032.431.621.693.421.13-3.48-2.13-3.83-2.99-3.02-5.69-5.14-3.75-15.14-1.990.74-1.500.902.371.66-0.96-6.93-1.90-0.42-0.638.822.101.290.49-1.370.591.542.161.002.431.013.08-2.750.53-2.21-2.78-3.07-0.29-0.730.44
1.984.614.958.675.646.613.384.183.222.5315.350.224.541.404.566.217.807.725.566.2514.6017.64-53.11-29.97-41.46-21.90-17.39-22.08-15.47-10.18-35.50-3.951.44-2.911.734.803.49-2.01-16.48-4.26-0.88-1.3118.816.994.411.89-5.152.075.897.413.5811.745.6018.85-14.333.05-13.98-10.00-9.42-0.84-2.161.43
5.665.634.464.193.943.773.593.613.463.653.612.832.792.572.611.881.731.521.432.872.610.570.430.690.891.361.702.002.633.053.274.915.025.045.05--4.344.55-----------------------
0.420.201.491.090.480.470.650.440.150.060.660.590.480.420.720.860.650.340.690.620.320.80-0.40-0.47-0.71-0.42-1.70-1.27-0.64-0.380.080.740.420.440.850.17-0.14-0.080.030.000.000.001.120.000.000.003.610.000.000.001.820.000.000.001.130.000.000.000.730.000.000.00
-0.45-0.221.420.890.370.420.140.020.040.010.410.360.390.390.480.670.550.290.470.500.260.72-0.71-0.56-0.76-0.46-1.83-1.38-0.72-0.43-0.270.460.260.390.46-0.13-0.39-0.20-1.16---0.46---2.68---1.16---0.79---0.27---