EMCOR Financial Ratios for Analysis 2009-2024 | EME

Fifteen years of historical annual and quarterly financial ratios and margins for EMCOR (EME).

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
1.261.261.441.441.371.381.381.431.461.471.491.581.461.611.48
0.000.110.100.110.130.140.150.210.170.180.180.100.110.120.11
0.000.130.120.130.150.170.190.280.210.230.240.110.120.130.16
16.6014.4815.1615.8614.7814.8314.9213.7414.0614.1212.9712.9813.0714.2915.00
6.965.105.362.925.024.964.284.064.274.513.794.203.76-0.554.78
6.965.105.362.925.024.964.284.064.274.513.794.203.76-0.554.78
7.916.086.504.136.035.955.435.125.385.674.865.194.710.325.66
6.945.045.342.874.914.864.153.934.154.383.674.113.59-0.584.72
5.033.673.871.513.543.492.962.412.562.631.952.372.33-1.793.08
1.902.001.821.741.901.991.941.961.901.901.831.991.861.761.75
94.73111155139193164153174154118106107109127129
3.934.314.494.584.524.584.784.644.554.804.664.714.314.114.56
92.9384.6081.2579.7580.7979.6276.3578.6080.2775.9878.3277.4784.7088.7180.10
25.6320.5717.036.4715.8016.4213.6212.0511.6612.4610.1711.5510.01-7.0412.59
68.2388.0649.6121.4985.0210910626110519114635.0740.46-16.0241.92
9.587.357.052.636.736.995.754.814.875.264.345.044.13-2.975.18
25.6018.4115.365.7513.8214.1511.589.529.7110.208.2910.378.91-6.2311.22
52.5241.4242.2737.5036.6031.1128.4725.6624.2422.7022.1220.2718.7417.6618.53
18.919.935.8714.556.294.646.144.294.213.682.202.722.191.055.35
17.559.095.2513.755.533.915.633.673.713.401.732.211.770.775.01

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
1.291.311.261.261.291.341.261.281.301.401.441.431.451.481.441.461.481.501.371.431.421.381.381.461.461.431.381.441.431.391.431.551.541.501.461.541.521.511.471.541.591.561.491.521.641.671.581.551.531.511.461.481.431.641.611.631.621.591.481.451.411.39
---0.040.100.140.110.180.110.100.100.110.110.110.110.120.130.200.130.110.130.130.140.140.140.150.150.200.200.210.210.240.250.170.170.170.170.180.180.170.170.180.180.220.100.100.100.100.110.110.110.110.110.110.120.120.100.110.110.140.150.15
---0.050.120.170.130.230.130.120.120.130.130.130.130.140.160.250.150.130.160.170.170.170.170.180.190.260.260.270.280.330.340.210.210.210.220.230.230.220.220.230.240.280.110.110.110.120.120.120.120.120.130.130.130.130.120.120.160.170.170.18
18.6517.1717.9617.0116.0915.0915.4214.6214.1513.6015.2715.1215.4414.8016.8216.5015.6514.4815.1714.6914.9014.3015.0815.1114.8914.1615.4615.6414.4814.0813.9513.9414.2112.7914.2113.8514.4913.6514.5014.1814.1813.5915.1212.8711.6612.1915.4812.6512.2011.7414.1212.7012.9612.3915.7814.0513.8313.6216.4614.9615.1013.85
9.087.578.417.336.465.366.015.315.083.865.425.455.475.086.036.17-6.094.615.115.065.164.745.105.465.104.102.375.624.874.383.744.484.773.194.734.124.703.484.344.704.494.535.923.622.323.276.114.273.543.004.113.813.713.315.63-13.782.743.494.214.905.264.61
9.087.578.417.336.465.366.015.315.083.865.425.455.475.086.036.17-6.094.615.115.065.164.745.105.465.104.102.375.624.874.383.744.484.773.194.734.124.703.484.344.704.494.535.923.622.323.276.114.273.543.004.113.813.713.315.63-13.782.743.494.214.905.264.61
--------------------------------------------------------------
9.257.808.487.316.365.295.905.235.063.855.415.435.455.066.006.14-6.164.535.014.965.044.635.005.364.994.012.265.484.744.233.644.304.623.064.614.004.583.354.234.564.364.415.773.482.223.176.014.183.452.913.953.653.543.135.43-13.993.173.294.124.825.204.59
6.755.746.155.284.623.864.283.743.722.833.853.963.993.683.502.78-4.163.293.623.583.613.353.503.883.622.912.643.422.992.782.092.682.861.972.872.442.832.072.482.872.572.592.861.661.351.923.182.462.101.762.422.752.141.943.49-14.392.131.803.772.913.152.64
0.520.510.520.520.520.510.530.520.530.500.490.480.470.460.450.460.440.480.500.500.530.500.550.510.510.490.510.480.490.500.510.490.510.510.500.490.480.480.510.460.460.470.460.460.500.520.470.530.540.520.500.510.470.460.420.460.450.430.350.460.480.49
28.7124.9925.4723.0624.0924.4429.1323.6924.8731.3441.3533.1931.8540.7235.5846.8441.8555.5850.4250.4150.4846.9044.7341.4438.0937.3139.8336.4638.2038.0944.8437.6939.5441.1340.6230.5921.7029.6131.2920.0222.8827.3126.1032.7430.5634.7324.4429.8430.2928.8129.0333.3730.6329.1529.3937.7434.6431.9125.1729.2526.3023.54
1.061.071.071.051.071.081.151.131.111.131.201.161.161.131.191.131.041.121.181.191.191.201.261.191.191.211.251.131.161.141.201.171.221.171.201.161.141.181.281.161.181.171.181.151.111.161.111.161.211.191.171.191.041.040.971.041.101.070.911.081.061.02
84.9084.0783.8385.9784.2883.1278.3379.9481.1079.9675.1577.8777.6379.5975.8279.4086.5380.4476.0375.8075.3974.9471.6075.4275.3274.4971.9079.8377.5378.6675.0576.6673.9376.7074.8077.4778.7076.4470.1977.8776.1576.7676.3078.2981.1177.5381.0277.3174.3875.7677.2475.7286.6386.4392.7786.1581.7684.4899.4383.2884.6588.52
9.027.548.567.456.645.396.405.745.153.444.514.664.664.013.893.05-4.303.734.224.144.434.004.554.494.093.293.194.013.603.462.763.283.672.323.402.793.182.313.113.112.742.874.482.221.532.214.023.032.642.192.982.652.442.063.33-15.342.221.792.683.373.933.38
22.8218.1022.7923.3922.8219.9627.3933.0921.2210.9613.1415.3115.3312.5312.9010.84-15.8520.7422.7317.2921.3722.9330.2424.2725.8022.9724.9058.8195.972,28459.8549.7312219.3530.7120.5530.1030.9747.6426.5322.2327.3664.2157.904.226.3012.229.789.328.3012.0610.9311.224.847.58-33.946.385.788.9112.5816.8017.30
3.502.953.202.732.381.982.291.941.961.401.871.881.901.681.581.27-1.821.561.801.811.911.691.942.001.841.451.341.631.481.401.101.331.491.001.421.211.371.001.311.381.251.291.910.910.691.021.761.321.150.941.231.141.030.891.41-6.531.010.791.101.331.511.28
9.027.548.567.145.984.655.734.694.583.084.074.154.143.573.452.68-3.743.003.703.683.873.463.923.883.512.812.713.212.872.742.182.492.761.942.832.322.641.902.542.572.262.363.651.741.381.993.612.722.361.962.662.362.171.832.95-13.531.991.602.382.903.362.86
58.7855.6552.5248.3644.9443.3841.4238.6739.5641.2142.2740.1338.9138.7537.5036.5635.4136.9736.6035.1933.7632.3031.1130.8129.8328.9428.4727.5126.6825.8925.6626.0625.2824.4624.2424.1123.4822.8722.7023.2723.0822.6722.1221.3820.9820.7320.2719.9719.3818.9918.7418.6618.3017.8617.6616.8319.4218.8918.5318.0217.3116.54
8.742.8018.9110.044.52-1.769.934.86-0.37-1.815.872.11-0.13-1.6114.559.915.04-1.406.293.13-0.75-1.024.641.13-0.56-1.006.144.011.72-0.074.292.100.78-0.614.211.51-0.10-0.283.681.620.58-0.362.201.00-0.77-1.402.720.64-0.16-0.492.190.860.09-0.511.05-0.45-1.09-1.085.354.032.060.18
7.932.3917.559.113.97-2.059.094.21-0.90-2.025.251.67-0.41-1.7513.759.324.58-1.615.532.52-1.12-1.233.910.65-0.82-1.115.633.611.45-0.233.671.650.49-0.743.711.19-0.30-0.363.401.430.38-0.461.730.66-0.97-1.492.210.23-0.43-0.601.770.58-0.06-0.580.77-0.65-1.20-1.135.013.781.870.06