EMCORE Financial Ratios for Analysis 2009-2024 | EMKR

Fifteen years of historical annual and quarterly financial ratios and margins for EMCORE (EMKR).

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
3.212.955.193.102.345.325.766.096.401.421.591.041.361.551.60
0.250.21-------------
0.360.27--0.07----0.240.210.280.180.090.09
23.948.9738.8132.3117.2921.5934.6133.6535.1221.8220.1210.8821.2826.49-3.58
-49.88-90.5511.98-6.39-41.40-21.396.313.19-5.54-36.62-14.67-21.75-16.19-11.20-79.93
-49.88-90.5511.98-6.39-41.40-21.396.313.19-5.54-36.62-14.67-21.75-16.19-11.20-79.93
-44.92-86.7414.54-1.41-33.22-14.839.365.92-1.92-21.28-0.42-16.00-10.23-4.78-70.81
-50.53-90.2516.55-6.30-41.17-20.916.822.86-5.46-36.87-14.67-22.91-17.03-12.39-78.71
-77.12-53.6916.18-6.36-41.24-20.396.708.9977.258.748.18-23.92-17.03-12.39-78.71
0.680.240.880.870.800.660.850.720.510.290.350.961.181.080.97
2.571.573.002.923.003.223.202.533.092.771.524.154.774.395.77
6.273.284.974.354.724.445.524.994.724.351.464.435.764.774.47
58.1811173.3783.9377.3782.1766.1373.1377.3983.9625082.3263.3576.5781.58
-61.54-34.5518.65-9.44-46.89-16.346.812.44-1.683.63-5.49-56.75-34.76-20.89-112.00
-72.62-47.7918.69-9.48-47.08-16.346.812.44-1.683.64-7.06-86.64-47.40-28.79-153.26
-34.34-21.5614.18-5.55-32.84-13.505.712.06-1.412.13-3.20-23.06-20.09-13.32-76.25
-45.93-27.3318.65-9.44-46.89-16.346.812.44-1.683.63-5.49-56.75-34.76-20.89-112.00
10.4131.3837.1725.0926.5638.7344.6840.8952.7536.1133.7528.3241.9253.2661.33
-6.531.133.12-1.34-5.410.544.25-2.09-1.310.33-8.33-6.37-2.831.64-14.94
-4.770.312.042.40-9.10-1.850.93-3.54-2.22-0.62-10.45-6.13-6.590.97-15.56

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
2.883.273.113.213.142.982.942.953.955.395.225.194.664.573.213.103.043.402.722.342.563.514.125.325.086.757.175.765.625.775.226.097.258.396.896.406.126.874.381.421.491.541.571.591.361.401.221.041.081.161.271.361.411.461.531.551.561.621.521.601.882.07
0.130.100.090.110.090.090.100.21-----------------------------------------------------0.00
0.180.120.120.140.110.110.110.27----------0.060.07-------------------0.240.220.180.170.210.220.220.240.280.300.260.070.180.130.130.110.090.100.090.100.090.040.04
24.5316.5425.2425.7527.1720.0521.9246.2916.4627.6237.4038.8140.3838.1037.6137.1733.8126.9529.33-0.9521.5126.7124.2017.546.7626.5632.9336.3735.0333.8733.2835.6233.1232.6132.9141.0536.2533.4728.1229.1319.5622.3716.3112.4712.0818.5322.209.6810.6814.239.2619.2519.1422.4124.3323.6427.4832.7021.963.79-6.31-16.18
-45.33-38.83-17.87-107.68-10.52-37.67-39.8964.09-29.98-7.085.9112.5114.9911.937.501.83-4.45-20.88-5.70-60.12-59.31-25.33-24.18-22.25-44.89-21.10-3.385.896.495.397.516.896.80-1.700.095.274.09-8.38-27.18-42.59-37.11-31.70-34.71-16.54-22.9128.795.77-13.25-21.33-23.52-31.21-27.54-22.64-8.88-5.33-3.32-17.90-1.79-24.59-41.08-119.50-59.75
-45.33-38.83-17.87-107.68-10.52-37.67-39.8964.09-29.98-7.085.9112.5114.9911.937.501.83-4.45-20.88-5.70-60.12-59.31-25.33-24.18-22.25-44.89-21.10-3.385.896.495.397.516.896.80-1.700.095.274.09-8.38-27.18-42.59-37.11-31.70-34.71-16.54-22.9128.795.77-13.25-21.33-23.52-31.21-27.54-22.64-8.88-5.33-3.32-17.90-1.79-24.59-41.08-119.50-59.75
--------------------------------------------------------------
-56.50-39.16-17.97-108.26-11.23-38.40-40.4362.85-32.19-7.175.9912.3631.9311.638.062.36-4.67-21.53-5.18-61.58-60.76-22.90-23.01-23.11-47.49-17.40-1.737.537.935.676.256.756.05-1.47-0.594.394.34-7.09-27.38-43.32-37.37-33.11-33.44-5.23-21.7627.675.97-13.83-22.01-24.71-33.60-27.42-22.39-11.02-7.00-1.64-19.77-3.03-28.61-40.13-117.83-54.84
-68.30-43.27-23.54-155.33-36.89-50.42-58.5331.69-32.31-6.815.7211.5531.9211.417.692.10-4.72-21.30-5.24-61.63-60.85-22.97-23.07-23.32-47.49-16.49-0.347.567.835.675.827.805.8118.494.396.4311.5116.02305108-23.17-41.94-14.01-5.23-21.7627.675.73-13.83-22.01-24.71-37.99-27.42-22.39-11.02-7.00-1.64-19.77-3.03-28.61-40.13-117.83-54.84
0.190.160.180.190.160.130.11-0.280.120.170.220.240.240.230.260.270.230.220.240.220.140.170.180.200.130.130.170.200.220.240.230.200.130.130.140.140.130.090.080.070.080.080.090.250.200.240.290.280.230.220.230.310.280.280.300.300.270.260.240.220.200.18
0.530.510.560.690.540.480.39-1.090.680.840.850.830.760.800.750.830.740.740.721.020.430.770.891.000.680.580.690.740.770.820.710.680.790.861.010.790.800.820.830.650.400.350.381.170.810.971.041.220.940.991.141.271.231.171.241.291.001.001.051.231.041.06
1.411.411.431.721.531.071.17-3.850.971.201.301.381.351.291.231.321.371.201.321.310.931.081.311.311.191.051.041.311.391.871.441.391.031.111.561.331.501.111.201.120.310.350.411.030.851.071.341.291.341.341.461.491.311.241.501.351.251.131.041.030.920.88
64.0063.7263.1352.3658.7883.8077.10-23.3792.3374.9969.0065.2166.5369.9273.4467.9765.5374.7868.0968.5196.4483.3268.8568.7375.5485.8686.6168.6864.8048.0862.7264.8087.0080.7857.7567.7259.8080.8174.8580.3528626022087.3610684.1767.1570.0167.3566.9761.8460.2268.8672.6059.8266.7872.0579.8086.4487.5497.96102
-22.09-11.55-5.78-35.93-2.87-8.24-7.51-28.23-5.73-1.591.713.6910.383.773.310.95-1.78-6.98-1.75-19.51-11.56-5.12-5.45-5.51-7.55-2.58-0.071.792.081.631.611.620.82-0.11-0.101.000.35-0.54-1.8415.11-4.60-4.88-3.81-2.23-8.0912.173.43-9.52-12.33-11.60-16.41-14.52-10.17-4.83-3.28-0.78-8.12-1.21-10.35-13.12-32.89-13.07
-27.82-13.86-6.85-42.39-4.26-11.39-10.60-39.05-5.81-1.591.723.7010.403.773.320.95-1.79-7.01-1.76-19.59-11.70-5.12-5.45-5.51-7.55-2.58-0.071.792.081.631.611.620.82-0.11-0.101.000.35-0.55-1.8415.12-5.98-6.33-4.90-2.86-10.8416.044.80-14.53-18.39-16.76-23.36-19.80-13.97-6.71-4.54-1.08-11.28-1.66-14.38-17.96-43.61-17.34
-10.65-6.43-3.23-20.04-1.76-4.98-4.50-17.61-3.95-1.181.262.817.682.642.010.56-1.08-4.58-1.25-13.67-8.27-3.84-4.26-4.55-6.19-2.22-0.061.501.731.371.321.370.71-0.10-0.080.840.29-0.47-1.438.87-2.62-2.89-2.29-1.30-4.336.591.64-3.87-5.15-5.39-8.71-8.39-6.19-3.04-2.08-0.50-5.32-0.80-6.75-8.94-23.93-10.04
-19.30-10.39-5.24-32.04-2.60-7.51-6.79-22.33-5.73-1.591.713.6910.383.773.310.95-1.78-6.98-1.75-19.51-11.56-5.12-5.45-5.51-7.55-2.58-0.071.792.081.631.611.620.82-0.11-0.101.000.35-0.54-1.8415.11-4.60-4.88-3.81-2.23-8.0912.173.43-9.52-12.33-11.60-16.41-14.52-10.17-4.83-3.28-0.78-8.12-1.21-10.35-13.12-32.89-13.01
5.778.219.7610.4119.4621.0828.7431.3835.5837.3837.8237.1735.5531.6526.0325.0924.5824.8626.3026.5631.5035.0036.7138.7340.5443.3944.6244.6843.6042.3641.7240.8955.0354.4153.2352.7552.2954.3953.9436.1130.7831.5633.2333.7533.6436.0033.8228.3230.4833.6836.8741.9246.8850.4851.9753.2653.4357.2857.3561.3368.5492.50
-1.62-1.42-0.46-6.53-4.51-5.04-2.301.132.183.101.593.121.730.510.50-1.34-1.85-2.45-2.07-5.41-4.18-2.55-1.040.540.450.03-0.724.252.812.820.24-2.09-1.610.112.23-1.31-0.67-1.790.880.331.172.402.25-8.14-4.78-3.83-1.72-6.37-1.704.668.88-2.83-1.10-0.462.081.64-2.49-0.08-0.61-14.94-15.32-15.62
-1.58-1.34-0.37-4.77-2.84-2.960.390.311.662.521.102.041.110.350.222.402.221.85-1.92-9.10-7.26-4.57-2.09-1.85-0.89-0.95-1.420.930.321.17-0.96-3.54-2.60-0.931.58-2.22-1.37-2.130.63-0.620.612.062.02-10.21-7.17-5.54-2.42-6.13-1.101.467.43-6.59-2.56-1.241.620.97-2.88-0.20-0.65-15.56-15.91-16.20