Enlightify Financial Ratios for Analysis 2009-2024 | ENFY

Fifteen years of historical annual and quarterly financial ratios and margins for Enlightify (ENFY).

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
2024202320222021202020192018201720162015201420132012201120102009
2.082.502.552.753.604.914.907.468.475.373.744.383.833.7827.530.05
0.020.01----0.020.020.02-------
0.090.050.030.020.010.030.030.040.030.060.070.050.060.02-0.70
20.5817.6617.3417.5818.3321.9625.8229.7734.6139.4739.0736.6036.4435.4059.42-
-30.10-10.97-49.75-67.46-60.126.3910.3811.3412.1315.8415.1325.5424.7923.4347.88-
-30.10-10.97-49.75-67.46-60.126.3910.3811.3412.1315.8415.1325.5424.7923.4347.88-
-27.26-9.03-47.88-62.05-57.788.2012.7517.6427.1233.9629.3832.3427.5526.6352.85-
-30.06-10.78-48.57-67.31-60.226.1510.0611.2311.9315.3314.3925.3424.2523.3448.15-
-29.64-10.70-58.39-66.06-59.613.94-2.419.059.1911.9410.9320.6419.2918.3140.87-
0.590.670.860.680.670.610.590.610.650.610.590.620.760.800.40-
2.012.203.302.591.901.423.962.502.011.571.883.984.834.891.88-
5.817.545.852.692.322.031.651.992.313.842.522.543.5110.263.35-
62.8148.3862.3913615818022218315894.9814514410435.56109-
-28.38-10.59-59.75-66.66-53.372.92-1.786.216.678.437.6815.0817.3217.1616.57321
-32.73-11.88-67.19-72.77-58.063.13-1.916.727.299.148.4616.8920.0220.7818.21-50.73
-17.40-7.11-41.27-46.86-41.002.41-1.445.425.937.326.4912.8414.5714.7416.161,000
-27.86-10.52-59.75-66.66-53.372.92-1.746.086.558.437.6815.0817.3217.1516.57321
6.779.3711.1022.0941.3999.46121124120125123119106---
-0.71-0.07-2.13-1.88-11.78-21.078.746.8411.2423.866.3513.872.8515.586.250.00
-0.83-0.18-2.15-1.92-11.80-21.098.736.8311.2323.705.7413.641.725.053.28-

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
2.042.082.222.352.492.502.762.732.792.551.432.322.602.752.652.903.213.604.225.154.984.915.855.585.184.908.647.657.607.468.8611.499.448.4712.915.154.205.374.343.143.523.744.013.654.134.384.103.793.813.833.192.783.213.782.192.692.7327.5324.11-5.283.984.00
0.060.02--0.010.010.010.010.01-------------0.020.020.020.020.020.020.020.020.020.02-0.02-----------------------------
0.110.090.070.060.040.050.050.050.040.030.040.030.020.020.020.020.020.010.010.020.030.030.030.030.030.030.020.030.040.040.040.030.030.030.010.050.060.060.060.070.070.070.090.060.050.050.060.060.060.060.060.060.060.020.040.040.04---0.030.100.13
22.9623.7919.2518.7020.7618.1116.3018.4018.7917.4315.9317.4019.7918.1216.8617.2718.6917.2614.7017.8025.8919.4419.5723.4328.4219.6825.6329.0930.4924.7026.2632.6537.8627.1831.4539.7444.6435.8935.4742.3948.0932.8637.2246.3944.6735.1333.0138.8042.8637.5537.4534.7835.5935.0438.1034.9233.2429.0760.3399.9861.7260.9557.23
-10.16-47.13-33.31-30.28-7.97-35.820.41-14.99-1.95-44.01-52.30-58.75-40.33-141.59-23.61-88.12-66.65-126.92-56.47-56.08-13.41-4.826.898.1818.534.2811.6615.6111.067.4311.9212.1014.679.0213.1110.1517.3114.2916.2613.1120.449.1314.1113.4826.5125.7025.0923.7227.9025.4226.4221.6825.0320.7527.2522.3224.438.2746.21100.0055.1349.5250.46
-10.16-47.13-33.31-30.28-7.97-35.820.41-14.99-1.95-44.01-52.30-58.75-40.33-141.59-23.61-88.12-66.65-126.92-56.47-56.08-13.41-4.826.898.1818.534.2811.6615.6111.067.4311.9212.1014.679.0213.1110.1517.3114.2916.2613.1120.449.1314.1113.4826.5125.7025.0923.7227.9025.4226.4221.6825.0320.7527.2522.3224.438.2746.21100.0055.1349.5250.46
---------------------------------------------------------------
-10.83-47.34-33.08-30.24-7.99-35.320.42-14.66-1.91-43.42-50.04-57.67-40.42-139.98-23.66-88.34-66.75-126.99-56.52-56.30-13.51-5.096.717.7218.404.2011.4414.7210.917.1012.1411.8714.509.0413.179.7516.6513.7016.0212.5219.698.1213.5812.6125.9225.3425.1124.0027.1124.8625.5721.1724.8420.9526.8022.2024.058.7747.0299.9854.7149.0550.89
-10.61-45.57-33.10-30.17-7.97-34.950.42-14.66-1.91-37.66-62.28-81.26-45.91-120.84-22.01-91.54-73.45-120.64-58.52-54.64-14.40-6.644.734.8015.55-34.889.2412.318.205.4010.089.3711.886.2510.497.4913.3710.4612.489.6515.795.8910.269.0520.6320.4920.3619.7522.4319.3720.6716.3520.1515.5921.2517.6419.7537.0439.6742.2646.5341.9043.99
0.100.140.190.100.120.140.220.120.140.180.250.180.130.110.230.150.130.130.220.110.110.160.220.110.120.160.170.130.130.170.190.150.150.190.200.130.120.180.190.120.120.180.190.110.140.200.200.130.130.200.210.170.210.270.190.170.210.120.11-0.120.170.16
0.380.460.720.370.420.470.860.440.490.691.000.840.500.400.870.400.320.361.180.360.260.380.660.350.481.180.760.430.360.731.290.620.490.660.500.290.280.500.410.210.260.640.610.300.561.310.920.500.791.251.040.690.941.650.960.760.971.020.49-0.530.570.46
0.781.382.200.851.131.631.370.891.011.221.520.530.330.420.540.430.390.440.520.320.370.520.700.430.420.450.520.530.610.540.520.470.530.681.050.870.801.151.040.730.670.780.800.530.530.820.890.680.580.920.991.012.203.441.762.422.401.041.01-0.961.291.29
11665.3640.8210680.0055.3865.4910289.2673.8059.1217127221616821123320617528324617212920821219917417114816617219217013385.5310411278.5586.5812413511611216917111010113315497.3690.5989.3940.8326.1351.0237.1637.5586.5089.12-93.3869.9469.83
-1.79-10.34-9.75-4.40-1.45-7.460.13-2.51-0.38-9.92-28.89-16.10-7.72-21.00-7.83-18.45-12.11-21.17-15.91-7.31-1.91-1.271.270.652.34-7.001.721.871.250.922.161.501.951.332.201.171.982.202.741.502.371.282.211.153.344.824.833.153.524.895.423.595.224.905.553.915.214.674.43-6.1413.4813.81
-2.06-11.93-11.10-4.96-1.63-8.360.15-2.79-0.42-11.15-33.96-18.14-8.52-22.93-8.88-20.77-13.39-23.03-17.21-7.82-2.04-1.361.360.692.51-7.551.852.011.360.992.351.632.131.462.361.262.142.392.991.642.601.412.441.273.725.405.463.584.045.306.334.256.235.936.824.776.395.134.90-7.1113.9414.37
-1.07-6.34-6.28-2.89-0.98-5.010.09-1.75-0.27-6.85-12.47-10.65-5.32-14.77-5.46-13.33-9.00-16.26-12.71-6.08-1.58-1.051.060.541.92-5.691.531.641.100.801.921.361.781.192.061.001.621.912.311.191.951.081.900.982.854.104.082.622.953.854.392.814.284.214.043.074.084.554.30-5.477.146.95
-1.69-10.15-9.75-4.40-1.44-7.400.13-2.49-0.37-9.92-28.89-16.10-7.72-21.00-7.83-18.45-12.11-21.17-15.91-7.31-1.91-1.271.240.632.29-6.871.691.841.230.902.111.471.951.312.201.171.982.202.741.502.371.282.211.153.344.824.833.153.524.585.423.595.224.905.553.915.214.674.43-6.1413.4813.81
6.966.777.559.129.179.3710.7810.7010.5611.1012.4816.9920.3722.0931.8634.2138.6341.3949.7062.0776.8499.46123118119121138130125124118115122120122118119125124120126123123121117119---106-------------
-0.17-0.71-0.52-0.15-0.05-0.07-0.41-0.21-0.23-2.13-5.390.190.18-1.88-1.67-0.98-0.26-11.78-6.30-0.380.68-21.07-23.66-8.332.638.748.856.393.806.847.155.801.6411.246.465.102.3623.8619.9914.036.466.350.480.16-1.7213.867.424.782.792.86-0.23-1.22-0.8915.0711.010.55-1.706.023.630.000.000.000.63
-0.18-0.83-0.63-0.27-0.16-0.18-0.43-0.23-0.25-2.15-5.400.180.17-1.92-1.71-1.00-0.26-11.80-6.31-0.390.68-21.09-23.68-8.342.628.738.846.393.806.837.145.771.6211.236.455.092.3623.7019.8513.906.385.740.06-0.23-1.97-0.131.051.100.86-2.45-4.14-3.62-1.303.313.97-1.20-2.123.161.88---0.34