Entravision Communications Financial Ratios for Analysis 2009-2024 | EVC

Fifteen years of historical annual and quarterly financial ratios and margins for Entravision Communications (EVC).

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
1.421.641.822.263.175.025.443.803.582.813.162.242.733.071.60
0.470.420.450.430.430.420.460.610.650.700.730.981.000.970.94
0.940.740.830.770.750.730.851.581.872.342.6863.10-676.7638.2514.42
16.0821.9323.3138.4242.9284.8669.2952.4353.7455.4354.7158.6854.4357.7055.66
-0.414.217.951.92-0.6011.2751.8418.9021.7424.6524.0926.3317.991.93-10.33
-0.414.217.951.92-0.6011.2751.8418.9021.7424.6524.0926.3317.991.93-10.33
2.166.9510.977.095.6716.9654.9824.9928.1731.2331.7735.0229.4812.672.04
-1.663.327.090.03-4.147.1948.2512.9716.5418.83-0.148.83-1.24-10.62-27.35
-1.391.893.85-1.14-7.214.0832.787.8910.0811.2159.776.09-4.22-9.02-26.46
1.281.090.890.460.420.430.700.500.480.460.420.510.420.410.39
---------------
4.694.263.772.423.833.766.363.973.833.733.934.654.394.824.24
77.7785.7896.8715195.2797.2057.4391.8895.3797.9692.9878.5383.1275.6586.17
-7.027.0713.71-0.50-6.843.6550.4511.1215.3218.6398.382521,462-174.63-198.42
13.57-28.45-40.092.8871.28-64.84-46,848.99-20.31-21.32-18.65-94.82-4.962.906.6416.94
-1.802.294.14-0.19-3.001.7622.933.944.885.1424.863.10-1.75-3.68-10.26
-3.704.097.59-0.29-3.932.1227.424.345.375.6326.963.93-2.16-4.46-12.90
2.493.262.973.253.423.803.852.031.881.671.540.06-0.010.120.30
0.860.900.740.750.370.373.280.630.690.600.370.460.210.440.22
0.550.800.790.710.070.193.150.530.540.500.250.350.110.340.09

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
2.703.041.391.421.501.501.641.641.601.691.811.821.982.332.402.264.143.483.193.174.104.134.355.025.445.606.505.446.932.704.513.804.334.333.993.584.123.683.532.813.593.463.973.163.372.572.772.243.082.523.492.733.883.103.553.073.361.881.611.601.401.292.10
0.470.460.530.470.460.470.420.420.430.450.450.450.450.420.430.430.450.460.460.430.450.440.430.420.460.460.460.460.450.600.600.610.630.640.650.650.670.690.690.700.700.710.720.731.020.960.980.980.981.001.011.000.990.980.980.970.910.920.940.940.790.790.79
0.900.851.150.930.880.900.740.740.760.830.840.830.840.740.760.770.830.860.870.750.840.800.750.730.880.880.870.850.841.521.541.581.761.811.871.872.102.202.272.342.422.482.602.68-66.8624.1060.1563.1050.55-403.76-102.79-676.7670.7561.0262.7438.2510.3511.5115.2414.423.703.773.71
35.7532.0313.9311.7335.2934.2017.3223.3722.3421.2620.0122.4623.1623.0125.2331.7149.2136.6447.0443.0640.7944.3843.4620239.7542.8237.67-2.1893.4145.1549.8514.1096.5152.3249.4051.7457.4052.5252.9155.4255.3757.7952.7657.8255.2554.3750.6561.6460.1758.0253.5054.5754.9455.2652.7358.8160.6058.5251.7857.9558.5657.2947.59
7.81-4.05-20.15-0.48-4.91-5.382.792.276.606.062.115.2910.309.107.6416.9122.63-3.19-54.8312.33-5.51-16.727.7121.308.5013.55-0.484.8676.8113.1314.0020.7920.3320.5613.1518.6827.4519.9720.2322.4225.9529.2420.5125.0826.2526.3117.7832.3829.2825.1815.6718.3419.9820.4812.49-55.8725.1526.1711.09-82.1122.7715.941.44
7.81-4.05-20.15-0.48-4.91-5.382.792.276.606.062.115.2910.309.107.6416.9122.63-3.19-54.8312.33-5.51-16.727.7121.308.5013.55-0.484.8676.8113.1314.0020.7920.3320.5613.1518.6827.4519.9720.2322.4225.9529.2420.5125.0826.2526.3117.7832.3829.2825.1815.6718.3419.9820.4812.49-55.8725.1526.1711.09-82.1122.7715.941.44
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4.26-8.39-21.44-0.80-9.19-10.110.811.345.465.341.394.559.558.116.5816.0520.25-6.48-57.998.89-9.11-20.264.1315.625.0110.13-4.00-6.8975.778.067.8515.2314.4814.796.5113.3822.7214.5614.8316.7020.3423.6514.0018.86-33.8712.261.9414.9314.476.50-3.88-1.131.131.66-7.38-74.1515.2316.48-1.52-94.836.70-1.32-21.41
-12.33-38.33-17.62-2.543.51-2.700.85-0.553.903.820.961.656.104.413.6511.8414.325.18-55.4010.39-17.75-23.512.208.422.976.51-2.7116.8546.994.964.559.968.298.823.918.8713.428.758.879.1012.9414.128.33251-37.018.91-1.9512.0712.373.79-7.30-4.07-2.76-0.70-10.06-57.8012.0213.03-5.07-71.621.33-3.75-34.75
0.170.150.340.830.090.090.270.340.280.260.230.270.240.230.200.230.110.080.100.110.100.100.090.120.100.100.090.100.440.130.110.140.120.120.110.120.130.110.110.120.110.110.100.110.130.130.110.150.130.120.100.110.100.100.090.100.100.110.090.100.090.090.08
---------------------------------------------------------------
1.391.201.3510.230.370.351.251.321.241.201.141.161.181.261.131.211.070.871.010.991.000.990.981.030.960.970.910.874.611.001.061.081.051.060.960.991.071.071.221.000.960.990.981.051.111.091.061.331.221.131.131.131.191.191.191.221.141.101.091.081.051.041.02
64.6274.9766.858.8024525672.1168.2572.5575.0579.1677.6376.0571.4879.8974.4484.1210389.4890.7289.9990.7891.4886.9794.2492.4899.2810319.5490.3585.2383.3285.9184.7494.0291.3384.2184.5073.9889.5893.8691.0791.8285.4381.0282.8485.0067.8073.9579.7879.6879.7375.4875.5075.6073.8479.0481.4682.7383.6585.6886.2688.35
-5.231.69-29.77-2.42-2.56-2.490.590.253.263.320.751.515.483.652.498.283.500.93-14.342.55-4.27-5.370.442.070.661.45-0.533.5246.031.841.403.823.063.321.363.475.773.413.544.085.385.983.1411138135.85-16.88143101-231.6191.88362-24.75-5.43-70.17-282.6416.7522.30-9.23-136.410.68-1.88-14.69
24.99-12.1146.3117.725.304.69-2.54-1.02-11.09-9.85-2.09-4.40-15.34-36.64-19.08-47.48-62.91-10.60145-26.6141.2070.85-5.48-36.67-12.71-27.6418.13-3,271.732,749-2.74-2.74-6.97-5.02-5.04-1.91-4.83-7.30-3.87-3.75-4.09-5.65-5.92-3.21-107.057.55-1.920.35-2.81-2.65-0.731.190.720.500.131.6010.75-2.28-2.410.7411.65-0.250.675.25
-1.950.66-6.42-0.62-0.70-0.670.190.081.041.010.220.451.681.350.933.061.500.39-5.811.12-1.78-2.330.201.000.300.65-0.241.6020.580.630.511.351.021.090.441.111.710.981.001.131.461.600.8228.07-4.691.13-0.221.761.600.46-0.75-0.43-0.29-0.07-0.93-5.961.231.43-0.46-7.060.13-0.34-2.71
-2.750.92-13.99-1.28-1.39-1.330.340.151.871.830.410.833.012.111.434.701.920.51-7.731.47-2.33-3.000.251.200.350.78-0.291.9125.140.740.551.491.121.190.481.221.881.071.091.231.591.730.8830.44-5.851.43-0.282.221.970.58-0.90-0.54-0.35-0.09-1.10-7.221.481.79-0.57-8.870.15-0.40-3.12
2.302.451.932.492.712.663.273.263.283.012.942.972.963.363.303.253.062.972.953.423.383.563.793.803.773.793.793.853.782.102.082.031.971.931.881.881.831.751.701.671.691.631.571.54-0.060.160.070.060.08-0.01-0.04-0.010.070.080.070.120.450.370.280.301.181.161.17
0.690.560.370.860.790.540.410.900.890.720.600.740.610.510.270.750.300.230.140.370.280.230.160.370.250.190.043.283.180.250.140.630.430.270.120.690.520.380.280.600.370.220.070.370.200.14-0.020.460.160.07-0.070.210.060.11-0.040.440.200.110.060.220.120.050.00
0.140.510.340.550.560.370.330.800.830.720.580.790.670.470.250.710.270.210.110.070.030.070.090.190.110.120.013.153.080.170.120.530.350.220.090.540.390.280.240.500.300.170.050.250.120.09-0.050.350.080.03-0.090.11-0.020.05-0.070.340.120.040.030.090.01-0.03-0.01