Evogene Financial Ratios for Analysis 2011-2024 | EVGN

Fifteen years of historical annual and quarterly financial ratios and margins for Evogene (EVGN).

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
2023202220212020201920182017201620152014201320122011
4.966.718.275.368.5310.2215.6117.1318.5114.9515.126.046.67
-------------
-------------
70.0045.7317.5344.8155.6416.8915.8513.7825.8233.0942.4744.0544.63
-470.00-1,608.42-3,328.28-2,385.96-2,810.89-1,144.19-649.13-322.46-161.03-105.13-49.60-18.28-21.21
-470.00-1,608.42-3,328.28-2,385.96-2,810.89-1,144.19-649.13-322.46-161.03-105.13-49.60-18.28-21.21
-423.69-1,454.39-3,088.06-2,123.75-2,443.16-1,028.56-585.68-287.61-139.17-89.64-37.99-7.56-11.75
-460.76-1,776.36-3,272.26-2,516.73-2,535.33-1,189.58-616.00-299.02-154.67-100.13-50.50-14.294.30
-423.39-1,590.33-2,988.49-2,247.50-2,405.31-1,188.21-616.33-299.57-154.67-100.13-50.50-14.764.30
0.110.030.010.010.010.030.040.070.100.110.130.260.22
22.261.618.34----------
1.690.920.320.290.351.713.264.913.017.006.667.798.37
2163991,1511,2611,04321311274.3412152.1254.8146.8343.60
-90.48-85.78-48.01-46.07-31.74-41.37-30.04-22.45-16.59-12.52-7.12-5.231.34
-167.27-144.52-63.15-64.32-44.31-41.37-30.04-22.45-16.59-12.52-7.12-5.231.34
-50.79-53.17-39.90-36.44-26.79-35.46-26.85-20.41-15.29-11.39-6.47-3.890.95
-90.48-85.78-48.01-46.07-31.74-41.37-30.04-22.45-16.59-12.52-7.12-5.231.34
5.678.4315.4015.9823.3819.5326.9434.2640.8445.79---
-4.72-5.75-6.11-6.93-6.86-5.89-6.20-4.60-4.89-3.54-2.70-0.520.57
-4.89-6.03-6.32-7.17-7.21-6.03-6.43-4.91-5.68-4.96-3.52-1.33-0.43

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-31
4.375.064.966.255.595.866.717.306.807.588.279.7212.7413.655.369.788.269.558.5311.3810.149.8810.2211.8612.9614.5415.6116.7017.6615.1517.1317.0418.1022.2018.5122.8720.3719.7914.9617.8517.5617.8415.126.115.976.776.047.197.157.906.67
---------------------------------------------------
---------------------------------------------------
41.2592.6031.1486.4329.5149.7744.8574.2516.0331.2214.1533.115.1918.621.4276.2761.7548.0030.1716.4947.4079.601.2624.8030.0822.4013.6227.0113.5810.264.157.6812.8924.8518.6824.8427.2632.2534.8925.9236.8833.4535.5838.9743.0851.5645.2538.8241.1150.48100.00
-667.61-97.52-1,319.72-111.04-1,208.10-1,060.22-573.03-1,522.96-2,566.35-3,398.73-2,794.86-5,666.23-5,515.56-1,879.58-2,044.73-1,757.28-1,753.69-9,144.00-5,931.89-5,064.95-2,449.48-1,341.67-829.45-1,390.46-1,232.98-1,351.37-820.03-735.56-438.62-729.40-521.36-336.72-286.56-227.38-177.71-114.29-174.77-152.83-178.02-135.46-96.36-67.75-125.24-60.13-36.64-12.44-19.76-27.30-24.05-2.38100.00
-667.61-97.52-1,319.72-111.04-1,208.10-1,060.22-573.03-1,522.96-2,566.35-3,398.73-2,794.86-5,666.23-5,515.56-1,879.58-2,044.73-1,757.28-1,753.69-9,144.00-5,931.89-5,064.95-2,449.48-1,341.67-829.45-1,390.46-1,232.98-1,351.37-820.03-735.56-438.62-729.40-521.36-336.72-286.56-227.38-177.71-114.29-174.77-152.83-178.02-135.46-96.36-67.75-125.24-60.13-36.64-12.44-19.76-27.30-24.05-2.38100.00
---------------------------------------------------
-654.70-91.77-1,270.07-102.55-1,186.09-1,096.10-572.12-1,536.05-3,114.10-3,841.35-2,601.29-5,519.87-5,107.41-2,135.74-2,489.46-1,712.34-1,616.44-9,610.67-5,748.27-4,671.13-2,156.25-1,078.16-918.58-1,310.63-1,254.88-1,470.77-847.96-671.66-402.38-671.15-561.70-331.58-246.85-167.26-222.49-102.21-186.37-126.21-132.97-131.80-82.86-60.41-95.63-54.09-43.54-10.40-15.77-25.21-27.6510.71100.00
-592.89-92.20-1,142.04-105.76-1,073.85-978.32-454.24-1,404.29-2,827.24-3,491.56-2,370.10-5,039.74-4,600.00-1,982.58-2,313.96-1,514.56-1,422.15-8,304.00-5,239.65-4,361.86-2,132.29-1,065.81-913.54-1,308.45-1,258.31-1,471.59-847.96-671.66-402.63-672.26-562.97-332.94-246.85-167.26-222.17-102.21-186.37-126.21-132.50-132.08-82.88-60.59-95.56-54.30-43.56-10.42-15.88-25.76-29.1410.8625.84
0.020.090.010.070.010.010.010.010.010.000.000.000.000.000.000.000.000.000.000.000.000.010.010.010.010.010.010.010.010.010.010.020.020.020.020.030.020.020.030.020.030.030.030.070.070.070.070.060.060.060.17
0.680.435.244.521.850.540.640.731.620.952.90----------------------------------------
0.221.130.171.170.410.320.360.180.140.080.110.080.050.120.100.170.170.030.050.060.100.190.620.200.210.210.710.390.560.290.890.821.110.810.671.621.451.721.761.311.331.331.671.181.261.612.202.040.892.026.49
40179.3251976.812202842505136611,1018481,1961,6697589225415352,7861,6691,58494647414544243042112723316231310211080.7411113555.4962.0152.2151.1868.8467.5667.6753.8476.1071.2855.9640.9144.0110144.5713.87
-30.02-15.15-25.58-10.76-25.00-24.50-10.98-18.70-21.49-16.64-12.75-11.79-9.00-8.67-15.41-9.65-9.45-13.13-11.11-6.85-9.66-8.03-11.59-8.66-7.95-8.37-8.97-6.70-5.98-5.82-7.61-5.48-4.57-3.33-5.27-3.13-4.49-3.00-4.15-3.47-2.62-1.89-3.38-4.95-3.98-0.99-1.59-2.13-2.460.936.21
-82.49-30.86-47.29-17.19-44.57-47.83-18.50-29.95-31.70-22.85-16.77-15.08-11.31-10.76-21.51-13.63-14.02-18.94-15.51-9.26-9.66-8.03-11.59-8.66-7.95-8.37-8.97-6.70-5.98-5.82-7.61-5.48-4.57-3.33-5.27-3.13-4.49-3.00-4.15-3.47-2.62-1.89-3.38-4.96-3.98-0.99-1.59-2.14-2.470.936.22
-14.61-8.22-14.36-6.68-14.58-14.11-6.81-12.06-17.21-13.62-10.59-10.00-7.88-7.67-12.19-8.20-7.88-11.16-9.38-5.92-7.75-6.51-9.93-7.58-7.00-7.48-8.02-6.05-5.42-5.27-6.92-5.02-4.21-3.09-4.86-2.91-4.13-2.76-3.78-3.22-2.42-1.74-3.07-3.85-3.03-0.76-1.18-1.61-1.820.694.40
-30.02-15.15-25.58-10.76-25.00-24.50-10.98-18.70-21.49-16.64-12.75-11.79-9.00-8.67-15.41-9.65-9.45-13.13-11.11-6.85-9.66-8.03-11.59-8.66-7.95-8.37-8.97-6.70-5.98-5.82-7.61-5.48-4.57-3.33-5.27-3.13-4.49-3.00-4.15-3.47-2.62-1.89-3.38-4.95-3.98-0.99-1.59-2.13-2.460.936.21
3.915.015.657.097.466.858.439.2911.0213.2915.4017.1918.8720.3215.9817.7219.7921.3323.3825.6816.6418.1519.5321.6623.2824.9926.9429.4630.8232.5134.2636.7338.3939.8340.84--44.8345.79------------
-1.88-0.81-4.72-3.20-2.71-1.51-5.75-5.20-3.49-1.87-6.11-4.07-2.67-1.20-6.93-4.69-3.20-2.13-6.86-5.05-3.64-2.08-3.19-4.74-3.30-1.92-6.20-4.80-3.49-1.91-4.60-2.92-1.74-0.79-4.99-3.07-2.17-0.98-3.50-2.97-2.15-1.24-2.50-1.24-0.88-0.75-0.49-0.58-1.00-0.170.65
-1.91-0.84-4.89-3.34-2.82-1.59-6.03-5.43-3.67-1.98-6.32-4.22-2.77-1.25-7.17-4.90-3.36-2.24-7.21-5.25-3.72-2.11-3.25-4.84-3.35-1.93-6.43-4.97-3.60-1.99-4.91-3.20-1.94-0.94-5.79-3.61-2.51-1.19-4.90-3.91-2.15-1.36-3.26-1.59-1.07-0.79-1.25-1.37-1.57-0.48-0.50