Evertec Financial Ratios for Analysis 2011-2024 | EVTC

Fifteen years of historical annual and quarterly financial ratios and margins for Evertec (EVTC).

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
1.881.872.852.351.911.581.151.231.311.420.961.342.34
0.610.450.490.580.650.710.790.850.860.870.860.860.59
1.620.910.991.451.932.504.165.996.717.276.616.241.43
51.5352.6857.5855.5756.2256.6050.7254.8655.0556.4654.5353.3851.61
19.6025.4533.3227.6929.6527.5721.1427.5127.6726.8124.0623.2619.47
19.6025.4533.3227.6929.6527.5721.1427.5127.6726.8124.0623.2619.47
34.3139.5247.3643.2445.5042.4238.1843.9145.9645.9044.7945.4141.41
12.2943.3130.8124.2623.9421.8514.7921.4121.9620.75-7.175.17-1.56
11.4838.6527.3220.4521.2319.0113.5219.2622.8618.29-7.5722.597.54
0.340.550.520.480.480.490.450.440.430.410.390.350.31
-------------
5.495.555.215.334.564.524.895.015.075.125.244.365.27
66.4765.8170.1168.4379.9980.6874.7072.9172.0371.3169.6983.7969.26
13.3550.3134.2730.6238.1840.1537.4569.4586.9369.76-24.3663.186.61
-11.23-160.35-118.19-38.11-28.04-19.75-10.45-13.37-14.67-10.874.31-11.85-5.33
3.8821.1114.089.7810.259.346.148.489.897.47-2.947.912.31
5.1727.6417.6112.7313.2511.707.8610.6111.908.91-3.499.072.72
9.147.326.534.753.772.982.041.491.311.221.421.685.04
3.413.223.132.732.452.322.002.262.101.770.791.080.95
3.082.832.802.492.142.131.852.011.831.630.650.860.83

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-31
1.971.821.591.881.621.982.011.872.222.952.952.852.642.602.342.352.322.002.031.911.911.801.471.581.731.631.351.151.001.221.411.231.211.301.411.311.421.681.451.421.641.341.130.961.691.431.721.34----
0.650.660.650.610.410.410.430.450.480.460.470.490.510.530.560.580.610.640.650.650.670.690.710.710.720.740.760.790.800.810.830.850.850.850.850.860.840.820.840.870.820.840.850.860.790.800.850.86----
1.891.972.051.620.750.740.790.911.000.890.930.991.091.181.331.451.611.851.921.932.122.322.542.502.632.883.344.164.664.925.135.996.076.065.956.715.674.855.577.274.895.546.296.613.994.215.696.24----
51.6154.0150.1049.3353.0751.8552.1852.1747.6953.7256.9756.2156.8260.1957.1456.8057.6251.6955.6653.7056.3357.0857.9156.9155.8456.6557.0049.0638.9658.4356.3952.2255.8057.0354.5455.2552.5156.1056.3455.6556.2857.2456.6955.7555.5053.1653.6355.6151.2252.7954.25-
19.6120.4615.9811.1722.8420.8125.0925.2716.3429.0530.6532.3432.2336.4032.2529.2132.1221.7026.8727.2129.2930.7531.4824.1728.8927.0330.4316.758.5728.9830.2124.9128.5928.8627.8228.6623.1129.3829.5321.4729.7727.8428.4728.6325.0118.9923.3627.3321.3321.6121.63-
19.6120.4615.9811.1722.8420.8125.0925.2716.3429.0530.6532.3432.2336.4032.2529.2132.1221.7026.8727.2129.2930.7531.4824.1728.8927.0330.4316.758.5728.9830.2124.9128.5928.8627.8228.6623.1129.3829.5321.4729.7727.8428.4728.6325.0118.9923.3627.3321.3321.6121.63-
----------------------------------------------------
12.7115.868.126.552.9420.7320.5721.5010125.6929.9830.4529.0634.6828.8926.6930.1017.0821.9722.0223.9924.1825.7019.0323.5520.5124.539.491.2723.4624.8417.6422.6023.5822.0423.5417.2023.7823.3015.7022.7021.6123.2923.9018.49-78.446.3213.664.20-3.365.56-
11.6515.057.785.905.7916.8518.8017.7494.5220.9225.8926.4924.2132.9925.4524.0525.2513.1318.2119.6720.8422.0822.4217.0920.5317.6920.865.855.9419.4122.7415.6820.8320.7220.0522.9227.2620.9520.2711.7821.4819.4620.8218.5716.93-72.826.2780.882.71-2.414.28-
0.110.110.100.090.140.140.140.140.130.140.130.140.130.140.130.130.130.120.120.130.120.130.120.130.120.130.120.110.110.110.110.120.110.110.110.110.110.110.100.110.100.100.100.100.090.090.090.09----
----------------------------------------------------
1.621.731.451.541.501.531.251.451.301.491.431.371.531.591.401.401.221.291.281.191.291.311.231.181.351.371.221.201.351.351.321.311.401.351.271.301.361.311.161.331.291.281.281.381.261.151.171.16----
55.7151.9261.9558.5060.1658.9472.0162.0269.3260.3662.9865.6858.9556.6564.3364.2073.7470.0170.3475.5869.8468.8472.9476.3766.5865.4673.4875.2866.5566.8668.1268.7264.2666.5070.8569.3466.2668.5077.4667.5769.8470.4470.4165.1971.3078.3877.0277.77----
4.986.683.211.971.865.215.886.0530.266.557.858.768.2412.3310.009.4511.155.608.489.229.9411.8612.359.3910.7410.2012.894.004.4615.0818.4614.8018.6618.8317.4822.3321.4314.3515.1511.6913.7514.0915.8915.768.49-38.964.1960.09----
-3.66-4.61-2.17-1.66-8.41-24.63-21.96-19.27-86.69-53.66-45.70-30.21-18.93-21.99-13.17-11.76-11.27-4.58-6.16-6.77-6.33-6.51-6.19-4.62-5.22-4.32-4.68-1.12-1.11-3.88-4.30-2.85-3.50-3.57-3.36-3.77-4.52-3.56-3.25-1.82-3.36-3.01-2.98-2.79-2.5810.99-0.86-11.27----
1.331.720.820.570.822.392.642.5412.292.873.353.603.184.583.423.023.361.542.272.482.532.862.762.182.482.232.520.660.682.212.621.812.272.342.202.542.872.222.091.252.141.982.011.901.58-6.850.567.53----
1.752.291.130.761.093.063.363.3215.623.554.164.504.025.764.373.934.352.042.963.203.253.643.632.743.052.703.160.840.882.893.212.262.802.842.653.063.382.532.421.492.412.272.352.261.75-7.720.638.63----
7.967.567.949.148.308.307.857.326.947.186.916.535.955.534.934.754.313.883.663.773.463.183.002.982.962.712.482.041.901.851.731.491.441.451.471.311.551.761.581.221.771.601.461.422.132.041.791.68----
2.862.020.543.412.411.840.833.222.371.800.933.132.411.540.482.731.661.200.462.451.861.040.402.321.721.030.412.001.480.970.352.261.680.930.402.101.610.990.391.771.310.850.380.790.17-0.180.441.080.910.580.400.00
2.531.750.463.082.161.670.772.832.131.660.852.802.251.430.412.491.481.110.422.141.560.820.332.131.590.940.361.851.370.900.312.011.490.810.391.831.410.880.371.631.220.800.360.650.08-0.230.410.870.810.510.37-