Extreme Networks Financial Ratios for Analysis 2009-2024 | EXTR

Fifteen years of historical annual and quarterly financial ratios and margins for Extreme Networks (EXTR).

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
0.901.000.981.071.041.241.191.401.081.011.231.861.751.581.811.27
0.880.620.750.850.990.590.630.390.290.350.37-----
7.421.903.366.2376.161.541.750.740.610.640.78-----
56.4757.5056.6357.9754.6255.3654.3754.5251.0650.5951.4554.3355.7353.8157.0556.82
-5.848.255.773.41-10.43-1.48-3.890.99-5.78-11.39-9.673.634.310.93-0.460.61
-5.848.255.773.41-10.43-1.48-3.890.99-5.78-11.39-9.673.634.310.93-0.460.61
-2.1811.8410.7210.48-1.973.831.105.332.53-2.57-2.095.646.533.591.772.93
-6.947.174.691.01-12.71-2.60-4.740.43-6.16-12.09-10.223.795.291.11-0.061.58
-7.695.953.980.19-13.38-2.60-4.76-0.29-7.00-12.96-11.033.234.920.810.070.84
1.071.151.041.000.971.321.281.321.391.290.990.961.131.231.181.40
3.456.279.8012.906.876.997.025.826.214.714.428.465.377.166.0811.70
12.487.216.046.457.725.714.636.526.385.964.176.287.849.937.368.92
29.2550.6360.4156.5847.2563.9378.8655.9857.1761.2287.5858.0946.5636.7749.6240.92
-340.0266.8749.003.55-2,349.86-22.29-41.51-1.39-40.32-68.73-36.575.118.841.680.151.99
22.68-26.55-12.93-0.6232.1835.0845.24-8.678,2273823,5295.239.091.730.161.99
-8.256.844.140.19-12.96-3.42-6.07-0.38-9.71-16.71-10.893.115.581.000.091.17
-42.2325.6512.270.52-31.71-9.05-15.52-0.85-28.49-44.85-23.055.118.841.680.151.99
0.190.910.700.430.040.970.971.130.861.041.622.021.901.741.651.59
0.431.860.961.130.300.890.170.550.290.38-0.280.340.150.180.120.02
0.291.760.841.000.170.70-0.190.450.240.31-0.520.210.090.120.07-0.06

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
0.910.900.961.021.011.000.950.940.960.980.980.920.931.071.010.960.931.041.060.991.061.241.291.231.231.191.091.131.311.401.191.191.101.081.061.041.031.011.041.201.221.231.271.362.531.862.192.172.371.751.731.831.641.581.591.591.691.811.731.591.521.271.17
0.840.880.740.630.630.620.660.720.680.750.740.810.800.850.900.950.970.990.960.870.790.590.580.600.600.630.580.590.530.390.490.500.260.290.320.330.350.350.340.380.390.370.360.34-------------------
5.657.422.921.781.791.902.273.062.423.363.134.554.476.239.7819.4139.0576.1625.407.183.941.541.441.581.581.751.581.641.240.741.081.130.570.610.650.650.660.640.590.660.840.780.740.54-------------------
62.9744.6656.8261.8760.3058.9257.7257.0656.0055.4356.5256.5258.1357.9358.7357.9057.2655.9553.1455.5853.7155.0655.3855.9255.0653.9654.5755.8153.0857.3655.5050.9453.7451.3450.2250.4552.2750.9348.2751.0651.7553.4049.9847.6557.5755.3455.6253.9252.5155.7156.1755.8755.1854.1248.3056.3655.8756.8958.0057.6455.4456.7457.53
-1.75-19.07-29.603.4810.1710.418.907.365.843.766.066.436.866.324.402.36-0.03-6.08-18.31-5.70-12.60-4.84-0.901.88-2.09-1.21-3.14-13.462.128.75-1.76-1.91-3.28-3.78-7.14-3.85-8.67-8.98-17.78-7.53-12.62-8.65-16.50-9.400.493.70-2.79-4.9817.836.173.634.902.26-2.13-8.6710.692.963.233.88-2.47-7.923.46-3.71
-1.75-19.07-29.603.4810.1710.418.907.365.843.766.066.436.866.324.402.36-0.03-6.08-18.31-5.70-12.60-4.84-0.901.88-2.09-1.21-3.14-13.462.128.75-1.76-1.91-3.28-3.78-7.14-3.85-8.67-8.98-17.78-7.53-12.62-8.65-16.50-9.400.493.70-2.79-4.9817.836.173.634.902.26-2.13-8.6710.692.963.233.88-2.47-7.923.46-3.71
---------------------------------------------------------------
-3.35-20.55-30.822.389.419.117.836.464.812.745.145.395.524.672.33-0.51-3.18-9.19-20.43-8.13-14.15-5.98-2.020.76-3.19-2.61-4.54-14.512.867.99-2.55-1.95-3.94-4.16-7.94-4.33-8.53-9.55-18.75-8.00-13.45-9.21-17.03-10.270.524.37-2.66-5.0317.728.863.935.222.66-2.07-8.5411.192.993.564.43-2.07-7.611.77-2.33
-3.90-21.12-30.531.358.126.996.665.634.231.944.494.754.743.711.37-1.26-3.74-9.84-21.17-8.80-14.77-6.76-2.762.85-3.78-2.02-5.20-13.812.077.38-3.34-2.70-4.68-5.20-8.64-5.19-9.25-10.45-19.69-8.90-14.18-10.45-17.68-10.91-0.054.01-3.26-5.5716.978.913.234.962.01-2.33-9.0410.493.233.994.70-1.74-8.271.09-2.81
0.250.250.190.260.320.320.310.300.280.260.280.280.270.280.270.260.250.220.220.260.240.330.350.350.330.360.350.320.350.390.330.350.340.350.340.350.320.350.280.310.280.300.280.280.240.260.250.260.260.310.260.310.310.330.280.300.330.330.310.310.260.340.31
0.691.010.490.741.391.682.002.142.532.523.293.293.463.562.382.051.811.521.481.491.441.781.941.911.942.011.531.231.711.611.391.621.311.561.181.220.961.270.931.321.191.271.121.221.062.201.931.951.591.461.381.711.541.912.081.531.811.691.392.021.832.841.44
2.772.872.232.652.692.002.102.091.881.511.752.112.071.781.941.891.911.762.181.671.681.451.771.741.461.311.391.491.821.921.461.331.801.611.991.912.071.621.521.571.361.251.511.551.931.671.561.772.192.131.602.122.752.662.171.822.112.032.141.961.582.161.77
32.5031.3940.2734.0333.5245.0242.9442.9947.9959.5651.3742.6943.5850.6446.3747.6747.1951.2541.3353.7753.6462.2050.7551.6161.7968.7064.7260.3249.5246.8461.5167.8150.1055.9145.1647.2343.5855.6959.2557.1866.0372.2559.8057.9246.5953.9657.5550.7341.0342.2756.1142.4132.6733.7841.5549.5042.5844.3042.1246.0257.0541.6550.81
-32.10-214.39-99.173.6926.4321.7821.4521.2011.385.9912.9219.1717.5518.969.88-17.02-88.91-393.05-270.44-46.22-40.21-14.70-5.506.21-7.74-5.00-12.05-28.573.2310.51-5.67-4.93-6.33-7.56-11.94-7.60-11.72-15.02-20.34-9.77-13.51-10.36-15.14-8.67-0.021.68-1.20-2.236.564.351.372.430.96-1.29-4.245.411.742.292.54-0.99-3.960.62-1.57
2.8114.3018.89-1.33-9.61-8.65-7.11-5.40-3.96-1.58-3.80-3.64-3.51-3.30-1.020.842.315.3811.326.4311.2623.149.91-8.429.865.4413.3828.45-8.6765.6121.9617.09-70.451,54313566.5073.1983.41145197298999-660.29-92.27-0.021.72-1.23-2.296.734.471.412.500.99-1.33-4.245.411.742.372.54-0.99-3.960.62-1.57
-0.99-5.20-5.940.352.592.232.071.691.190.511.251.321.261.020.36-0.32-0.92-2.17-4.56-2.32-3.59-2.25-0.971.01-1.24-0.73-1.84-4.390.732.87-1.09-0.94-1.58-1.82-2.92-1.84-2.93-3.65-5.46-2.76-3.95-3.08-4.93-3.09-0.011.02-0.80-1.474.452.740.851.530.62-0.77-2.553.201.051.301.47-0.54-2.160.37-0.87
-5.07-26.63-26.241.379.768.357.345.843.681.503.393.733.432.790.97-0.88-2.55-5.30-10.66-5.89-8.44-5.97-2.332.48-3.09-1.87-5.10-11.721.536.41-2.90-2.45-4.65-5.34-8.12-5.08-7.65-9.80-13.49-6.09-8.28-6.53-9.67-5.72-0.021.68-1.20-2.236.564.351.372.430.96-1.29-4.245.411.742.292.54-0.99-3.960.62-1.57
0.250.190.500.840.840.910.800.660.840.700.760.540.560.430.280.150.080.040.140.430.770.971.060.990.990.970.980.981.201.130.800.790.850.860.860.920.971.041.161.351.471.621.721.932.042.021.982.012.071.901.841.811.771.741.761.811.721.651.611.561.561.591.56
0.140.430.310.840.571.861.270.900.370.960.480.470.301.130.670.510.200.300.230.180.000.890.670.520.290.17-0.020.130.160.550.400.180.090.290.180.140.060.380.340.420.02-0.28-0.32-0.050.020.340.080.090.070.150.070.04-0.040.180.170.110.010.120.030.110.050.02-0.05
0.090.290.200.760.531.761.200.850.350.840.400.420.281.000.580.440.180.170.120.10-0.050.700.540.420.23-0.19-0.210.010.090.450.330.140.070.240.150.120.060.310.280.38-0.01-0.52-0.50-0.18-0.080.210.030.050.060.090.020.02-0.050.120.120.080.000.07-0.010.080.03-0.06-0.09