EZCORP Financial Ratios for Analysis 2009-2024 | EZPW

Fifteen years of historical annual and quarterly financial ratios and margins for EZCORP (EZPW).

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
3.754.213.944.486.652.888.005.082.464.283.624.465.544.355.71
0.300.310.280.280.240.230.300.320.230.310.190.190.030.030.06
0.510.480.410.400.340.580.450.500.320.510.290.270.040.060.09
58.1359.6061.6154.6058.3659.2958.2358.6255.9856.5761.1266.5566.0365.7465.86
8.788.454.27-5.885.558.267.093.99-2.172.439.7420.3620.5719.3616.99
8.788.454.27-5.885.558.267.093.99-2.172.439.7420.3620.5719.3616.99
12.0012.2410.3711.6611.2813.5711.9019.6410.9721.8814.9921.7322.7221.3619.12
4.927.642.20-8.520.496.845.710.05-9.201.063.9122.2922.3020.6717.63
3.675.661.18-8.320.304.594.20-11.05-12.39-9.082.7614.2414.3213.2711.46
0.710.660.580.690.780.650.730.740.610.530.610.791.131.211.21
2.642.362.523.901.971.982.022.162.552.342.172.943.213.513.19
26.9826.4724.8739.9826.6426.2323.7123.529.8510.7714.8624.0732.2431.5431.92
13.5313.7914.689.1313.7013.9115.4015.5237.0533.9024.5615.1611.3211.5711.43
5.167.251.28-10.550.245.024.79-1.51-7.950.402.5117.5418.6318.7316.47
9.9914.392.65-20.570.479.648.47-2.91-13.970.785.6735.2926.2525.2321.74
2.623.720.68-5.720.162.993.08-0.92-4.390.241.6912.0216.3616.0413.90
3.594.990.92-7.610.183.853.34-1.03-6.110.282.0314.1518.1518.2115.54
13.6012.2711.9911.7413.4113.5512.1310.9812.2215.9616.5216.3013.2310.558.54
1.260.810.830.891.851.540.931.251.461.382.242.723.042.521.68
0.760.420.410.371.160.840.471.011.021.151.371.832.372.021.30

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.594.174.003.754.744.724.774.214.354.474.263.944.174.994.864.485.015.305.356.658.072.932.922.882.703.237.778.006.616.666.035.082.612.422.632.463.223.423.664.284.264.454.403.623.733.183.854.464.113.665.025.545.525.184.524.354.515.134.385.715.255.51
0.220.290.300.300.330.340.340.310.310.320.320.280.280.280.280.280.270.270.240.240.240.240.240.230.230.220.310.300.290.300.320.320.270.300.300.230.210.300.310.310.290.190.210.190.170.130.190.190.180.130.050.030.040.020.020.030.030.040.050.060.070.07
0.480.480.490.510.510.530.530.480.480.480.500.410.400.400.400.400.380.380.340.340.330.590.590.580.590.460.460.450.430.450.480.500.390.590.550.320.280.520.550.510.450.270.300.290.260.190.270.270.270.180.070.040.050.050.050.060.070.070.080.090.100.12
59.2458.6757.5358.9258.1657.7357.6958.9560.0059.6959.7862.0162.0761.5160.8553.7048.6057.0458.4856.3957.2259.4760.2960.3657.4859.4259.8659.3757.4857.9558.1357.8959.0057.5860.0446.9457.4557.6759.03-254.8568.1265.6066.83-65.2869.6367.1763.4166.0768.4065.5966.3267.6265.9764.1066.3866.8065.5364.6265.8866.0265.4463.86
7.879.5512.366.128.0610.3410.696.386.3111.2110.054.062.135.755.06-16.11-2.03-13.756.063.134.347.816.838.316.068.989.656.346.188.477.321.253.826.913.91-30.52-1.316.047.58-164.314.168.1311.00-142.2510.7219.6917.8419.3218.0521.7422.0024.8818.2221.0518.0120.1416.5919.3021.1618.9814.4217.38
7.879.5512.366.128.0610.3410.696.386.3111.2110.054.062.135.755.06-16.11-2.03-13.756.063.134.347.816.838.316.068.989.656.346.188.477.321.253.826.913.91-30.52-1.316.047.58-164.314.168.1311.00-142.2510.7219.6917.8419.3218.0521.7422.0024.8818.2221.0518.0120.1416.5919.3021.1618.9814.4217.38
--------------------------------------------------------------
8.1710.0312.574.858.33-2.849.285.646.069.329.662.35-0.443.683.09-17.22-4.87-15.281.350.191.712.34-2.191.337.778.659.683.874.857.216.77-10.492.245.702.76-46.93-2.32-1.922.85-112.651.832.489.65-290.2210.9719.6818.5323.2519.4522.3423.9026.5320.0123.1119.4421.7318.2320.9521.5619.3214.8418.34
6.387.529.493.797.12-2.636.353.145.666.897.110.81-1.482.882.41-13.99-2.61-18.310.56-0.301.561.58-1.56-0.737.245.726.236.022.864.233.721.75-3.34-37.62-3.98-67.14-5.980.655.46-406.411.762.517.38-108.71-2.5012.6711.2713.7312.7014.5415.8116.7113.0614.9312.5314.0511.5013.4613.9112.719.7311.72
0.190.190.200.180.180.180.190.170.160.170.170.150.140.150.150.140.170.180.170.200.190.170.170.170.160.190.200.180.190.200.200.190.170.180.160.120.120.150.150.020.150.180.190.030.170.200.200.190.200.250.300.290.280.320.340.330.300.320.350.330.310.34
0.670.720.770.670.690.730.720.630.650.730.750.660.720.830.730.810.880.550.490.520.490.500.490.490.560.520.500.480.580.580.560.550.540.630.560.590.610.750.660.610.540.660.590.380.580.760.830.720.751.000.840.780.871.090.950.920.981.110.990.880.891.01
6.937.467.506.967.327.807.576.976.757.637.426.566.978.877.188.1112.068.186.906.746.787.926.836.647.558.396.015.776.007.026.225.945.746.682.591.885.542.662.560.343.064.094.880.625.669.428.775.796.3310.408.708.227.409.968.538.535.455.779.028.818.6710.34
13.0012.0612.0012.9412.3011.5311.8912.9113.3411.8012.1213.7212.9110.1412.5411.107.4611.0113.0513.3513.2711.3613.1713.5511.9210.7314.9915.6014.9912.8314.4715.1515.6813.4834.7447.8416.2633.8435.1426229.4421.9818.4614615.899.5610.2615.5514.228.6610.3410.9412.179.0310.5610.5616.5315.609.9810.2210.388.71
2.242.683.671.372.47-0.952.381.061.782.212.400.23-0.380.800.65-3.60-0.81-6.030.16-0.080.450.36-0.50-0.121.911.711.851.460.881.341.38-2.950.490.390.51-7.61-0.10-0.520.34-2.940.380.562.14-7.201.773.823.714.643.944.955.635.714.255.364.915.364.065.055.815.043.674.87
4.155.026.882.664.83-1.924.792.103.614.565.100.48-0.781.511.24-7.01-1.53-11.470.32-0.160.880.69-0.97-0.243.703.373.682.581.622.512.64-5.650.990.781.15-13.36-0.16-1.010.64-5.680.821.234.72-16.233.727.998.109.348.109.528.458.056.077.336.637.225.316.447.536.654.946.60
1.191.421.920.701.25-0.481.200.540.921.151.230.12-0.210.450.36-1.95-0.45-3.370.10-0.050.310.21-0.30-0.071.131.091.190.940.560.860.86-1.780.280.220.30-4.20-0.06-0.310.20-1.780.240.391.45-4.841.222.772.523.182.733.644.775.013.724.764.254.593.494.354.884.253.054.03
1.751.912.590.961.66-0.631.580.731.221.511.630.17-0.280.580.47-2.59-0.59-4.430.12-0.060.340.27-0.38-0.091.471.331.281.020.620.940.94-1.990.360.270.36-5.84-0.08-0.370.23-2.010.270.451.69-5.801.463.343.023.753.224.335.335.564.085.274.815.213.924.855.534.753.434.51
14.6414.5514.0313.6013.3912.8312.5012.2712.1011.9111.6211.9912.0111.9811.9511.7412.3512.3013.4613.4113.4813.3413.1313.5513.4512.5612.2712.1311.5011.3011.0310.9810.4910.9612.1112.2214.2914.9315.3315.9617.6717.1016.9016.5217.3317.6316.8416.3015.3514.8313.8613.2312.5011.8911.1810.559.999.579.088.548.057.75
0.850.440.251.260.860.840.140.810.590.370.110.830.590.34-0.080.891.020.38-0.201.851.170.910.421.541.200.790.350.930.650.38-0.101.251.071.01-0.081.460.920.700.101.380.800.800.252.241.831.740.592.722.141.860.903.042.131.390.702.521.621.030.721.681.190.81
0.640.280.160.760.540.510.050.420.370.240.050.410.330.19-0.140.370.640.16-0.301.160.730.660.320.840.610.460.170.470.380.23-0.141.010.950.96-0.101.020.520.40-0.061.150.700.800.331.371.221.300.411.831.491.450.712.371.651.090.542.021.270.860.621.300.920.63