FLUENT, INC Financial Ratios for Analysis 2009-2024 | FLNT

Fifteen years of historical annual and quarterly financial ratios and margins for FLUENT, INC (FLNT).

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
1.591.841.851.721.562.051.741.651.795.454.066.990.040.480.99
0.430.270.160.130.170.200.210.170.19------
0.890.430.210.190.240.270.280.220.25----1.570.01
26.3125.9325.9830.7630.9735.4530.8528.3927.2458.7538.61---25.65
-20.15-33.12-1.422.701.854.54-9.93-18.22-315.09-95.10-138.30----63.19
-20.15-33.12-1.422.701.854.54-9.93-18.22-315.09-95.10-138.30----63.19
2.061.302.717.886.809.81-3.76-11.46-309.13-93.02-122.75----15.06
-21.22-33.66-2.980.97-0.591.29-14.98-23.08-419.90-95.10-138.02----48.57
-21.19-34.15-3.060.71-0.62-7.16-25.13-15.57-599.92-74.66-136.87----60.01
2.671.961.031.000.890.850.670.600.050.060.23---0.38
---------------
5.285.724.694.964.625.145.846.040.662.771.84---2.90
69.1563.8477.8573.6278.9370.9562.5560.48550132198---126
-183.75-131.27-4.711.02-0.831.54-14.15-12.67-20.68-5.04-37.87-10.4727.85-498.05-46.80
-998.07-1,221.23-79.9934.5918.51-22.1131382.7898.34-10.03-46.72-10.4727.854.66-1,836.91
-56.51-67.04-3.160.71-0.551.09-10.00-9.33-14.73-4.58-31.89-8.99-7.42-2.65-22.70
-105.55-95.20-3.960.88-0.691.23-11.16-10.56-16.73-5.04-37.87-10.4727.85-498.06-46.80
2.547.0416.2117.0416.6816.5121.9325.7278.6211.018.906.44-18.610.6769.93
0.590.140.931.531.971.840.250.28-4.91-0.63-4.87-7.88-4.072.41-51.61
0.17-0.180.711.321.771.740.16-1.19-6.63-0.99-5.54-7.94-4.142.21-51.05

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302012-12-312012-06-302011-12-312011-06-302010-12-312009-12-312009-09-302009-06-302009-03-31
0.940.970.971.591.071.651.631.842.011.791.941.851.781.921.951.721.801.651.761.561.632.242.292.051.921.821.851.741.591.622.401.651.481.681.591.795.691.882.695.452.823.194.01-2.53------0.990.080.190.37
0.210.03-0.43-0.290.350.270.190.200.160.160.170.170.170.130.140.150.170.170.180.180.190.200.210.230.240.210.220.220.210.170.180.180.190.19-------------------
1.901.211.080.890.900.560.630.430.260.280.210.210.220.230.240.190.190.220.230.240.250.250.260.270.290.330.330.280.300.300.280.220.220.230.250.25---------------0.01---
24.2721.4728.2428.6424.2927.5224.5723.6626.7028.8124.1427.5525.7122.8627.3330.8132.5931.4728.2630.1330.9630.3732.6534.4337.2637.2032.8125.5734.9631.8431.3033.4123.9927.9927.7221.4823.5557.3455.96-165.71--20.99-69.72-45.00------25.65---
-6.03-17.67-5.99-2.45-51.238.20-40.33-79.360.70-52.25-1.834.43-2.38-6.48-3.262.563.262.502.463.37-4.253.524.195.109.538.04-5.651.33-15.17-11.43-15.46-10.43-23.68-19.14-20.73-319.26-451.40-373.84-124.24-400.00--133.88-250.60--90.00-------63.14100.00--
-6.03-17.67-5.99-2.45-51.238.20-40.33-79.360.70-52.25-1.834.43-2.38-6.48-3.262.563.262.502.463.37-4.253.524.195.109.538.04-5.651.33-15.17-11.43-15.46-10.43-23.68-19.14-20.73-319.26-451.40-373.84-124.24-400.00--133.88-250.60--90.00-------63.14100.00--
-------------------------------------------------------
-12.37-21.12-8.14-3.53-52.647.24-41.22-80.120.12-52.69-2.264.08-2.86-7.06-8.921.141.580.630.521.33-6.911.011.522.386.714.65-9.93-5.02-19.59-16.22-19.99-14.59-27.29-26.04-26.11-455.50-451.70-373.84-124.24-408.57--134.93-251.00--65.00-------42.87-3.51--
-12.31-19.80-9.51-2.61-50.775.18-41.35-79.713.50-57.89-2.263.84-2.86-7.06-8.920.221.490.630.521.19-6.911.011.572.326.714.65-47.66-10.57-25.65-39.99-25.87-9.94-18.68-17.50-17.18-301.18-477.94-4,574.45-130.13-411.43--129.24-232.47--66.25-------54.3713.95--
0.670.600.640.650.590.530.490.460.350.380.290.310.280.240.220.260.260.230.260.250.210.230.220.240.230.200.200.180.180.160.160.170.170.130.140.040.050.070.02-0.03-0.060.04-0.09------0.380.29--
-------------------------------------------------------
1.231.071.241.291.371.411.361.341.321.261.371.421.121.111.211.311.321.291.291.311.411.541.511.461.671.501.641.561.481.571.761.751.831.661.910.511.641.800.56-1.19-0.520.49-1.13------2.91---
73.4384.4072.8769.9265.9263.6866.1267.1468.2771.3665.7163.3080.2680.8374.4068.7968.3169.6069.5768.5263.7858.3059.5361.8353.7460.0354.9257.7660.8557.1751.1451.4149.1054.3147.1417654.7949.89161-75.86-173183-79.88------30.98---
-39.76-42.35-21.83-5.52-94.756.24-50.76-71.831.95-36.48-0.951.79-1.18-2.49-2.950.080.540.210.190.45-2.130.340.500.792.201.35-2.90-1.27-5.12-3.89-4.38-2.35-4.38-3.21-3.27-15.85-24.26-37.30-2.8411.89-----7.95------27.156.33-0.78-1.90
296-315.69-466.96-29.98-515.8349.18-1,663.70-668.2616.78-456.79-18.2130.46-46.82-185.76-155.522.7940.21-19.10-7.52-10.1332.34-17.43-11.86-11.38-19.24-7.9713.9827.9822.6917.9727.3315.3322.5915.4415.6875.37-44.73-123.25-16.7323.67-0.51-12.47-15.40--11.57-------42.406.33-0.78-1.90
-8.28-11.80-6.06-1.70-30.002.74-20.32-36.681.23-21.97-0.661.20-0.79-1.67-1.980.060.380.150.130.30-1.440.240.350.561.560.95-2.02-0.90-3.45-2.61-3.11-1.73-3.13-2.30-2.36-11.29-21.95-29.72-2.6510.81-0.31-7.94-10.37--6.04-------20.574.05-0.50-1.24
-31.35-41.23-21.83-3.17-94.754.42-32.82-52.091.58-29.34-0.801.51-0.98-2.06-2.440.070.460.180.160.37-1.740.280.400.631.751.05-2.21-1.00-3.98-3.03-3.46-1.95-3.61-2.64-2.65-12.82-24.26-37.30-2.8411.89-0.40-9.90-12.31--7.96-------42.406.33-0.78-1.90
1.181.972.102.532.625.044.667.0412.0111.7315.9716.2115.8415.9516.2817.0416.9916.8116.6916.6816.3616.5916.5716.5116.1515.5615.1321.9322.5123.1624.8125.7226.3326.5226.4478.626.984.6023.8011.01-----------69.93---
-0.73-0.85-0.010.590.700.150.360.140.52-0.14-0.130.93-0.52-0.050.361.530.970.75-0.021.972.010.970.391.841.280.35-0.250.25-0.320.300.240.280.520.140.10-4.91-2.72-1.95-1.51-1.200.00-0.21-0.400.000.000.000.000.000.000.000.00-51.58-0.82-0.66-0.35
-1.01-1.08-0.140.170.40-0.020.28-0.180.28-0.31-0.210.71-0.69-0.170.301.320.820.65-0.071.771.710.760.261.741.190.31-0.260.16-0.470.220.20-1.19-0.51-0.67-0.60-6.63-3.80-2.75-1.82-1.920.00-0.21-0.40---------51.05-0.82-0.66-0.35