Flux Power Holdings Financial Ratios for Analysis 2011-2024 | FLUX

Fifteen years of historical annual and quarterly financial ratios and margins for Flux Power Holdings (FLUX).

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
1.301.822.090.620.650.410.280.460.140.290.820.480.67
0.03----0.01---1.82---4.41-0.13-
1.080.35--1.22-2.04-1.46-1.20-0.75-0.78--1.65-0.40-1.00
25.7817.2422.0512.985.89-19.31-79.82-100.54-8.259.782.0719.5814.02
-8.16-36.28-51.33-74.50-120.76-150.87-462.97-736.56-397.06-1,039.39-681.87-30.30-129.17
-8.16-36.28-51.33-74.50-120.76-150.87-462.97-736.56-397.06-1,039.39-681.87-30.30-129.17
-6.07-34.92-48.20-73.67-119.89-149.49-451.55-662.90-381.82-587.99-465.16-28.65-126.93
-10.16-36.87-48.72-85.12-133.24-169.14-491.69-819.18-337.76-1,200.8445.47-40.22-133.44
-10.16-36.87-48.72-85.12-133.24-169.14-491.69-819.18-337.76-1,200.8445.47-40.22-133.44
1.861.371.001.211.290.770.471.001.590.770.391.190.40
2.592.151.952.792.303.251.045.544.283.804.736.480.42
7.674.924.315.493.864.3511.286.8010.362.5659.3811024.60
47.5974.2384.7566.5194.6583.8532.3753.6435.221436.153.3214.84
-70.61-112.02-98.3622339293.6893.39246110548-23.49111127
-70.61-112.02-98.3622339293.6893.39246110548-23.49111127
-18.88-50.55-48.71-102.58-172.27-129.73-230.87-817.71-536.67-930.5217.76-48.03-53.18
-68.65-112.02-98.3622339593.6893.39695110548-127.17126127
0.580.870.95-0.87-0.62-2.39-1.89-0.89-2.21-0.84-3.15-4.86-3.05
-0.22-1.55-1.56-1.63-2.45-2.56-2.32-2.63-2.42-2.93-6.67-4.05-2.19
-0.29-1.60-1.65-1.69-2.52-2.59-2.34-2.63-2.44-2.93-6.75-4.21-2.23

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.101.181.201.301.301.371.441.821.702.152.902.091.971.511.410.620.390.450.450.650.921.350.280.410.211.292.150.280.270.810.480.460.140.280.290.140.260.310.250.290.790.991.580.820.520.560.490.48----
0.030.030.030.030.030.02--------0.43--0.000.00-0.01-0.12----15.537.12---9.65-1.48-1.82---0.13--0.07-0.08-0.08--9.6533.364.47-4.41-0.52-0.34-0.14-0.13----
2.581.881.601.081.100.680.480.350.220.18---0.361.77-1.22-1.09-1.44-1.29-2.04-10.061.47-1.14-1.46-1.09-1.13-1.16-1.20-0.90-0.91-0.74-0.75-0.83-0.88-0.63-0.78-0.79-0.31-0.07--0.91-1.03-1.29-1.65-0.93-1.10-0.41-0.40----
30.3730.9029.1326.6131.2823.9422.1319.7414.5713.5521.3421.0324.0823.0219.4017.4812.859.026.107.123.489.410.98-8.74-9.00-32.31-105.23-174.59-66.01-71.82-59.73-114.63-179.49-90.57-39.18-28.18-10.558.108.14-16.3448.9432.1438.24-73.61-18.5211.2440.7920.4826.4318.4914.09-
-15.27-1.99-11.55-6.82-7.87-7.60-10.15-16.37-28.06-65.62-65.81-44.64-42.62-50.09-79.00-42.77-68.54-80.89-181.66-104.93-212.68-82.29-115.91-153.64-92.56-139.38-856.21-786.07-363.07-553.59-376.79-563.41-904.27-1,103.77-560.23-436.82-330.65-285.24-722.09-535.15-1,059.57-3,107.14-2,276.47-1,773.61-1,221.30-249.61-1,815.79-24.57-82.83-14.89-56.36-
-15.27-1.99-11.55-6.82-7.87-7.60-10.15-16.37-28.06-65.62-65.81-44.64-42.62-50.09-79.00-42.77-68.54-80.89-181.66-104.93-212.68-82.29-115.91-153.64-92.56-139.38-856.21-786.07-363.07-553.59-376.79-563.41-904.27-1,103.77-560.23-436.82-330.65-285.24-722.09-535.15-1,059.57-3,107.14-2,276.47-1,773.61-1,221.30-249.61-1,815.79-24.57-82.83-14.89-56.36-
----------------------------------------------------
-18.26-4.44-14.27-9.08-9.58-9.80-11.99-17.46-28.45-66.02-65.86-44.68-24.77-52.00-88.55-51.94-78.50-91.48-198.75-108.44-217.82-107.86-130.84-175.41-105.22-153.21-945.10-868.03-379.74-571.82-402.39-679.88-1,052.99-1,147.17-589.47-440.00-317.59-294.29-229.07-442.08-1,856.38-3,267.86-2,194.12808-1,016.67170-11.84-42.66-83.50-15.98-60.14-
-18.26-4.44-14.27-9.08-9.58-9.80-11.99-17.46-28.45-66.02-65.86-44.68-24.77-52.00-88.55-51.94-78.50-91.48-198.75-108.44-217.82-107.86-130.84-175.41-105.22-153.21-945.10-868.03-379.74-571.82-402.39-679.88-1,052.99-1,147.17-589.47-440.00-317.59-294.29-229.07-442.08-1,856.38-3,267.86-2,194.12808-1,016.67170-11.84-42.66-83.50-15.98-60.14-
0.390.490.400.460.410.490.490.490.340.200.160.320.330.310.220.450.430.320.210.420.300.440.480.200.630.480.080.060.250.230.530.290.200.120.320.490.370.480.260.440.060.030.020.040.040.160.020.59----
0.500.690.540.630.490.670.740.750.540.340.360.630.610.760.600.980.860.780.440.740.470.860.710.791.271.370.180.210.530.611.731.741.710.611.331.561.331.480.772.760.240.130.130.780.501.290.063.18----
1.391.461.381.881.531.641.541.771.391.481.391.371.431.451.422.041.861.121.871.251.761.333.331.161.711.062.071.533.641.522.342.005.091.411.903.191.321.342.321.441.654.674.255.549.8236.861.8154.26----
64.7761.7265.0747.9058.7854.9058.5050.9964.9460.6764.7465.9162.8662.0863.2544.1448.2980.6648.1272.0051.2567.5627.0277.5452.5184.6043.5359.0224.7159.1738.4045.0017.6963.6847.3728.2368.2967.2938.7262.3854.5719.2921.1816.259.172.4449.741.66----
-48.74-11.03-27.39-15.46-14.59-16.14-17.99-19.04-23.11-25.61-16.68-28.60-18.10-50.79-92.8050.6231.0735.3358.391031,106-178.8425.2225.9018.7623.4123.4322.3031.3240.3476.5160.0138.7461.6690.2444.1249.0383.2930.6911461.1430.0833.96-38.9651.17-73.920.4458.30----
-48.74-11.03-27.39-15.46-14.59-16.14-17.99-19.04-23.11-25.61-16.68-28.60-18.10-50.79-92.8050.6231.0735.3358.391031,106-178.8425.2225.9018.7623.4123.4322.3031.3240.3476.5160.0138.7461.6690.2444.1249.0383.2930.6911461.1430.0833.96-38.9651.17-73.920.4458.30----
-7.18-2.16-5.72-4.13-3.88-4.76-5.87-8.59-9.56-13.35-10.43-14.17-8.21-16.34-19.91-23.26-33.70-29.19-42.34-45.45-64.38-47.42-62.41-35.87-66.00-74.22-72.52-55.13-94.63-131.01-211.67-199.46-209.52-137.56-190.55-215.11-118.57-139.82-58.46-193.29-120.01-85.92-48.9829.45-43.6627.85-0.21-25.17----
-47.41-10.75-26.60-15.03-14.14-15.87-17.99-19.04-23.11-25.61-16.68-28.60-18.10-50.79-53.1950.6231.0735.3658.591041,234-178.8425.2225.9018.76-340.11-143.4522.3031.3242919016938.7461.6610244.1252.6290.0933.00114651-973.41-117.67-210.8777.82-98.980.5066.00----
0.330.450.470.580.610.650.740.871.011.241.550.950.730.540.38-0.87-2.50-1.83-1.28-0.62-0.070.32-3.06-2.39-3.67-3.13-2.46-1.89-1.48-1.03-0.62-0.89-2.11-1.31-0.74-2.21-1.30-0.75-0.68-0.84-3.53-6.32-4.62-3.15-4.54-2.54-4.45-4.86----
-0.26-0.24-0.19-0.22-0.32-0.12-0.04-1.55-1.21-0.96-0.32-1.56-1.12-0.88-0.59-1.63-1.12-0.78-0.28-2.45-1.39-1.25-0.69-2.56-1.86-1.30-0.62-2.32-1.56-0.97-0.53-2.63-1.89-1.30-0.83-2.42-1.69-0.99-0.33-2.93-2.07-1.43-0.70-6.67-6.09-4.26-2.67-4.04-2.500.40-0.110.00
-0.29-0.27-0.20-0.29-0.37-0.14-0.06-1.60-1.25-1.00-0.34-1.65-1.18-0.92-0.62-1.69-1.15-0.80-0.30-2.52-1.42-1.28-0.71-2.59-1.89-1.32-0.63-2.34-1.57-0.98-0.53-2.63-1.89-1.30-0.83-2.44-1.70-0.99-0.33-2.93-2.07-1.43-0.70-6.75-6.18-4.34-2.72-4.20-2.650.27-0.19-