FlexShopper Financial Ratios for Analysis 2009-2024 | FPAY

Fifteen years of historical annual and quarterly financial ratios and margins for FlexShopper (FPAY).

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
9.688.976.113.656.211.731.355.936.183.391.861.511.491.321.39
0.800.750.770.770.770.620.430.410.59------
3.903.093.403.933.381.860.740.701.420.16----0.18
100.00100.00100.0034.6332.1731.5951.6050.7746.4833.58-100.00100.00100.00100.00
11.70-5.585.874.535.75-8.42-9.19-21.71-38.70-97.08-14.9911.610.39-114.68
11.70-5.585.874.535.75-8.42-9.19-21.71-38.70-97.08-33.5733.1233.31-108.31
67.2563.0471.0669.0774.2061.5940.8429.3718.48-50.68-34.3633.9734.52-89.79
-4.47-2.663.240.320.89-15.39-12.43-25.75-43.51-97.22-14.9911.610.45-114.68
-7.138.760.66-3.42-2.10-19.33-15.88-28.30-42.51-74.39-14.9911.45-15.03-143.21
0.750.761.481.501.701.261.971.631.180.590.000.320.350.310.20
---------------
1.451.654.3210.1810.739.6415.7421.8127.4938.92-0.360.380.330.32
25122184.4935.8734.0137.8523.1916.7413.289.38-1,0149611,1091,157
-65.87166-49.142.92-4.5064.5549.51142-197.02-95.59-55.8218.6917.270.8474.88
-26.7385.8820.28-3.055.79-111.41-131.73-84.36-145.15-70.05-21.6714.0412.200.56-85.92
-2.719.193.86-0.501.11-19.46-24.50-42.03-51.03-51.93-10.114.784.050.14-23.11
-2.9610.844.68-0.691.36-42.03-75.58-49.65-59.64-69.76-21.4514.0412.200.56-70.55
1.341.430.750.520.560.481.192.751.181.811.451.451.231.081.44
-0.31-1.39-0.48-0.25-0.03-2.12-1.25-3.31-2.91-2.130.63-0.110.80-0.76-2.90
-0.60-1.68-0.66-0.40-0.15-2.38-1.63-3.66-3.18-2.540.60-0.120.79-0.77-2.92

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
15.7813.709.6813.3612.1012.518.9710.648.3310.526.114.624.737.153.651.692.335.136.217.276.911.421.732.481.031.311.352.573.928.365.934.245.843.216.186.937.2410.303.3912.106.501.421.861.611.491.441.511.481.311.411.491.551.491.331.321.241.161.271.391.572.132.54
0.830.810.800.780.790.750.750.790.730.820.770.690.730.780.770.490.630.740.770.690.730.390.620.490.330.540.430.290.380.430.410.190.220.660.590.160.100.06------------------------
4.924.223.903.483.753.083.093.862.734.483.402.563.053.663.931.513.033.133.382.352.781.051.861.441.812.040.740.400.600.760.700.230.342.251.420.190.110.070.16--0.06------0.16-------0.250.180.18---
96.6798.20100.00100.00100.00100.00100.00100.00100.00100.0029441.1236.1231.2939.3636.3029.9332.2633.6135.8728.5830.3036.9029.5431.4927.3057.9548.9449.9449.7257.3753.6946.5142.4548.0547.8848.4439.2635.6432.0126.9150.41----100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
7.4814.8618.5518.96-8.2813.49-25.57-17.4013.69-4.432.8612.533.954.274.745.053.225.091.1410.683.457.42-7.59-10.13-6.84-9.15-20.89-7.41-6.06-2.86-21.04-17.47-28.30-20.83-42.13-34.45-38.87-38.08-59.08-69.99-144.65-1,156.05----10.5216.3923.656.784.4310.9523.713.5810.817.67-1.20-25.16-177.68-101.63-88.45-80.61
7.4814.8618.5518.96-8.2813.49-25.57-17.4013.69-4.432.8612.533.954.274.745.053.225.091.1410.683.457.42-7.59-10.13-6.84-9.15-20.89-7.41-6.06-2.86-21.04-17.47-28.30-20.83-42.13-34.45-38.87-38.08-59.08-69.99-144.65-1,156.05----27.6835.5144.3623.4324.5730.1344.6329.2740.9645.5133.532.42-168.44-94.28-83.18-77.42
--------------------------------------------------------------
-8.97-0.801.823.84-26.90-1.2324.11-28.997.26-11.19-1.598.536.260.000.871.18-1.070.21-3.516.05-1.502.22-13.78-18.00-14.53-15.47-24.28-10.47-9.37-6.05-24.39-21.20-32.92-25.64-48.02-39.77-43.64-40.15-59.35-69.99-144.65-1,156.05----10.5216.3923.656.784.4310.9523.713.5811.017.67-1.20-25.16-177.68-101.63-88.45-80.61
-8.49-3.78-2.36-0.41-25.64-3.9128.03-26.3637.70-10.330.083.521.08-1.86-3.66-1.30-3.55-5.12-7.193.39-4.45-0.46-17.16-22.03-18.98-19.56-27.96-14.13-12.72-9.19-28.22-25.65-33.99-25.64-48.02-39.77-41.66-36.95-52.36-61.49-61.82-911.01----10.5216.3923.656.784.4310.9523.712.9016.8522.63-86.89-20.21-202.86-125.66-121.78-112.67
0.180.210.190.220.180.210.140.210.300.330.370.480.490.520.410.480.490.500.430.550.520.550.370.440.490.530.480.760.670.660.490.440.340.700.410.420.290.240.310.210.100.01----0.080.080.070.070.080.090.110.070.090.060.060.040.060.060.070.08
--------------------------------------------------------------
0.330.380.380.430.380.460.310.440.660.791.071.572.332.972.813.133.082.942.722.883.003.492.833.143.313.913.854.866.988.236.578.929.9211.989.5214.7510.5122.3920.2462.9335.548.60----0.080.110.080.080.080.090.120.080.100.080.060.050.090.070.090.09
27623524021023619428820713711484.0457.3138.5730.2832.0928.7729.2430.6533.1531.3030.0425.7831.8428.7027.1822.9923.3618.5112.9010.9413.7110.099.077.529.456.108.574.024.451.432.5310.47----1,0638471,1801,1931,0879577541,1099291,1631,4161,8541,0171,2921,031978
-34.27-3.335.5116.21-118.08-2.7396.03-2,248.5123827.69-9.51-22.41-9.76-0.013.60-2.502.16-0.427.82-11.402.26-3.6616.9422.459.6411.9923.6913.3913.9510.9040.4350.65116-135.17-75.97-27.25-18.60-12.46-31.39-17.03-15.23-66.07----3.085.679.182.221.443.8611.341.556.093.61-0.6427.6132.5416.6113.7715.92
-10.71-1.322.246.37-40.71-1.3949.80-27.2149.87-16.763.9211.137.170.01-3.762.58-2.460.50-10.0713.06-3.415.57-29.23-24.61-74.29-55.94-63.02-16.87-13.08-7.83-24.05-14.53-17.21-73.58-55.97-22.48-15.94-10.90-23.01-15.60-13.55-47.77----2.324.226.721.581.022.717.881.044.062.46-0.54-5.32-37.34-16.91-12.26-9.83
-0.93-0.130.230.65-3.84-0.165.33-5.1411.99-2.740.752.631.500.00-0.610.56-0.520.10-1.923.35-0.771.22-5.11-7.99-7.18-8.13-11.72-7.97-6.31-3.96-11.98-9.28-11.30-18.06-19.68-16.54-12.51-9.29-17.06-14.29-11.47-14.71----0.791.391.610.460.340.982.620.261.000.49-0.07-1.09-10.04-6.26-6.58-6.07
-0.99-0.140.250.74-4.12-0.186.28-5.6513.53-3.070.913.431.950.00-0.851.30-0.910.13-2.364.01-0.933.42-11.03-12.54-49.77-25.54-36.16-12.02-8.15-4.44-14.16-11.82-13.43-24.64-23.00-18.90-14.29-10.20-22.91-15.53-13.47-47.14----2.324.226.721.581.022.717.881.044.062.46-0.41-4.36-30.66-16.91-12.26-9.83
1.271.341.351.311.251.441.431.061.340.660.750.710.620.550.520.530.500.490.560.600.510.510.480.630.490.771.191.942.262.552.753.413.920.691.181.842.252.601.812.001.961.111.451.361.491.481.451.411.351.251.231.211.181.091.081.131.031.411.441.732.192.56
-0.74-0.26-0.310.120.250.26-1.39-1.27-0.71-0.37-0.480.050.00-0.03-0.250.210.270.03-0.030.200.15-0.03-2.12-0.64-0.45-0.38-1.250.410.350.04-3.31-1.35-0.55-0.14-2.91-1.19-0.62-0.23-2.13-1.05-0.56-0.590.631.08-0.13-0.43-0.110.17-1.38-0.370.800.970.850.26-0.76-1.71-2.30-1.33-2.90-1.66-0.61-0.29
-0.89-0.35-0.60-0.090.110.18-1.68-1.49-0.81-0.43-0.66-0.08-0.06-0.06-0.400.120.210.00-0.150.120.09-0.06-2.38-0.94-0.64-0.44-1.630.130.17-0.05-3.66-1.62-0.73-0.22-3.18-1.39-0.72-0.28-2.54-1.29-0.77-0.610.601.08-0.13-0.43-0.120.17-1.38-0.380.790.960.850.26-0.77-1.72-2.30-1.34-2.92-1.67-0.62-0.30