Frontier Communications Parent Financial Ratios for Analysis 2009-2024 | FYBR

Fifteen years of historical annual and quarterly financial ratios and margins for Frontier Communications Parent (FYBR).

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
1.221.131.850.371.080.520.530.685.350.941.241.341.080.781.73
0.680.640.63-1.370.910.880.800.730.720.660.670.650.610.93
2.171.821.79-1.23-4.0010.927.884.042.872.732.072.211.901.6214.31
63.0562.5263.1662.2562.2961.2261.0562.3965.4466.8368.1968.5790.1189.9089.33
8.5610.2317.3613.40-60.119.60-16.2510.2413.3617.1820.6019.7017.1620.3328.62
8.5610.2317.3613.40-60.119.60-16.2510.2413.3617.1820.6019.7017.1620.3328.62
32.7230.1736.4435.8132.8440.1338.1533.5940.4641.2645.4244.9743.9243.8651.11
2.0310.3576.51-6.79-80.45-8.19-34.91-7.00-6.473.423.424.574.697.139.12
0.507.6277.29-5.62-72.91-8.71-22.11-6.60-5.672.792.372.732.854.025.70
0.280.310.390.430.460.360.370.310.210.250.290.280.300.210.31
---------------
11.1912.3713.1411.2111.8911.0010.348.508.577.107.117.396.174.897.22
32.6229.5227.7832.5530.7133.1935.3142.9242.6151.4051.3749.4059.1474.6450.55
0.558.591088.20135-40.19-79.33-8.25-3.493.642.843.723.532.9936.33
1.7135.911,3287.2110910.2426.484.777.27-2.64-3.29-4.08-4.11-4.36-4.83
0.142.3730.06-2.39-33.80-2.72-7.25-1.29-0.720.710.690.860.900.871.79
0.183.1039.438.20-49.61-3.58-9.37-1.69-0.931.020.961.231.241.182.40
21.4820.9518.82-46.76-41.8015.1628.9957.814.813.654.064.134.495.241.09
5.415.712.2719.0414.4920.2023.8021.6018.191.271.511.571.591.882.40
-7.37-5.40-2.547.993.567.049.933.656.560.620.880.760.750.991.57

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
0.770.871.071.221.360.851.101.131.561.971.571.851.211.170.400.370.370.410.171.081.101.140.550.520.490.470.450.530.700.720.670.680.680.595.525.357.142.900.980.942.191.101.201.241.181.111.691.341.400.840.771.080.830.800.830.780.861.761.921.73---
0.700.690.680.680.680.650.660.640.650.660.630.630.610.62-----1.371.341.300.920.910.890.870.870.880.840.830.800.800.790.770.750.730.730.610.730.720.700.660.660.660.670.670.670.670.660.640.630.650.630.620.610.610.610.950.940.93---
2.332.242.182.172.201.941.961.821.901.961.761.791.661.71-1.25-1.23-1.21-1.32-3.91-4.00-4.28-4.5311.2210.929.117.387.447.885.305.094.214.043.843.623.062.872.801.632.832.732.492.042.072.072.122.112.112.212.091.951.921.901.751.691.661.621.5517.7015.6214.31---
63.8765.1464.3064.2462.0563.5662.3663.4062.3362.5861.7864.6162.5662.5063.0162.8961.9461.9762.2362.4661.3963.0962.2161.9661.0160.8261.1260.4060.5561.5961.6362.8961.6961.6964.1365.8265.5965.3564.9965.1166.3568.1867.9445.3444.9091.0090.92-0.7891.8590.8390.8990.5890.7190.4288.7789.6590.2889.7089.7090.1289.6588.8788.72
5.786.156.168.427.947.949.939.4611.7011.388.3617.6318.0218.4415.4516.3415.647.7714.0711.381.30-264.1016.145.98-1.5516.9816.64-78.8014.30-16.2813.4611.5410.4611.924.2812.8814.5414.1111.8913.0117.2719.5319.5821.8417.3922.3620.8119.1321.9721.2716.4417.9613.9718.0218.6117.6416.6826.4331.1430.2432.7425.6725.93
5.786.156.168.427.947.949.939.4611.7011.388.3617.6318.0218.4415.4516.3415.647.7714.0711.381.30-264.1016.145.98-1.5516.9816.64-78.8014.30-16.2813.4611.5410.4611.924.2812.8814.5414.1111.8913.0117.2719.5319.5821.8417.3922.3620.8119.1321.9721.2716.4417.9613.9718.0218.6117.6416.6826.4331.1430.2432.7425.6725.93
---------------------------------------------------------------
-5.91-8.920.217.290.77-0.140.289.6713.5011.656.5713.039.962728.77-2.540.23-13.21-10.81-12.15-18.33-283.07-3.28-12.71-20.23-1.761.50-96.17-3.07-37.85-4.84-4.90-4.99-2.88-22.44-12.46-2.67-4.82-5.91-0.154.564.974.857.823.70-4.816.973.148.572.683.885.201.195.376.895.364.9910.1314.531.8815.528.0010.97
-5.51-8.310.071.190.77-0.140.2110.798.316.924.4912.257.992833.58-2.950.87-10.05-9.62-8.34-17.28-257.23-4.14-10.31-20.04-3.33-1.50-48.80-4.09-31.03-5.48-5.52-5.31-3.07-17.71-11.04-5.69-2.05-3.721.053.683.313.385.752.99-3.233.992.025.351.432.113.291.582.444.063.382.076.808.190.859.905.256.75
0.070.070.070.070.070.080.070.080.080.080.090.090.100.110.100.100.100.100.110.110.110.120.090.090.090.090.090.090.080.080.080.080.090.090.050.050.050.060.070.070.060.070.070.070.070.070.070.070.070.070.070.070.070.070.080.080.080.080.080.08---
---------------------------------------------------------------
3.103.052.952.772.903.203.213.073.263.283.383.163.273.102.982.662.592.642.962.852.822.822.712.712.512.522.642.512.562.482.512.302.102.392.282.172.161.461.641.982.162.122.021.762.011.832.061.821.381.531.611.511.901.841.861.752.241.971.931.78---
29.0129.4930.5332.4431.0928.1428.0629.3127.6127.4526.6228.4627.5329.0230.1833.8834.7334.0330.3631.6131.9531.9633.2433.1835.8635.6834.0535.8535.1036.2935.8739.0842.9337.6239.5241.4741.5961.4554.9545.4741.7342.5144.5551.0844.7149.0743.6349.5365.0459.0156.0359.5847.3749.0348.4051.4440.1645.7146.6350.67---
-1.62-2.390.020.320.21-0.040.063.022.432.111.394.112.87108-1.241.02-0.303.554.143.698.41141-5.67-13.69-21.92-0.750.83-45.25-1.11-18.56-1.73-1.77-1.68-0.53-3.54-1.83-0.24-0.46-1.450.381.080.960.981.660.91-0.981.250.711.660.510.691.010.470.691.110.890.5613.2414.131.52---
-4.76-7.180.061.000.70-0.140.2212.6212.6713.8512.2450.67162-3,248.23-1.110.90-0.263.053.442.996.611011.403.496.750.28-0.3115.100.488.360.941.021.050.436.243.820.551.131.00-0.28-1.22-1.10-1.12-1.92-0.951.02-1.36-0.78-1.95-0.59-0.81-1.18-0.60-0.91-1.58-1.30-0.83-1.39-1.69-0.20---
-0.39-0.610.010.080.05-0.010.020.830.660.560.391.150.8230.330.35-0.300.09-1.04-1.06-0.93-1.96-30.27-0.37-0.93-1.77-0.070.08-4.14-0.14-2.41-0.26-0.28-0.28-0.09-0.70-0.38-0.05-0.13-0.270.070.240.230.240.400.21-0.230.300.160.400.130.180.260.130.190.320.260.170.530.640.08---
-0.49-0.750.010.100.07-0.010.021.090.850.730.511.501.1140.69-1.241.02-0.303.554.14-1.36-2.83-42.25-0.48-1.22-2.32-0.100.11-5.35-0.18-3.12-0.34-0.36-0.36-0.12-0.90-0.49-0.06-0.18-0.390.110.320.330.330.560.30-0.320.410.230.570.180.250.360.170.260.430.350.220.710.850.10---
20.3420.6321.1621.4821.3221.1321.0520.9520.1319.5819.1318.8217.9417.38-46.14-46.76-47.01-48.58-42.80-41.80-38.94-35.7914.5815.1618.4122.6929.8628.9943.4645.423.6757.814.064.324.484.815.015.183.503.653.883.933.994.063.913.934.084.134.314.344.414.494.804.965.115.245.370.870.981.09---
5.332.851.365.414.242.711.585.714.253.092.152.271.34-1.126.3419.0414.239.094.5714.4910.598.232.7120.2011.6611.833.2423.8015.2310.633.8721.6012.408.26-0.0418.190.830.590.251.270.940.640.311.511.080.690.361.571.170.760.391.591.280.870.521.880.901.020.402.401.581.070.47
-2.62-2.33-1.34-7.37-7.34-6.28-3.10-5.40-3.32-1.350.33-2.54-3.29-4.232.707.996.434.251.853.562.703.370.497.042.634.05-0.479.935.514.360.703.65-1.25-0.05-0.276.560.290.220.070.620.470.340.170.880.610.360.170.760.560.360.160.750.580.440.310.990.560.520.171.571.050.710.30