Genpact Financial Ratios for Analysis 2009-2024 | G

Fifteen years of historical annual and quarterly financial ratios and margins for Genpact (G).

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
1.441.611.471.451.701.391.711.682.011.912.762.181.492.902.14
0.270.410.400.420.440.410.410.350.360.340.330.360.050.000.02
0.560.780.870.870.850.930.850.700.610.610.500.640.250.020.06
35.0835.1535.6034.8134.8235.9638.5639.5439.3139.5438.1139.1337.2137.3739.95
14.0911.4912.6511.8312.2011.6012.1013.2713.5812.9014.5213.9013.5114.1314.48
14.0911.4912.6511.8312.2011.6012.1013.2713.5812.9014.5213.9013.5114.1314.48
16.4614.5116.8916.2015.9015.1915.6416.5117.4916.5318.3918.5018.5420.0521.64
13.4510.6412.0110.8011.3512.0611.7112.8212.2610.9514.3613.8316.3514.5514.32
14.108.089.198.318.669.409.6110.499.748.4210.779.3711.5211.2911.37
0.930.950.810.760.790.850.790.890.880.830.790.730.670.660.64
---------------
4.014.394.534.213.853.883.954.184.174.344.224.213.984.124.44
91.0183.0680.5686.6994.7994.1792.4387.3687.5284.1986.4886.7491.7888.7082.29
28.0819.3519.4716.8118.0520.0318.3220.7918.3914.9517.7515.7513.3110.0611.25
123676-10,469.12-313.96-262.48-168.68-583.9619314316986.7017948.1216.9821.95
13.147.707.436.336.847.977.569.278.587.018.747.087.957.877.72
20.5411.4911.669.8110.0711.8210.7313.4811.759.9311.8710.0812.6410.0410.99
12.539.9810.249.708.887.427.396.476.175.885.735.206.466.715.52
2.652.363.602.982.191.751.821.651.491.211.321.351.180.730.70
2.352.093.352.631.821.321.541.261.220.931.130.991.020.490.47

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
1.851.891.541.441.911.881.841.611.081.581.431.471.581.522.031.451.641.491.571.701.461.461.381.391.311.521.521.711.651.732.331.681.772.102.092.012.112.292.091.911.801.783.062.762.532.212.292.182.021.551.711.491.561.583.542.902.522.262.312.141.931.961.62
0.330.340.260.270.380.390.390.410.300.420.410.400.400.410.480.420.430.440.460.440.370.380.390.410.430.430.420.410.440.450.470.350.350.350.350.360.370.370.330.340.340.350.310.330.350.360.340.360.360.040.050.050.060.050.000.000.000.000.010.020.040.050.08
0.680.700.560.560.650.710.750.780.860.881.030.870.850.910.960.870.901.120.970.850.770.810.880.931.050.960.960.850.921.010.920.700.660.600.630.610.630.620.590.610.660.690.460.500.550.650.620.640.650.240.230.250.240.230.010.020.030.040.050.060.080.090.16
35.6335.4035.0535.5635.4735.2833.9934.9435.4534.4235.8034.4735.6435.9436.4835.4435.2434.0234.4932.9635.4635.2235.8536.1835.6436.4635.5038.0739.5138.2038.4740.5539.5139.1438.8539.0739.1739.9039.1240.2939.7339.4438.6038.0738.4437.7938.1338.9839.4839.0139.0439.4537.5436.1135.1136.7936.3037.8838.7040.6941.2939.2338.41
15.0014.4714.1414.2014.5914.2313.3211.5911.7810.0712.5310.4413.0213.8513.5211.8913.3210.0411.9911.9913.5412.0411.1313.2712.5710.919.269.9813.8112.0712.7014.4513.4312.6812.4012.9114.1414.6612.6111.7812.3913.0114.6212.8316.0714.5814.6813.9414.2413.5113.8813.9913.2112.8414.0717.5313.1912.4512.9315.6015.7913.8712.45
15.0014.4714.1414.2014.5914.2313.3211.5911.7810.0712.5310.4413.0213.8513.5211.8913.3210.0411.9911.9913.5412.0411.1313.2712.5710.919.269.9813.8112.0712.7014.4513.4312.6812.4012.9114.1414.6612.6111.7812.3913.0114.6212.8316.0714.5814.6813.9414.2413.5113.8813.9913.2112.8414.0717.5313.1912.4512.9315.6015.7913.8712.45
---------------------------------------------------------------
14.4913.8113.8213.8313.6413.6012.7111.1710.908.7611.769.6812.1813.7012.7110.5511.818.7911.9812.1612.4710.779.8012.7713.0611.2111.0311.1112.6612.6110.3813.8113.1412.6511.5712.6613.9612.789.499.6310.5111.1712.7111.2117.4515.8413.0015.788.5218.0613.0019.6515.9713.8515.4418.3615.2511.0613.0014.5714.9413.8113.91
10.9710.3710.3425.4110.3510.529.748.148.636.589.006.8210.0810.399.657.899.136.919.288.749.918.367.529.479.848.869.399.1310.4010.288.5611.1910.6210.429.649.9611.0110.297.617.617.938.729.588.7513.1411.949.2810.525.1313.078.8513.8111.189.8110.9313.4812.489.059.7811.6511.6210.8811.27
0.230.230.240.240.250.250.240.240.240.240.210.220.200.200.200.200.190.190.210.210.220.220.210.240.220.220.200.210.210.210.210.240.220.220.210.230.220.220.210.220.210.210.200.210.200.200.190.190.190.190.180.180.180.170.170.180.180.180.160.170.170.160.16
---------------------------------------------------------------
1.001.010.991.031.081.101.081.111.121.071.101.211.071.081.071.081.091.041.011.031.031.030.961.081.051.050.981.061.061.051.031.111.061.051.011.101.121.101.111.141.101.061.031.111.121.131.091.121.061.090.981.101.081.011.071.121.101.071.051.181.141.161.12
90.2388.7491.2787.6583.5682.0383.0781.2080.5483.8181.8274.5184.2883.4684.3183.4282.6586.8788.8187.4787.4187.4393.3183.4185.4485.4091.8584.9485.1685.5687.0981.2284.5585.3989.3982.1580.0481.7481.1878.6681.6985.1187.4581.4080.2779.9082.3380.1284.8682.3392.1981.8183.6988.8783.8680.6182.0984.4185.4976.5378.8877.9080.55
5.555.225.0912.965.856.015.514.915.534.095.213.855.245.585.224.094.813.745.454.875.494.664.075.645.734.984.684.645.575.494.445.915.214.794.344.945.314.753.343.563.744.063.563.775.955.473.844.692.314.312.564.373.192.502.453.253.012.272.303.063.273.174.10
19.5819.6720.4356.9443.5865.6867.24172-190.50-142.53-334.34-2,071.02106-230.83-58.61-76.36262-67.57-43.58-70.77164425-77.49-47.47-31.13-47.64-66.02-148.07-52.57-53.5034455.0047.3230.6128.1538.4850.0841.7626.4640.3560.1243113.8318.4149.5553.7032.6353.1539.0414.947.7115.8010.167.574.045.485.304.224.325.977.157.5914.31
2.492.362.476.062.562.592.351.962.111.581.931.472.032.101.911.541.781.281.951.852.151.841.562.242.131.981.881.922.182.131.802.642.362.292.062.312.442.251.631.671.701.821.881.862.702.421.802.111.022.491.632.612.051.691.992.542.271.661.722.102.021.891.92
3.693.443.759.483.633.673.352.923.872.383.092.313.173.282.692.392.762.082.952.713.452.902.473.333.242.832.712.723.143.022.363.833.383.132.813.153.353.022.242.372.452.632.442.523.843.532.523.001.474.142.444.153.022.372.453.243.002.262.282.993.153.013.79
13.5813.1212.7712.5311.0810.6610.489.989.469.549.9810.2410.389.829.359.709.338.718.278.888.458.317.887.426.766.837.177.396.816.526.136.476.456.476.436.176.006.096.095.885.765.576.125.735.225.215.525.205.156.537.066.467.017.367.006.716.275.856.015.524.904.663.62
2.291.02-0.142.651.630.74-0.182.361.14-0.06-0.603.602.321.240.402.982.160.89-0.092.191.740.62-0.031.751.050.26-0.141.821.350.600.151.651.130.40-0.051.491.170.520.111.210.810.420.061.320.990.460.141.350.910.580.021.180.780.360.090.730.350.04-0.090.700.560.310.09
1.940.78-0.272.351.420.61-0.252.090.95-0.21-0.693.352.181.140.342.631.920.72-0.201.821.470.47-0.091.320.700.06-0.231.541.120.450.071.260.820.18-0.161.220.970.390.050.930.590.290.001.130.840.350.070.990.650.40-0.071.020.690.310.070.490.14-0.12-0.200.470.370.180.03