Golden Entertainment Financial Ratios for Analysis 2009-2024 | GDEN

Fifteen years of historical annual and quarterly financial ratios and margins for Golden Entertainment (GDEN).

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
2.351.842.081.191.211.881.691.843.3015.3318.718.4619.844.740.96
0.550.720.760.870.800.750.750.440.390.080.070.030.040.05-
1.232.553.177.063.933.083.040.880.690.100.090.040.050.070.17
43.0343.2045.2539.6440.5739.6331.7227.7631.7342.1549.7084.79100.00100.00100.00
37.9113.1915.14-9.724.745.983.023.2610.37-43.4134.57-64.73-28.99-165.73-3.81
37.9113.1915.14-9.724.745.983.023.2610.37-43.4134.57-64.73-28.99-165.73-3.81
46.7422.4825.2713.7517.1817.6711.3710.3216.90-35.6334.12-77.668.03-111.9837.11
31.527.3914.79-19.67-4.26-1.32-1.152.998.22-45.0348.086.36-14.38-51.5519.54
24.287.3414.75-19.68-4.06-2.460.414.0813.85-45.0348.0829.41-5.19-56.2414.12
0.730.740.680.440.560.620.370.950.470.450.260.090.310.190.15
74.1078.5090.4574.3070.2376.0861.9111149.56------
62.1354.7358.5850.6459.9166.6634.5244.2634.6488.7018.005.0710.2514.5118.00
5.876.676.237.216.095.4810.578.2510.544.1220.2872.0235.6225.1620.28
47.5623.3350.63-84.71-13.65-6.640.657.7811.65-23.0914.122.82-1.73-12.583.00
64.0278.45256132133-131.6250.9931573.47-23.5914.342.95-1.79-14.704.72
17.615.4610.01-8.70-2.27-1.530.153.896.47-20.3612.672.64-1.62-10.922.13
21.386.5712.16-10.60-2.78-1.640.164.327.06-21.3213.102.74-1.66-11.953.00
18.7612.5211.085.7310.3911.7712.119.429.638.049.898.498.268.349.38
3.874.779.211.314.113.560.901.670.550.100.260.921.110.590.90
1.103.148.310.030.251.08-0.300.430.34-0.22-1.280.661.090.590.89

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
0.772.362.352.483.012.811.841.911.911.912.081.931.981.341.191.090.992.621.211.341.351.261.882.502.382.321.691.591.791.901.841.761.462.713.302.8117.2814.3215.3316.0114.6417.5218.7118.415.924.928.469.5517.8518.8819.8419.346.1813.414.742.031.600.960.961.080.640.54
0.420.540.550.570.710.720.720.720.740.750.760.770.800.870.870.860.860.840.800.790.790.780.750.730.730.730.750.410.420.430.440.460.470.410.390.430.070.080.080.080.070.070.070.090.11-0.030.03-0.040.04-0.04-0.050.040.070.07-0.09-0.05
0.731.171.231.322.442.562.552.632.842.963.173.393.926.647.066.386.305.173.933.833.713.543.082.712.722.773.040.750.800.830.880.920.940.740.690.790.090.090.100.100.080.090.090.100.140.010.040.040.010.050.050.010.050.010.070.050.110.240.170.250.160.22
55.6053.2444.3841.8543.3942.6242.0342.6544.2143.8843.2744.6448.0944.8440.0445.1632.9236.2439.9339.8841.3941.0638.2839.2040.0540.9536.9928.9928.7028.4526.3027.5528.3528.9729.1430.3044.2741.1441.6944.1141.9140.3836.1747.2860.1280.9670.5877.11100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
8.0946.053.0812612.4711.7412.6612.5615.4112.0212.2316.0120.5011.00-0.544.60-81.55-6.674.344.065.654.882.604.628.827.772.722.222.355.021.142.964.934.1131.75-12.400.10-10.501.50-143.262.31-13.38-19.47121-14.54-56.84-66.48-69.22-43.71-80.85-1,326.47-4,196.0056.2620.79-844.8026.97-72.20-0.36-60.2510.9321.18-0.66
8.0946.053.0812612.4711.7412.6612.5615.4112.0212.2316.0120.5011.00-0.544.60-81.55-6.674.344.065.654.882.604.628.827.772.722.222.355.021.142.964.934.1131.75-12.400.10-10.501.50-143.262.31-13.38-19.47121-14.54-56.84-66.48-69.22-43.71-80.85-1,326.47-4,196.0056.2620.79-844.8026.97-72.20-0.36-60.2510.9321.18-0.66
--------------------------------------------------------------
0.2939.91-3.201205.775.186.196.889.956.436.8010.2435.494.31-9.07-3.39-103.14-15.72-3.20-3.80-6.35-3.61-7.41-2.542.072.40-5.740.470.533.434.771.343.332.5230.24-15.77-1.06-12.30-0.45-144.860.40-14.36-7.511272.85-10.0861.36-29.6211.08-12.33-1,212.49-3,682.0060.9240.25-823.88319-34.1920.65-18.5128.1439.9819.39
0.3724.11-4.0693.594.284.183.955.027.3313.186.7710.2935.224.43-8.98-3.39-103.41-15.75-3.17-3.88-5.81-3.34-12.05-1.491.661.83-7.367.951.565.059.751.252.732.4627.084.83-1.17-13.51-0.45-144.860.40-14.36-7.511272.85-10.0869.66-27.2316.8792.46-995.44-15.2033.6923.42-601.5018481.40-67.40-46.1934.5839.9214.08
0.140.120.160.170.190.190.190.180.190.170.170.170.180.150.130.130.050.110.140.140.150.140.150.150.160.150.130.250.260.250.240.260.240.230.230.180.130.110.110.130.100.080.080.100.070.030.020.030.020.020.010.000.210.050.040.050.030.040.030.040.040.04
10.5711.1815.8520.3020.8722.0419.9823.8622.4420.6824.1027.0926.7223.7821.8618.337.6618.5217.6619.8216.9919.9719.1921.8518.9023.6520.6927.8325.8124.0428.9129.2327.2825.9725.11---------------------------
9.939.8413.6115.4122.7218.4213.6513.3215.5913.3315.0613.603.6315.8915.0015.425.5217.2914.9017.4516.1614.8716.4413.8916.2915.2912.5011.5616.6017.2711.3115.1713.3812.8916.919.217.32-20.62-6.555.715.317.151.991.521.310.670.460.360.370.201,4081.552.762.062.002.063.612.981.912.03
9.069.156.615.843.964.896.596.765.776.755.986.6224.815.666.005.8416.305.206.045.165.576.055.476.485.535.897.207.795.425.217.965.936.726.985.329.7812.29-4.36-13.7515.7616.9512.5845.2459.3668.701351972532454550.0657.9332.6643.6144.9343.6824.9230.2047.0044.37
0.127.37-1.7444.213.343.303.133.986.3310.825.989.5137.236.20-11.45-3.90-43.16-12.60-2.65-3.19-4.75-2.54-8.03-0.871.011.12-4.233.710.782.474.760.661.441.0411.121.64-0.17-1.63-0.05-21.440.04-1.36-0.6514.830.22-0.301.76-0.900.381.58-11.63-0.057.831.24-25.5610.873.17-3.93-1.971.822.300.86
0.169.72-2.3558.025.165.2410.5313.6725.7745.8330.2761.74629-11.6617.897.2479.9567.2825.8034.0054.1941.02-159.31-5.737.239.86-330.9426.818.6538.27193-16.04-23.029.8870.1325.05-0.17-1.66-0.06-21.830.04-1.38-0.6615.060.23-0.311.84-0.950.391.64-12.10-0.058.141.41-29.8714.594.59-5.98-3.102.943.711.38
0.052.79-0.6515.620.820.780.730.901.372.251.181.776.190.66-1.18-0.43-4.84-1.71-0.44-0.56-0.85-0.47-1.85-0.220.260.28-0.991.960.411.282.380.320.650.566.180.87-0.15-1.43-0.05-18.900.04-1.22-0.5813.040.19-0.281.65-0.840.361.49-10.94-0.046.951.15-22.208.622.53-2.71-1.401.291.640.61
0.073.41-0.7819.110.970.930.881.101.652.731.442.177.580.82-1.43-0.53-5.94-2.05-0.54-0.66-1.01-0.56-1.98-0.240.270.30-1.052.200.451.412.640.360.770.626.740.93-0.16-1.51-0.05-19.740.04-1.26-0.6013.510.19-0.301.71-0.870.381.52-11.17-0.057.511.24-24.2710.412.96-3.64-1.971.652.300.81
19.0419.6818.7619.0712.7512.2212.5212.3611.7611.5011.0810.519.586.025.736.346.479.2310.3910.6510.9011.3711.7712.7913.0112.8312.1110.339.879.729.428.918.789.729.638.537.907.918.048.049.769.769.899.998.508.478.498.338.408.408.269.209.198.458.3410.519.369.059.389.549.309.09
1.560.843.874.173.281.774.774.092.881.359.217.833.781.721.310.88-0.370.404.113.532.210.973.562.641.931.020.901.321.160.471.671.220.780.480.55-0.04-0.11-0.070.10-0.040.08-0.040.260.400.030.030.920.460.310.081.111.421.67-0.550.590.700.300.130.900.710.400.24
0.440.311.101.851.540.963.143.012.221.028.317.183.421.560.03-0.22-1.15-0.250.250.610.30-0.011.080.841.000.67-0.300.450.580.220.430.18-0.020.100.340.040.10-0.16-0.22-0.35-0.17-0.10-1.28-0.96-1.15-0.590.660.320.270.081.091.401.67-0.550.590.690.300.130.890.710.400.24