Global Eagle Entertainment Financial Ratios for Analysis 2011-2024 | GEENQ

Fifteen years of historical annual and quarterly financial ratios and margins for Global Eagle Entertainment (GEENQ).

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
201920182017201620152014201320122011
0.720.900.950.972.171.891.960.852.56
1.981.491.040.610.170.010.00--
-2.06-3.14-24.301.570.200.010.030.01-
20.2720.8225.4031.0134.4827.3023.79-11.11-6.87
-9.86-17.01-45.17-30.71-2.07-9.54-17.53-41.66-54.73
-9.86-17.01-45.17-30.71-2.07-9.54-17.53-41.66-54.73
5.100.30-1.15-5.0210.033.21-5.65-39.89-51.97
-21.91-36.09-58.44-29.80-0.12-12.02-43.47-61.85-55.60
-23.36-36.56-57.65-21.32-0.50-14.80-44.29-61.85-55.60
0.980.900.720.480.670.730.452.350.18
19.6214.7916.3014.0618.6120.6912.7910.41-
7.456.635.464.404.564.534.048.35-
49.0255.0766.9083.0280.0680.5090.2543.73-
40.901051,402-37.77-0.14-18.29-32.21-3,020.69-374.02
25.8449.6011352.04-0.40-38.98-68.53-3,020.68-374.02
-22.95-32.99-41.50-10.27-0.08-10.72-19.82-145.41-9.84
-40.14-51.37-62.27-14.72-0.12-18.16-32.11-3,020.68-374.02
-100.96-61.65-7.0287.501121021241.5118.27
-2.41-20.29-19.25-12.096.97-7.98-25.51-51.28-7.19
-7.90-32.18-40.62-28.750.38-11.07-30.92-54.46-8.26

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
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-31
0.140.180.720.690.690.760.900.980.961.460.951.061.021.200.971.161.772.142.172.222.572.311.891.971.831.771.961.461.721.850.850.190.290.972.569.6524.080.06
-0.03-0.041.981.861.731.621.491.221.141.051.040.850.810.770.610.530.180.170.170.170.170.180.010.000.000.000.00--0.01--------
-1.61-1.80-2.06-2.21-2.43-2.77-3.14-5.73-8.25-21.01-24.305.844.483.411.571.140.230.200.200.210.210.220.010.010.010.020.030.050.040.050.010.05-----5.04
13.4416.2018.0922.3821.1219.4613.7021.6223.6424.2824.4725.4624.1827.5629.6629.6533.1232.5536.2535.1135.4530.7932.1528.2623.9824.2526.9127.5320.7115.91-29.33-15.33-11.205.46----
-37.89-32.46-8.86-9.42-9.67-11.46-23.30-13.15-12.97-18.89-75.06-21.44-16.76-66.46-55.93-19.18-37.24-4.39-1.72-3.070.53-4.02-11.92-7.81-7.68-10.93-11.39-9.13-11.90-52.11-78.61-41.23-38.90-19.41----
-37.89-32.46-8.86-9.42-9.67-11.46-23.30-13.15-12.97-18.89-75.06-21.44-16.76-66.46-55.93-19.18-37.24-4.39-1.72-3.070.53-4.02-11.92-7.81-7.68-10.93-11.39-9.13-11.90-52.11-78.61-41.23-38.90-19.41----
--------------------------------------
-69.70-55.35-21.07-21.76-22.32-22.49-67.23-24.62-25.42-27.47-94.16-32.21-25.75-80.47-57.70-20.90-33.340.66-3.59-6.0313.98-4.10-20.29-13.7213.08-28.96-86.67-5.68-19.85-63.48-105.44-40.67-81.81-35.98----
-69.88-56.13-22.16-24.29-24.42-22.57-67.98-26.35-27.66-24.46-84.21-34.95-28.34-82.32-58.5013.17-33.99-2.12-3.41-6.2412.69-4.37-24.80-15.1312.22-30.64-86.85-7.45-20.91-63.47-61.05-55.08-92.33-42.97----
0.150.230.240.250.220.230.220.210.200.160.190.150.150.140.140.130.180.180.180.170.170.160.190.190.180.150.140.190.180.110.450.100.090.10----
2.884.775.004.143.513.924.003.353.873.644.253.794.353.644.243.344.174.064.813.913.774.575.036.235.405.033.773.965.404.232.34-------
1.251.741.851.711.721.561.651.651.601.531.411.331.271.211.301.241.271.251.211.131.171.081.181.241.351.371.24-1.340.901.61-------
71.9551.6948.7452.5252.4757.6954.7154.6956.0858.8164.0367.6671.1474.6069.1872.3871.0772.0474.2779.7677.2582.9876.2072.8366.6765.6272.37-67.3999.6255.86-------
11.3217.759.6212.1312.8014.2448.2436.0558.01109528-50.33-33.46-71.71-30.674.98-12.26-0.68-0.90-1.953.77-1.04-8.01-4.633.70-7.86-19.46-2.63-6.30-12.01-994.15-157.02-275.46-141.84-364.31-6.26-3.25-67.98
8.3412.516.087.297.217.4422.8911.4113.1712.1142.4718.4716.2552.1042.26-8.62-40.10-1.66-2.53-5.446.80-2.02-17.07-9.518.25-17.37-41.39-11.06-18.89-33.58-994.14-157.02-275.46-141.84-364.31-6.26-3.25-67.98
-10.22-12.84-5.40-6.04-5.47-5.12-15.23-5.44-5.57-4.01-15.62-5.34-4.33-11.52-8.341.70-6.20-0.38-0.50-1.062.13-0.56-4.69-2.852.20-4.58-11.97-1.40-3.69-7.24-47.85-4.14-7.26-3.73-9.58-0.16-0.09-4.90
11.6818.43-9.44-10.42-9.32-8.78-23.70-7.91-8.28-5.59-23.44-7.49-6.23-16.40-11.952.33-10.01-0.57-0.75-1.623.12-0.86-7.95-4.623.69-7.86-19.39-2.63-6.30-11.84-994.14-157.02-275.46-141.84-364.31-6.26-3.25-67.98
-136.58-117.88-100.96-91.65-81.11-71.69-61.65-32.70-21.67-9.64-7.0229.0038.5551.2387.5011499.7011211211311210710211011311612493.0399.871031.5123.1423.295.4018.2723.6923.830.08
-6.59-0.99-2.41-2.160.53-2.79-20.29-19.00-11.76-1.09-19.25-20.02-17.51-10.35-12.09-10.570.210.516.973.861.45-1.19-7.71-4.14-4.45-1.00-23.22-22.01-23.07-21.77-51.28-35.16-23.55-11.64-7.19-2.24-1.170.00
-7.16-1.39-7.90-6.95-3.11-5.26-32.18-28.17-18.48-5.29-40.62-37.58-30.05-16.26-28.75-19.23-5.41-0.550.38-0.87-0.14-2.03-10.69-6.27-5.85-1.70-28.15-31.34-26.37-21.91-54.46-37.85-25.70-11.73-8.26-2.24-1.170.00