CGI Financial Ratios for Analysis 2009-2024 | GIB

Fifteen years of historical annual and quarterly financial ratios and margins for CGI (GIB).

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
1.061.191.251.351.131.001.061.150.951.030.771.020.971.141.51
0.190.300.300.310.240.180.220.210.240.340.370.480.200.320.10
0.370.450.490.490.340.270.300.300.350.540.710.950.460.530.12
16.1916.2516.0715.3189.7990.1289.2788.8189.3213.0510.6316.0417.8118.9217.12
15.7516.0316.0114.6814.4514.4914.5414.6214.2713.0510.6311.4312.9213.6912.00
15.7516.0316.0114.6814.4514.4914.5414.6214.2713.0510.6311.4312.9213.6912.00
19.3819.7220.2219.3317.6917.9018.0218.3718.3917.2814.9616.2818.2419.5817.70
15.3715.2915.1612.4713.8512.9513.0713.6012.9110.766.225.5112.6412.8011.53
11.4111.3911.299.1910.439.929.5510.009.508.194.522.7610.069.728.27
0.900.850.810.780.960.970.950.910.870.930.930.460.920.810.98
10.489.049.749.581.131.211.261.281.2611.309.885.388.888.4312.73
9.999.409.819.748.867.748.399.639.3210.138.363.308.748.808.29
36.5438.8337.2137.4741.2147.1443.5037.9139.1636.0243.6411141.7741.4644.02
19.6320.1619.6015.3918.3517.0716.6916.5316.0717.1117.3711.9019.1818.1915.09
-121.22-70.27-72.41-59.57-77.75-82.75-65.07-89.84-53.92-37.88-23.12-12.50-75.30-44.48228
10.329.669.117.1910.019.589.089.148.297.606.473.899.608.538.83
15.9114.0413.7010.6113.8814.0313.0313.0612.2511.2511.036.1515.2612.2813.52
26.4323.9622.5120.8219.2918.6416.4623.5216.07------
6.596.016.625.424.434.033.414.733.283.412.092.222.101.811.73
6.095.526.245.063.993.653.144.183.002.922.091.991.861.661.55

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
1.161.171.111.061.161.081.081.191.121.191.221.251.091.091.211.351.331.081.041.131.091.161.141.000.990.990.991.061.141.101.091.151.030.981.020.950.930.951.021.030.790.810.870.770.800.940.981.021.311.381.350.971.271.231.161.141.451.461.471.511.461.43
0.180.180.180.190.220.230.230.300.300.300.300.300.290.300.280.310.340.320.220.240.260.220.230.180.190.180.190.220.200.210.210.210.220.240.220.240.230.270.310.340.290.330.370.370.390.450.470.480.210.260.280.200.290.310.310.320.120.110.100.100.110.12
0.270.270.280.370.380.400.400.450.450.450.440.490.500.510.470.490.540.480.300.340.380.310.320.270.270.260.280.300.260.280.280.300.310.350.340.350.360.390.470.540.530.610.730.710.780.840.900.950.290.360.410.460.420.460.500.530.190.170.120.120.130.14
16.3816.8616.2016.3916.1816.2015.9616.1615.9816.0016.8716.3815.8415.7516.3315.5214.6315.5115.5532015.2414.9114.7533214.8614.3814.4231014.1014.5214.9116714.5914.2614.3733314.4613.8114.9317.9912.9011.6411.2616.2211.417.138.4914.0917.6118.7113.9516.7218.0217.4718.3319.4118.9518.0716.8518.9315.4715.19
16.3715.6914.8216.1315.8215.6415.4015.7015.7315.9416.7916.3315.8215.7216.1715.3413.9714.5114.8914.5314.0514.6314.6015.5914.5714.0113.8614.9214.0014.4714.8014.8514.5914.2614.3714.9114.4316.645.2113.8013.6811.855.1815.3710.916.417.069.7512.1016.3112.575.8615.8216.5215.6617.2813.2916.9417.6514.7518.0816.06
16.3715.6914.8216.1315.8215.6415.4015.7015.7315.9416.7916.3315.8215.7216.1715.3413.9714.5114.8914.5314.0514.6314.6015.5914.5714.0113.8614.9214.0014.4714.8014.8514.5914.2614.3714.9114.4316.645.2113.8013.6811.855.1815.3710.916.417.069.7512.1016.3112.575.8615.8216.5215.6617.2813.2916.9417.6514.7518.0816.06
--------------------------------------------------------------
16.1815.4414.6315.9015.4315.1914.9714.9515.0115.2615.9515.4514.9114.9215.3611.5111.7213.5812.9613.9313.3913.9114.1714.0713.2012.4912.0911.1613.3713.8014.0213.9313.9613.3812.4812.3313.6912.6513.8411.9311.3010.7210.159.908.285.981.22-9.0911.4413.5613.6710.0513.4113.0413.3611.5013.4212.7612.0812.8510.8410.13
11.9911.4110.8211.8111.4511.2911.0811.1511.1811.3811.8811.5111.2011.0811.378.598.5510.069.5010.949.9210.3710.5110.509.809.3010.138.099.7510.0710.3010.2110.2710.288.869.0110.059.669.308.608.448.547.185.746.944.520.89-10.448.199.9210.327.0911.4110.3211.288.359.538.9612.188.918.058.17
0.230.240.230.220.230.230.220.210.220.230.210.200.210.210.200.190.200.210.220.240.240.240.230.230.240.240.240.240.240.240.230.440.230.240.220.210.230.240.210.210.240.230.210.220.230.230.230.160.230.240.230.210.240.260.250.230.230.240.250.260.260.25
2.582.552.952.582.452.502.722.242.392.462.672.422.462.502.542.322.412.232.53-5.962.492.452.44-6.742.492.452.55-6.252.422.522.53-3.742.442.512.51-6.482.402.632.832.532.592.452.342.212.833.003.771.871.982.032.172.192.182.452.542.242.682.792.903.232.883.11
2.472.612.322.462.392.502.212.322.332.552.222.442.522.752.312.372.242.101.952.182.092.091.941.842.022.191.952.122.242.292.164.682.302.492.272.202.412.702.102.292.212.151.701.971.781.721.571.132.302.182.052.012.342.402.442.472.282.522.162.192.212.14
36.4534.5038.8236.5237.5935.9640.8038.7338.6535.3340.5136.8635.6632.7439.0338.0440.2642.8646.2541.3742.9843.0146.3948.7844.5041.0146.0642.4340.2039.3841.5919.2139.2036.0839.5840.9937.3933.3642.8939.3140.7241.9052.8945.6150.5452.2057.2779.7039.1841.2743.9644.6738.4237.4436.8236.4839.5235.7741.7441.0340.6742.13
4.954.824.535.015.045.234.854.875.225.485.274.975.125.194.793.493.754.664.104.734.644.564.494.314.284.004.353.584.174.284.348.214.494.723.693.594.444.684.134.094.744.934.163.364.503.080.63-4.983.414.424.643.015.345.495.884.043.873.865.223.953.573.55
-44.84-44.41-33.59-30.96-30.18-24.15-21.18-16.99-16.24-18.25-18.09-18.37-15.19-15.03-17.71-13.52-11.97-12.50-18.06-20.04-15.74-27.38-21.76-20.88-19.30-18.67-19.06-13.94-22.56-21.15-20.70-44.62-18.69-16.20-15.30-12.044.91-13.26-10.85-9.06-9.02-8.09-5.91-4.48-5.58-3.61-0.685.23-25.91-34.42-25.30-11.82-20.39-17.33-16.52-9.8969.1467.0879.9859.71104-2,007.19
2.792.712.512.642.582.602.402.342.442.572.502.312.322.322.251.631.702.162.092.582.412.502.422.422.372.222.391.952.342.382.394.542.392.481.961.852.302.351.931.822.032.001.521.251.591.050.21-1.631.902.372.391.512.742.662.841.902.242.193.102.312.072.08
4.053.963.714.063.914.023.713.393.643.813.683.483.623.653.442.412.473.183.193.583.423.563.483.543.483.293.532.793.333.393.416.493.503.602.882.743.413.422.842.693.353.322.612.142.751.690.34-2.572.693.293.342.393.793.794.062.733.423.444.693.543.183.14
28.5328.3527.1626.4326.0125.2024.3923.9622.9022.3722.7222.5121.9320.9321.5620.8219.3419.4519.9519.2918.5219.1619.0218.6418.5219.0117.9216.4616.7016.3115.8323.5215.5814.4215.50---------------------------
4.993.431.816.594.663.331.866.014.483.101.566.625.183.641.765.423.992.401.294.433.312.311.054.033.111.161.113.412.491.780.854.732.341.350.783.402.111.560.933.402.201.200.202.071.551.170.722.101.950.950.542.141.431.050.341.891.320.950.521.751.210.68
4.723.241.726.094.263.061.745.524.102.851.426.244.613.481.715.063.732.211.213.992.992.100.963.652.841.061.033.142.291.640.774.182.051.160.703.111.761.430.852.911.820.930.052.071.230.900.591.881.710.850.501.891.230.910.281.731.220.880.491.571.070.60