GigaMedia Financial Ratios for Analysis 2009-2024 | GIGM

Fifteen years of historical annual and quarterly financial ratios and margins for GigaMedia (GIGM).

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
15.9118.1413.2415.9216.4318.5112.987.665.533.335.623.933.342.151.45
---------------
-------0.040.090.240.050.070.080.060.12
56.9958.1952.9557.0053.8949.5156.0453.8713.2919.8849.5558.5455.4867.3576.88
-73.51-54.09-72.36-31.30-45.37-67.92-4.23-79.50-195.05-137.77-256.03-26.57-45.94-28.96-1.06
-73.51-54.09-72.36-31.30-45.37-67.92-4.23-79.50-195.05-137.77-256.03-26.57-45.94-28.96-1.06
-72.23-53.50-72.00-31.19-42.24-62.57-3.75-60.37-148.90-108.21-20.72-14.12-33.18-21.434.94
-79.19-49.27-62.36-18.81-24.97-44.97-5.04-80.43-26.36-51.77-230.72-47.03-208.9913.39-34.83
-79.19-49.27-62.36-18.81-24.97-44.979.37-67.62-21.88-52.72-231.37-58.65-208.111.98-35.02
0.090.110.100.120.110.120.170.130.130.090.150.200.180.240.61
---------------
18.9128.0720.7225.0018.0613.5815.4410.308.237.537.449.745.336.8137.82
19.3013.0117.6114.6020.2126.8823.6435.4444.3748.4549.0537.4768.4653.619.65
-7.81-5.66-6.74-2.39-2.99-5.491.77-10.17-3.47-6.31--3.75-8.47-1,147.44-0.21
-7.81-5.66-6.74-2.39-2.99-5.491.77-10.17-3.47-6.33-40.01-5.19-11.8217.65-0.31
-7.31-5.28-6.17-2.27-2.80-5.201.64-8.63-2.82-4.61-33.63-3.15-6.8410.38-0.15
-7.81-5.66-6.74-2.39-2.99-5.491.77-10.17-3.47-6.31-39.35-3.75-8.4712.82-0.21
3.944.404.604.895.035.265.555.405.977.15-----
-0.11-0.23-0.37-0.19-0.14-0.35-0.10-0.51-1.52-1.00-0.42-0.72-1.15-0.830.72
-0.11-0.23-0.38-0.19-0.15-0.36-0.12-0.38-1.54-1.04-0.44-0.76-1.21-1.140.24

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
13.9716.2517.0015.9113.7517.5418.2718.1414.8813.3112.3213.2412.2913.9514.9915.9213.7317.2015.9016.4315.9716.8520.4118.5112.1013.3913.0712.9812.778.447.487.667.156.056.045.536.365.673.223.332.402.506.125.627.016.734.063.934.363.403.303.341.931.972.062.152.452.841.501.451.521.711.74
---------------------------------------------------------------
-----------------------------0.040.040.040.040.090.090.090.080.060.250.240.250.230.050.05--0.070.070.050.070.070.080.060.070.060.060.060.060.120.120.090.070.06
48.3749.9347.7257.9854.4455.2259.7756.8060.2556.8058.3148.3356.0751.6954.6657.7358.9953.5557.7868.1454.9643.9649.7854.3441.7443.9156.1849.6763.2556.1855.0448.1357.9551.3056.7742.64-29.817.9623.35-3.018.3033.1346.6434.3153.2852.5555.6560.0067.8554.0052.9055.1858.6053.2055.2731.6754.3966.6478.8477.8574.4475.7179.05
-131.08-145.35-153.66-75.32-82.26-89.76-52.68-61.46-42.77-61.83-53.56-91.61-53.82-88.14-62.31-42.76-17.62-30.05-39.90-27.24-28.51-64.15-63.30-63.07-89.30-80.91-45.1448.73-13.66-23.54-10.35-217.48-38.01-62.26-19.99-319.96-261.26-139.37-108.04-163.53-146.86-119.21-117.99-1,020.41-37.01-35.74-30.16-12.35-12.49-35.50-37.78-78.12-47.78-41.18-25.70-94.88-62.28-83.279.83-9.08-8.78-0.6012.29
-131.08-145.35-153.66-75.32-82.26-89.76-52.68-61.46-42.77-61.83-53.56-91.61-53.82-88.14-62.31-42.76-17.62-30.05-39.90-27.24-28.51-64.15-63.30-63.07-89.30-80.91-45.1448.73-13.66-23.54-10.35-217.48-38.01-62.26-19.99-319.96-261.26-139.37-108.04-163.53-146.86-119.21-117.99-1,020.41-37.01-35.74-30.16-12.35-12.49-35.50-37.78-78.12-47.78-41.18-25.70-94.88-62.28-83.279.83-9.08-8.78-0.6012.29
---------------------------------------------------------------
-41.61-84.88-124.41-231.57-47.34-54.83-23.6231.49-55.16-82.95-71.12-78.47-46.54-68.26-60.48-23.96-12.24-22.98-17.81-18.05-12.68-35.07-35.87-31.03-65.16-45.49-39.47-29.65-5.5929.01-18.31-193.93-88.43-104.2543.89-380.24-12.3748.99163202-197.41-112.84-127.54-891.51-84.512.19-33.44-295.6881.48-29.60-28.29-692.59-114.24-77.75-47.30-495.23-123.855429.73-144.51-8.28-0.0212.79
-41.61-84.88-124.41-231.57-47.34-54.83-23.6231.49-55.16-82.95-71.12-78.47-46.54-68.26-60.48-23.96-12.24-22.98-17.81-18.05-12.68-35.07-35.87-31.03-65.16-45.49-39.4752.78-5.5929.01-18.32-137.53-88.43-104.2543.87-363.26-15.0350.48166204-195.71-108.33-141.41-898.05-81.682.30-33.17-318.5481.60-48.45-27.46-693.78-100.24-79.11-49.46-463.38-127.174843.55-128.39-6.380.3410.90
0.020.020.020.020.020.020.030.020.030.030.030.020.030.020.030.020.030.030.030.030.030.030.020.030.030.030.030.030.030.040.060.030.030.030.030.030.020.030.030.020.020.020.020.030.030.030.030.030.040.040.050.040.030.040.040.030.030.040.140.150.110.120.14
---------------------------------------------------------------
1.401.041.193.801.731.081.445.532.665.805.794.744.943.654.705.155.663.302.704.091.821.671.543.101.441.652.302.701.931.901.892.341.902.422.091.891.901.460.622.050.611.521.591.671.221.761.151.711.871.811.371.150.550.840.880.940.692.378.819.542.542.403.19
64.2586.6375.7223.6651.8883.6962.6116.2633.8015.5115.5418.9818.2024.6319.1617.4615.9127.2733.3122.0249.4554.0358.5429.0762.3554.6539.1833.3346.6847.2947.6738.4747.3337.1342.9647.6047.4161.4614643.9214859.2256.5853.7773.7051.2378.0352.5148.0549.6165.4878.5116310710396.0413037.9410.229.4335.3937.4628.19
-------0.71----1.94----0.63----0.49----0.86---1.74----4.70--1.59-12.97-0.331.756.586.88-6.21-3.14-3.01-----13.05--69.58-33.12-3.90-3.55-2.411,706-220.181,87244.16-27.79-30.670.042.06
-0.77-1.45-2.11-4.63-1.07-1.18-0.650.71-1.78-2.30-2.20-1.94-1.41-1.60-1.64-0.63-0.46-0.77-0.52-0.49-0.43-1.08-0.92-0.86-1.86-1.27-1.411.74-0.211.50-1.28-4.70-3.46-3.311.59-12.98-0.331.756.606.90-6.25-3.17-3.05-34.47-3.850.10-1.66-18.035.62-2.03-2.25-46.26-5.36-5.02-3.41-26.25-5.5528.501.00-42.10-2.040.074.08
-0.72-1.37-1.99-4.34-1.00-1.10-0.610.67-1.64-2.12-2.01-1.78-1.28-1.46-1.51-0.60-0.43-0.72-0.49-0.46-0.40-1.00-0.87-0.82-1.71-1.18-1.301.61-0.191.29-1.08-3.99-2.91-2.731.31-10.54-0.281.464.765.02-4.51-2.34-2.63-28.97-2.540.06-1.02-10.963.35-1.15-1.28-26.76-3.14-2.80-1.93-15.43-3.2817.800.49-19.90-0.730.031.50
-0.77-1.45-2.11-4.63-1.07-1.18-0.650.71-1.78-2.30-2.20-1.94-1.41-1.60-1.64-0.63-0.45-0.76-0.52-0.49-0.43-1.08-0.92-0.86-1.85-1.27-1.411.74-0.211.50-1.28-4.70-3.45-3.311.59-12.97-0.331.756.586.88-6.21-3.14-3.01-33.90-2.810.07-1.20-13.053.92-1.43-1.57-33.12-3.86-3.52-2.39-19.07-4.0721.380.67-27.79-1.000.042.06
-------4.40---4.60---4.89---5.03---5.26---5.55---5.40---5.97---7.15-----------------------
0.000.000.00-0.110.000.000.00-0.230.000.000.00-0.370.000.000.00-0.190.000.000.00-0.140.000.000.00-0.350.000.000.00-0.100.000.000.00-0.510.000.000.00-1.520.000.000.00-0.980.000.000.00-0.420.000.000.00-0.720.000.000.00-1.230.000.000.00-0.830.000.000.000.730.000.000.00
----0.11----0.23----0.38----0.19----0.15----0.36----0.12----0.38----1.54----1.02----0.44----0.76----1.29----1.14---0.24---