Genie Energy Financial Ratios for Analysis 2009-2024 | GNE

Fifteen years of historical annual and quarterly financial ratios and margins for Genie Energy (GNE).

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
202320222021202020192018201720162015201420132012201120112010201020092009
2.342.291.721.371.571.931.652.383.054.393.624.38-2.35-2.202.20-
----0.010.030.04-0.02---------
---0.020.050.040.040.010.02---------
34.1049.0528.3526.6326.2927.3132.3736.2731.2817.5723.5530.33-27.47-29.59-27.26
2.3324.647.456.133.124.27-2.26-14.39-3.91-10.030.221.33-3.56-15.21-15.41
2.3324.647.456.133.124.27-2.26-14.39-3.91-10.030.221.33-3.56-15.21-15.41
2.4424.767.596.964.275.01-1.45-14.11-3.71-9.980.261.38-3.57-15.26-15.45
4.2224.577.326.291.903.22-2.62-14.13-3.81-9.72-0.930.17-2.24-14.34-15.48
4.4827.218.523.270.857.60-3.21-12.26-4.20-9.93-2.55-1.52-0.83-7.46-8.59
1.301.141.411.912.021.912.101.741.371.841.761.53-2.91-3.43--
19.3510.2313.0715.4713.9720.6044.8322.5712.8020.7455.8460.47-51.59-51.0871.47-
6.925.727.837.386.337.805.925.757.838.946.505.61-6.45-6.19--
52.7163.7846.6449.4657.6846.7761.6663.4246.6440.8356.1265.11-56.59-58.93--
7.5234.1717.7222.312.2529.35-18.25-53.54-9.09-27.52-5.34-2.43--6.14-41.13-647.80-
8.0735.1916.5921.292.2328.44-16.54-48.15-7.79-23.69-4.90-2.22--6.74-46.06-635.68-
4.2020.357.037.900.8814.57-6.88-26.43-5.54-17.92-3.36-1.69--3.79-24.70-381.82-
7.5232.5314.5717.201.6922.48-12.42-40.31-7.40-22.96-4.59-2.15--6.14-41.13-635.68-
6.736.684.233.283.073.452.703.244.664.865.475.53-1.83-1.51--
2.403.062.600.860.570.750.400.68-0.14-0.900.06-0.050.000.250.000.750.000.00
2.053.022.590.960.560.730.020.09-1.37-0.970.05-0.05-0.24-0.75--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-10-312011-09-302011-07-312011-06-302011-03-312010-12-312010-10-312010-09-302010-06-302009-09-302009-06-30
2.562.592.272.342.552.792.362.292.492.672.061.721.411.431.341.371.911.851.731.571.821.802.021.932.071.961.811.651.701.822.432.382.952.723.083.053.713.783.844.395.394.793.253.624.584.644.454.384.464.905.28-6.41------2.20---
0.01------------------0.010.030.030.020.030.030.030.030.040.040.04---0.020.020.02---------------------------
0.01--------------0.020.020.020.050.050.040.040.030.040.030.030.040.040.040.040.010.01-0.020.020.02---------------------------
33.8736.7628.2332.0532.8540.8831.6242.6553.0844.5554.8244.7839.4827.7711.7724.0428.3625.6227.7826.8230.7514.7229.5523.5029.6128.4827.4036.6131.3524.1334.8028.2835.3640.6540.8433.6840.0633.9522.1218.3438.6023.467.5925.1027.8318.0822.2928.2433.6427.2031.36-36.6536.42-25.3527.06-33.9533.95---
10.4311.658.23-32.5814.3016.0910.7119.0228.9617.5931.3814.6019.925.94-5.081.798.813.598.862.838.10-15.2011.35-0.739.61-2.847.991.362.02-27.007.28-2.61-64.924.3410.19-9.206.13-12.36-3.29-23.78-8.89-8.90-4.98-0.585.51-10.103.092.895.44-11.694.68-8.694.11--6.7410.21-13.4913.52---
10.4311.658.23-32.5814.3016.0910.7119.0228.9617.5931.3814.6019.925.94-5.081.798.813.598.862.838.10-15.2011.35-0.739.61-2.847.991.362.02-27.007.28-2.61-64.924.3410.19-9.206.13-12.36-3.29-23.78-8.89-8.90-4.98-0.585.51-10.103.092.895.44-11.694.68-8.694.11--6.7410.21-13.4913.52---
---------------------------------------------------------------
12.6714.309.49-31.3115.6117.1514.6320.3729.4216.8130.001.9113.8015.22-0.984.198.931.938.640.577.73-16.6810.46-2.778.83-3.967.460.632.01-27.417.00-2.39-64.214.5110.10-9.156.38-12.47-3.14-19.33-9.44-9.98-5.62-1.614.35-11.331.901.774.54-13.193.47-5.701.15--7.719.72-12.8612.85---
9.1110.606.79-23.3611.5616.0313.5619.8822.5350.5820.3953.24-3.036.54-2.19-2.166.602.095.25-0.065.69-12.846.5819.547.72-4.066.48-0.720.59-25.015.90-2.30-56.885.379.00-9.034.67-12.32-3.20-19.54-10.32-10.61-5.44-1.172.35-11.26-2.132.75-4.14-7.591.05-4.172.86--6.024.32-6.216.21---
0.330.280.360.320.400.330.360.290.310.280.390.230.450.410.560.430.650.530.660.520.570.410.560.430.550.450.710.580.580.410.570.420.480.270.370.300.350.270.480.360.290.360.830.420.490.390.570.440.430.300.39-0.321.37-----0.76---
8.6910.184.654.885.493.043.722.972.062.312.061.612.243.524.993.615.143.854.163.616.164.796.304.856.395.2011.4211.629.818.086.736.175.403.625.122.672.742.636.804.073.167.9218513.1414.8624.3824717.7515.2618.3940.28-6.00------10.65---
2.221.671.991.692.061.611.611.481.871.531.761.251.501.281.591.662.151.822.291.642.161.732.071.751.921.822.211.642.001.342.031.401.731.492.121.691.911.581.881.771.831.631.711.561.831.551.801.601.781.602.09-1.421.62-----1.37---
40.4853.8145.1853.1143.6756.0755.7460.9748.1959.0051.1071.8560.1670.3056.6854.0941.8549.4139.3554.7141.5751.9443.5651.5146.8249.4740.7854.9644.9567.1844.3764.3952.1660.2842.5253.1347.0756.8547.8150.8549.1855.1852.7357.6049.1657.9550.0156.3350.5556.3942.98-63.3555.61-----65.48---
5.125.014.70-13.086.996.216.367.4611.995.9417.520.7113.6912.70-2.491.979.281.409.81-1.616.92-12.337.8316.969.57-4.6211.28-1.711.97-26.376.57-2.14-60.281.394.79-4.322.73-5.06-2.52-10.47-4.38-5.74-7.58-1.122.04-6.34-0.091.01-0.93-3.170.99-0.82------7.86---
5.545.455.06-14.057.456.656.577.6811.715.8316.810.6616.1716.54-3.341.888.951.359.62-1.596.97-12.578.0216.448.80-4.2410.25-1.551.80-22.935.91-1.92-47.811.204.14-3.702.34-4.32-2.16-9.01-3.93-5.02-6.91-1.031.81-5.61-0.080.93-0.96-3.271.02-0.850.40-----8.80---
3.002.942.57-7.304.594.253.874.446.713.378.480.284.444.58-0.830.704.160.624.09-0.633.13-5.763.998.424.31-2.014.68-0.650.81-10.693.33-1.05-31.510.863.04-2.641.75-3.20-1.58-6.82-3.04-3.72-4.54-0.701.40-4.34-0.060.71-0.74-2.570.82-0.700.36-----4.72---
5.075.014.70-13.086.996.216.117.1010.755.2614.780.5810.419.80-1.901.517.161.077.54-1.215.21-9.326.1113.006.96-3.277.89-1.171.36-18.155.00-1.61-45.661.153.94-3.522.26-4.18-2.09-8.74-3.71-4.68-6.46-0.961.76-5.43-0.080.90-0.93-3.170.99-0.82------7.86---
7.367.026.606.747.577.147.146.686.265.984.824.233.153.333.163.283.313.163.243.073.283.263.633.452.942.792.882.702.792.793.363.243.304.934.914.664.724.604.734.865.295.115.185.475.495.395.635.535.055.105.28-5.42----------
2.151.230.472.401.900.770.423.062.031.060.702.600.00-0.22-0.380.860.900.51-0.100.570.580.150.260.750.770.490.360.400.13-0.150.150.680.510.560.39-0.140.02-0.16-0.42-0.90-0.38-0.34-1.400.06-0.030.07-0.04-0.050.050.090.090.00-0.040.050.000.350.080.000.090.750.000.000.00
1.911.130.382.051.870.750.423.021.991.050.702.590.00-0.23-0.380.960.900.50-0.100.560.560.130.250.730.750.480.340.02-0.23-0.410.090.09-0.070.020.04-1.37-0.74-0.66-0.63-0.97-0.44-0.37-1.410.05-0.050.07-0.04-0.050.050.090.09--0.040.05-0.350.08-0.090.75---