Gogo Financial Ratios for Analysis 2010-2024 | GOGO

Fifteen years of historical annual and quarterly financial ratios and margins for Gogo (GOGO).

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
20232022202120202019201820172016201520142013201220112010
4.373.841.331.171.681.951.872.412.371.952.931.961.68-
0.941.171.854.431.571.361.241.050.890.600.470.440.01-
14.60-6.85-2.51-1.82-2.76-3.81-5.23-19.898.521.520.900.800.01-
66.5666.3769.5668.7269.6168.1053.2453.9554.4148.0247.8951.5551.3935.14
31.2335.2235.9328.3131.2428.40-9.19-4.47-8.95-12.40-13.61-11.75-21.12-81.30
31.2335.2235.9328.3131.2428.40-9.19-4.47-8.95-12.40-13.61-11.75-21.12-81.30
36.5139.2542.0640.9043.1141.1214.7716.8111.764.154.174.40-0.72-48.56
24.5526.16-9.13-18.06-28.46-19.24-24.89-20.65-21.24-20.41-33.58-13.5715.40-116.33
36.6422.7845.50-92.70-47.25-55.84-24.60-20.87-21.48-20.70-44.45-40.96-11.17-148.05
0.510.530.520.400.250.230.500.480.500.540.480.540.56-
2.102.753.013.002.670.487.185.4710.919.6912.539.318.53-
8.247.458.906.777.302.165.938.097.238.4212.779.637.64-
44.2848.9741.0253.9049.9916961.5545.1250.5143.3428.5837.9147.78-
358-90.37-48.917.5722.1919.5289.78308-162.57-42.75-41.197.34-6.68-
-976.26-60.81-42.357.0019.6414.8961.7198.67812-71.24-56.57-29.7916.44-
18.6412.1224.18-7.21-7.29-4.15-12.26-9.99-10.71-11.18-16.15-7.578.27-
23.1915.6541.80-25.99-12.60-6.94-21.25-16.38-17.68-17.31-22.00-10.9011.82-
0.32-0.80-2.89-7.46-4.52-3.07-2.21-0.470.772.323.1824.8029.10-
0.590.770.520.05-0.160.020.760.821.320.340.374.421.46-6.22
0.470.440.500.03-0.18-0.01-2.42-1.06-0.38-1.21-1.82-5.37-3.42-11.00

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312010-12-31
3.583.954.204.374.594.114.573.843.733.271.441.331.091.004.851.171.801.341.721.681.691.771.811.952.082.012.301.872.202.012.482.412.863.502.372.372.752.993.231.952.382.312.802.933.633.831.651.96-----
0.920.920.900.940.950.981.151.171.231.271.681.855.135.822.194.432.352.041.761.571.541.501.381.361.351.291.231.241.191.151.101.051.020.990.920.890.860.830.800.600.580.490.480.470.450.440.460.44-----
11.2111.399.5114.6017.7764.84-7.90-6.85-5.45-4.81-2.86-2.51-1.44-1.40-1.84-1.82-1.74-1.97-2.31-2.76-2.86-3.00-3.63-3.81-3.90-4.44-5.27-5.23-6.41-7.58-11.46-19.89-44.4579.2811.828.526.064.804.101.521.431.000.950.900.850.800.870.80-----
65.9665.4167.7466.0268.9366.7264.5865.0565.2966.6668.8269.2870.9268.3069.7164.5469.6768.6172.48100.0069.3149.9050.9623.3643.1839.3345.1155.6051.8851.5253.7754.1554.5855.3551.6055.9355.4754.2151.6447.0047.4749.5748.1542.4147.5250.6752.3749.6749.2954.1853.38--
18.9721.2433.2425.4334.0132.9832.3835.7734.5133.0637.6835.0235.4635.9437.6120.2233.4031.3330.0537233.264.525.74-25.79-3.50-3.27-0.94-7.67-10.30-10.03-8.89-1.36-5.96-4.81-6.06-10.83-9.15-7.07-8.48-13.90-14.69-10.93-9.74-15.57-12.76-11.41-14.56-15.18-14.92-8.42-7.94--
18.9721.2433.2425.4334.0132.9832.3835.7734.5133.0637.6835.0235.4635.9437.6120.2233.4031.3330.05100.0033.264.525.74-25.79-3.50-3.27-0.94-7.67-10.30-10.03-8.89-1.36-5.96-4.81-6.06-10.83-9.15-7.07-8.48-13.90-14.69-10.93-9.74-15.57-12.76-11.41-14.56-15.18-14.92-8.42-7.94--
-----------------------------------------------------
12.090.9539.7019.5328.2225.2125.1928.3926.7323.2226.0223.2522.78-80.26-7.92-21.18-13.46-25.74-13.04100.00-3.32-39.15-8.31-12.94-17.27-16.33-13.43-23.45-25.99-25.37-24.87-16.63-22.28-27.09-16.79-24.39-22.65-20.09-17.14-21.86-23.65-18.36-17.34-23.65-21.52-70.15-20.07-29.50-22.175.40-5.97--
10.570.8229.2314.7921.3587.0520.7425.5819.1622.5023.9323712.57-84.06-10.401.09-120.44-157.38-119.53100.00-28.14-39.29-8.4215.45-17.36-16.36-11.83-21.88-26.19-25.58-25.01-16.83-22.59-27.24-17.01-24.59-22.84-20.44-17.39-22.07-23.93-18.75-17.62-23.88-21.92-91.37-45.86-30.07-50.16-22.61-32.39--
0.120.130.130.130.130.140.130.140.140.140.140.140.200.230.110.120.070.050.060.070.060.170.15-0.310.170.170.180.130.130.140.130.130.120.120.140.140.130.120.120.140.140.150.140.130.120.110.170.15-----
0.460.510.490.530.480.570.640.760.780.770.790.830.850.950.780.980.570.130.16-3.860.190.710.66-1.530.590.770.751.831.711.611.491.461.882.633.122.902.572.442.322.643.173.984.243.913.012.382.512.63-----
2.191.902.112.031.982.042.112.002.142.202.202.452.162.062.041.952.050.760.772.030.791.871.61-2.881.491.611.761.591.541.982.162.172.352.272.001.992.442.602.742.252.853.133.233.603.123.122.752.62-----
41.0747.3142.6244.3845.3544.1142.6345.1142.0741.0040.8536.7941.6643.7044.1446.1843.9611811844.3711448.0055.83-31.2860.5555.8451.1456.4458.3245.3641.7141.4838.3139.7245.0045.2836.8934.6832.9139.9731.5828.7327.9024.9828.8628.8532.6834.36-----
20.161.6148.8335.5262.35975-23.20-27.16-15.73-15.12-7.90-65.32-3.5211.500.932.511.372.501.93-21.520.7523.095.92-18.5614.4416.3014.3321.4729.1137.9453.9766.67185-401.50-51.29-51.18-30.33-20.73-14.38-12.19-11.37-7.76-6.61-8.18-6.47-18.253.034.29-----
-87.39-9.28667-96.95-109.05-214.39-14.76-18.28-11.30-11.32-6.72-56.57-3.2410.590.862.321.272.211.67-19.050.6218.884.58-14.1610.9211.959.9414.7618.3521.3125.1521.3432.3854.9570.05256-176.41-61.74-33.53-20.32-17.76-11.42-9.35-11.24-8.65-23.72-15.00-17.39-----
1.310.103.771.852.7312.052.693.642.773.043.2432.294.45-18.86-0.86-2.39-0.90-1.33-0.797.07-0.22-6.55-1.303.94-3.02-2.85-2.11-2.93-3.32-3.46-3.26-2.16-2.72-3.33-2.44-3.37-2.86-2.49-2.03-3.19-3.34-2.79-2.52-3.21-2.72-7.96-3.45-4.42-----
1.670.134.702.303.3614.993.404.703.584.035.3855.8314.54-55.44-1.11-8.61-1.85-2.58-1.4712.22-0.40-11.52-2.256.60-4.98-4.75-3.36-5.08-5.39-5.79-5.18-3.54-4.28-5.02-4.06-5.57-4.36-3.62-2.86-4.94-4.76-3.95-3.45-4.37-3.55-10.26-5.07-6.37-----
0.420.410.490.320.260.07-0.69-0.80-1.01-1.13-2.51-2.89-5.10-5.26-6.86-7.46-7.59-6.77-5.81-4.52-4.34-4.13-3.23-3.07-2.99-2.61-2.20-2.21-1.79-1.34-0.89-0.47-0.210.120.550.771.111.391.632.322.572.823.003.183.443.6522.7624.80-----
0.610.410.220.590.400.260.140.770.540.330.130.500.270.090.290.050.25-0.010.29-0.160.020.07-0.080.02-1.15-0.36-0.580.76-0.050.03-0.180.820.570.31-0.031.321.110.840.400.340.220.04-0.080.370.03-0.18-0.044.423.482.941.750.000.00
0.540.380.210.470.290.180.120.440.270.200.080.470.260.080.290.030.24-0.020.29-0.180.00-0.35-0.36-0.01-2.48-1.66-1.29-2.42-2.45-1.59-0.98-1.06-0.78-0.59-0.42-0.38-0.23-0.25-0.23-1.21-0.89-0.66-0.46-1.82-0.95-4.19-4.35-7.14-3.12-0.680.28--