Grom Social Enterprises Financial Ratios for Analysis 2015-2024 | GROM

Fifteen years of historical annual and quarterly financial ratios and margins for Grom Social Enterprises (GROM).

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
202320222021202020192018201720162015
0.881.921.690.160.160.250.400.351.80
0.040.000.030.100.060.300.430.38-
0.060.030.130.390.650.520.770.61-
33.8232.4741.1445.5744.4349.3544.7833.9414.07
-329.59-344.06-109.13-54.90-35.90-44.84-87.67-302.93-592.66
-329.59-344.06-109.13-54.90-35.90-44.84-87.67-302.93-592.66
-183.45-76.97-58.62-30.90-17.79-28.03-74.86-269.90-592.66
-343.92-300.76-161.99-96.88-54.91-56.25-78.15-278.88-580.41
-328.38-314.53-168.50-97.75-64.27-56.42-78.59-280.78-580.41
0.220.220.170.360.450.460.400.221.26
61.9039.7040.5869.561564869.956.45-
4.894.676.5010.4815.217.6917.276.944.11
74.6178.1756.1334.8424.0047.4421.1352.6388.85
-112.76-82.44-39.15-66.85-56.16-71.91-85.09-166.23-1,651.61
-969.33-379.6777010769.2657.9971.42130-1,651.61
-76.54-68.03-27.01-33.27-25.14-25.93-31.74-63.07-732.30
-107.94-82.13-38.09-59.89-52.88-50.69-48.28-103.05-1,651.61
6.251241,20487729.3429.4034.3138.154.36
-10.39-189.43-506.85-130.46-6.91-8.75-6.96-3.60-35.11
-10.42-191.91-509.66-191.74-8.11-11.48-7.81-5.28-35.11

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-31
0.600.881.371.282.211.921.141.362.841.692.711.860.290.160.190.230.310.160.180.190.330.250.210.410.410.400.220.360.720.350.170.610.301.80---
0.000.04---0.000.000.010.030.030.050.020.030.100.140.270.320.060.040.070.430.300.330.500.440.430.17--0.38-------
0.010.060.010.030.030.030.030.060.070.130.130.090.180.390.370.760.690.651.241.221.100.521.161.020.810.770.92--0.61-------
30.0131.6931.9823.6645.0243.4538.5816.8625.5248.9239.4528.2845.7110.4260.1562.1552.6315.0553.9449.3858.5923.7660.3962.4261.7412.7360.0350.6756.8214.7350.9518.0424.28-55.2427.1447.9712.31
-201.44-791.94-204.49-243.16-147.15-838.54-114.38-171.17-150.20-165.30-142.17-105.65-39.51-75.17-50.39-18.57-82.68-38.64-20.36-39.44-47.02-40.66-38.85-62.93-40.75-65.78-66.92-63.07-165.69-482.35-246.38-28.53-707.93-2,121.68-529.47-296.97-96.31
-201.44-791.94-204.49-243.16-147.15-838.54-114.38-171.17-150.20-165.30-142.17-105.65-39.51-75.17-50.39-18.57-82.68-38.64-20.36-39.44-47.02-40.66-38.85-62.93-40.75-65.78-66.92-63.07-165.69-482.35-246.38-28.53-707.93-2,121.68-529.47-296.97-96.31
-------------------------------------
-464.72-799.15-205.52-247.14-185.92-481.18-141.84-280.75-280.76-200.70-153.99-180.37-123.48-86.04-154.33-54.56-104.22-45.50-39.36-53.65-83.57-46.90-55.38-74.80-53.68-13.25-73.42-68.20-171.02-390.95-262.60-27.02-634.01-2,100.35-522.41-273.34-86.52
-474.27-711.61-209.39-250.89-194.22-510.70-147.95-289.19-288.63-229.26-152.43-180.37-123.48-72.72-173.61-54.56-104.22-47.05-39.36-58.50-116.32-46.60-55.38-76.12-53.68-14.93-73.42-68.20-171.02-393.61-264.47-27.02-634.01-2,100.35-522.41-273.34-86.52
0.050.050.040.040.050.060.040.030.030.040.050.060.110.100.080.100.070.110.120.110.100.150.110.090.110.110.1215.565.990.0818.091.940.860.17---
13.6714.4615.368.396.669.628.806.119.608.507.1937.1737.2431.2418.9021.7720.0558.0933.7336.5395.812351.491.281.894.112.15--2.90-------
1.071.111.171.451.451.351.431.691.611.573.211.972.582.863.223.232.363.702.102.302.602.474.023.203.184.522.7634.796.132.4234.262.502.150.57---
84.4981.2877.2161.9762.0066.5962.7353.1556.0557.3728.0545.7234.8331.4727.9227.8438.1824.3042.9639.0634.6336.3722.3728.1428.2619.9132.652.5914.6837.232.6335.9741.92158---
-27.87-59.24-10.73-12.92-10.70-39.36-8.78-12.87-12.55-11.76-9.16-13.30-21.58-14.23-23.73-12.76-17.31-11.68-14.93-18.93-25.11-19.10-19.99-22.03-15.56-4.23-29.816012,693-81.232,162170238-826.84---
-108.50-509.20-71.50-95.87-44.97-181.2663.44128-2,380.24231-37.08-49.2074.4022.8543.1113.3419.4414.419.7612.2119.2215.4011.8414.6412.933.5515.266012,69363.511,791104238-826.84---
-21.50-40.21-8.91-10.72-9.13-32.48-6.36-9.06-9.23-8.11-7.48-10.12-13.22-7.08-12.48-5.31-7.33-5.23-4.58-5.72-8.38-6.89-6.01-7.12-5.73-1.58-8.51-1,061.16-1,023.71-30.82-4,783.41-52.31-545.47-366.61---
-27.83-56.70-10.72-12.91-10.70-39.21-8.74-12.79-12.11-11.44-8.70-13.08-20.87-12.75-20.39-9.30-11.75-11.00-14.34-17.62-14.27-13.46-13.44-10.92-8.64-2.40-24.816012,693-50.362,162170238-826.84---
1.636.2512.4840.5056.811246397558841,2041,2421,18434.0787730.1724.3626.1629.3423.2323.9927.1529.4026.3528.9833.3934.3126.91-11.80-6.3538.15-14.31-4.63-3.174.36---
-0.80-10.39-8.66-9.00-7.99-189.43-151.31-107.75-68.41-506.85-290.29-265.33-100.01-130.46-72.29-85.41-0.87-6.91-4.66-2.42-2.36-8.75-3.88-4.08-2.39-6.96-5.23-0.43-0.15-3.60-3.78-11.59-6.33-35.15-20.85-11.07-0.07
-0.80-10.42-8.69-9.03-8.03-191.91-153.29-108.81-69.51-509.66-291.68-265.61-100.25-191.74-134.25-89.64-0.92-8.11-5.84-3.22-2.81-11.48-7.21-5.26-3.21-7.81-6.06-1.12-0.48-5.28-5.18-11.59-6.33-35.15-20.85-11.07-0.07