Gray Television Financial Ratios for Analysis 2009-2024 | GTN

Fifteen years of historical annual and quarterly financial ratios and margins for Gray Television (GTN).

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
1.182.102.515.112.735.825.084.233.262.102.072.021.601.451.16
0.700.700.740.620.640.680.650.780.740.850.830.850.850.830.81
2.352.332.811.651.752.151.853.562.845.724.845.795.634.964.23
27.3738.8533.2841.5434.0745.0236.8141.5437.3643.7237.2247.5636.7743.2630.62
11.6726.9315.7931.5822.5335.8932.8428.8423.4530.2624.2237.9024.5330.9115.93
11.6726.9315.7931.5822.5335.8932.8428.8423.4530.2624.2237.9024.5330.9115.93
25.4238.3827.5642.7634.8345.7645.4140.0135.1741.7835.6847.5438.9345.3034.43
-2.5016.706.9622.8512.0226.5721.8613.0111.0115.709.0811.694.4210.58-12.69
-3.9010.961.5715.045.9819.4629.677.666.589.465.285.940.582.48-14.86
0.310.330.220.310.300.260.270.300.280.270.260.320.250.280.22
---------------
9.045.473.745.345.165.895.165.534.924.764.946.484.955.374.73
40.3866.7297.5768.3770.7061.9670.7865.9574.2276.6473.8356.3373.7868.0277.19
-3.8621.505.1223.3912.2317.7826.3912.649.1622.2310.5119.547.3517.90-24.62
1.32-7.76-1.41-13.53-5.32-20.93-21.43-4.48-3.38-3.91-2.15-3.32-1.07-2.812.87
-0.714.080.815.362.575.018.032.261.852.571.372.250.731.86-1.85
-0.874.940.986.433.085.659.282.772.383.311.802.880.932.34-2.37
27.4829.7425.3525.2421.2413.3711.056.805.933.703.002.502.592.923.85
7.048.913.166.723.853.632.432.891.552.301.041.560.670.700.39
3.334.235.965.595.282.941.962.441.201.750.621.130.240.340.02

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
1.131.631.421.181.201.431.272.102.092.542.802.513.115.645.215.112.672.562.972.732.702.932.515.826.324.696.465.083.283.322.294.234.795.373.513.262.496.514.502.102.062.862.092.072.402.532.022.021.712.001.521.601.301.511.321.451.251.461.221.160.830.871.21
0.680.690.690.700.700.700.690.700.720.730.730.740.620.620.620.620.630.640.630.640.650.660.000.680.620.640.650.650.760.760.780.780.790.790.790.740.750.750.760.850.870.870.830.830.840.850.850.850.830.840.840.850.840.830.840.830.850.850.810.810.810.800.80
2.122.272.282.352.332.292.272.332.562.692.752.811.651.631.641.651.681.761.721.751.901.930.012.151.641.781.851.853.123.213.483.563.833.733.732.842.963.023.185.726.716.734.764.845.255.505.745.795.035.135.485.635.265.075.104.965.685.844.344.234.294.154.00
37.5829.9026.6126.9728.3930.7523.3544.3139.1637.5632.7734.5433.9433.6430.5152.6544.7027.0533.7138.5136.3636.4224.5251.6748.0343.2033.6335.3436.2841.0334.3645.9740.9740.3337.5139.8434.5339.7434.8551.4444.4138.4633.8638.6839.3838.5331.5755.2549.4244.2137.0741.6536.3837.1030.9253.8441.6539.0632.5134.7430.5130.5725.59
26.3218.4015.0713.0810.4614.648.3633.8626.9525.1219.8314.5611.1519.7418.5744.3235.1014.4123.2231.0926.8923.437.7245.9038.7132.0022.1223.1922.7962.8221.3735.3729.5727.3020.7925.9019.4227.0221.0540.4931.2521.6219.0724.3727.4325.2919.2746.2239.9134.9025.8131.4123.8124.9716.5045.5828.8823.9816.9424.1016.0013.837.77
26.3218.4015.0713.0810.4614.648.3633.8626.9525.1219.8314.5611.1519.7418.5744.3235.1014.4123.2231.0926.8923.437.7245.9038.7132.0022.1223.1922.7962.8221.3735.3729.5727.3020.7925.9019.4227.0221.0540.4931.2521.6219.0724.3727.4325.2919.2746.2239.9134.9025.8131.4123.8124.9716.5045.5828.8823.9816.9424.1016.0013.837.77
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13.473.5114.46-1.39-4.611.11-5.2422.7616.5015.7810.045.833.009.879.9336.7427.323.7713.3021.7615.8612.20-2.9037.3929.7522.4011.5013.2011.8052.268.7725.310.2915.038.8714.907.1014.117.1529.6017.122.302.349.0313.1010.343.23-1.7225.1818.927.0213.374.004.84-6.4431.339.330.96-11.32-1.10-13.18-16.92-22.31
8.741.099.11-2.55-6.60-1.11-5.4916.1410.459.915.932.22-4.994.754.7826.6418.05-0.447.4913.998.906.10-5.9827.0521.8616.408.8570.816.9931.135.1615.08-0.108.985.178.844.378.444.2017.5710.581.481.405.448.016.101.11-2.0614.2310.372.726.930.041.01-6.9917.524.36-7.83-13.19-8.40-15.03-16.45-21.14
0.090.080.080.080.070.080.070.100.080.080.070.060.080.070.070.100.080.060.080.080.070.070.070.080.080.080.070.070.070.080.070.090.080.070.070.080.070.070.070.100.070.060.070.070.070.070.060.100.080.080.070.070.060.060.060.090.070.060.060.060.050.050.05
---------------------------------------------------------------
2.612.402.152.382.232.322.261.601.431.371.241.121.301.281.251.781.571.271.391.411.291.301.251.791.551.411.341.371.320.871.301.621.361.331.261.401.361.361.341.671.371.271.321.361.481.361.332.031.681.561.401.361.361.361.201.781.521.411.341.361.331.261.24
34.4837.4841.8837.8140.3538.7539.7856.4263.0765.8472.3780.5169.0370.5971.8050.6857.2270.6464.8963.8969.9869.0971.9350.3358.2363.6266.9865.8968.2610369.3455.6165.9667.6771.4164.5066.0066.0167.1053.9865.5670.6268.4465.9760.7466.1367.9044.4253.6957.7164.4465.9966.1166.2374.9650.6559.1564.0167.1466.3967.9071.2172.76
4.511.074.29-0.46-2.000.19-1.508.795.595.393.441.65-0.962.172.2012.787.810.753.536.424.213.23-1.357.505.563.972.0216.682.6012.332.087.27-0.053.862.053.491.582.961.4414.467.160.890.722.994.453.390.60-1.4710.598.142.696.161.582.04-2.4716.904.930.49-5.38-2.09-5.99-6.72-8.32
-1.75-0.39-1.560.160.69-0.070.53-3.17-1.77-1.59-0.99-0.460.50-1.32-1.30-7.39-3.81-0.33-1.61-2.79-1.72-1.260.51-8.83-5.51-3.50-1.64-13.55-0.94-4.30-0.64-2.580.01-1.23-0.62-1.29-0.61-1.17-0.53-2.54-1.12-0.14-0.15-0.61-0.85-0.61-0.100.25-1.92-1.32-0.40-0.90-0.24-0.310.37-2.65-0.65-0.060.590.240.690.831.13
0.900.210.82-0.08-0.370.04-0.291.670.970.890.560.26-0.220.510.512.931.690.160.751.350.830.63-0.262.111.831.240.625.080.512.380.381.30-0.010.670.350.700.320.590.271.670.720.090.090.390.550.410.07-0.171.250.880.270.610.160.21-0.251.760.440.04-0.38-0.16-0.45-0.54-0.71
1.110.251.00-0.10-0.450.04-0.352.021.181.080.670.32-0.270.610.613.512.060.190.911.620.990.75-0.912.382.111.450.715.860.632.930.471.59-0.010.820.430.910.400.740.342.150.930.120.130.510.710.520.09-0.221.621.130.350.780.200.26-0.312.210.560.05-0.49-0.20-0.57-0.68-0.90
27.8927.1427.2227.4827.7828.3928.9029.7427.7426.7325.6525.3525.1725.5325.3025.2423.0021.7821.5621.2420.4219.9019.5613.3712.3511.6411.1611.058.117.886.926.806.306.296.035.935.775.665.383.703.323.073.033.002.742.622.502.502.832.782.632.592.742.852.832.922.612.543.743.853.813.944.11
3.950.900.727.046.084.944.488.916.483.511.503.162.982.511.556.725.083.161.323.852.521.040.243.632.091.110.172.431.580.82-0.012.891.440.630.411.551.140.450.502.301.510.500.281.040.890.450.301.561.580.790.470.670.660.300.260.700.430.260.140.390.110.01-0.03
2.890.241.523.333.042.713.284.233.241.821.005.966.311.231.415.594.352.641.055.284.092.892.392.941.700.890.101.961.280.67-0.062.441.130.590.481.200.930.330.451.751.160.320.220.620.570.230.191.131.270.590.350.240.280.010.100.340.250.140.080.02-0.17-0.19-0.13