Granite Construction Financial Ratios for Analysis 2009-2024 | GVA

Fifteen years of historical annual and quarterly financial ratios and margins for Granite Construction (GVA).

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
1.601.691.711.541.641.821.882.062.111.981.911.922.032.081.99
0.370.230.250.250.230.210.150.200.220.250.260.240.210.230.22
0.640.290.340.340.310.300.230.260.300.340.350.330.300.350.34
11.3011.1910.369.686.5110.199.4211.9812.6510.547.8211.2712.3410.0817.80
2.282.590.71-4.44-1.430.252.113.674.652.86-2.413.884.94-6.206.58
2.282.590.71-4.44-1.430.252.113.674.652.86-2.413.884.94-6.206.58
4.985.164.09-1.032.803.644.366.237.365.860.806.577.95-1.9810.66
1.712.780.63-4.67-1.380.252.313.834.362.44-2.823.894.45-6.037.07
1.242.520.29-4.07-2.070.021.152.272.551.11-1.612.162.51-3.353.65
1.251.521.401.501.171.351.581.451.461.421.401.201.301.151.15
29.9633.7750.6651.5130.6633.3142.8840.0637.2829.5333.4530.9234.5631.0735.24
5.867.127.548.145.326.786.176.006.967.327.236.407.987.237.01
62.2751.3048.4244.8368.5553.8359.2060.8752.4749.8850.4957.0445.7450.5152.10
2.888.000.24-16.76-2.370.894.287.187.844.39-5.696.877.98-7.8511.35
3.398.650.26-17.72-3.061.124.527.628.364.70-6.117.348.08-7.8511.35
1.053.640.10-6.98-1.120.482.273.824.202.24-2.773.464.27-4.075.86
1.806.200.18-12.57-1.820.713.625.756.123.28-4.215.246.32-6.028.89
23.3722.5221.7221.7125.9027.6324.9023.2922.0820.8520.2122.5121.4020.5322.84
3.491.060.465.892.391.963.621.821.681.080.142.352.400.781.71
1.55-0.760.464.210.90-0.192.20-0.120.900.71-0.322.271.960.36-0.01

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.681.511.601.601.721.721.691.521.601.701.711.511.491.451.541.591.601.611.641.701.641.791.821.841.531.921.881.791.882.052.061.941.992.052.111.941.971.981.981.881.861.951.911.841.881.971.922.072.072.152.031.921.912.212.081.881.851.951.991.701.771.86
0.430.340.370.290.330.230.230.230.240.230.250.240.250.260.250.290.270.240.230.240.240.210.210.180.180.150.150.190.200.200.200.210.220.220.220.240.250.250.250.250.260.270.260.250.250.250.240.190.200.210.210.230.230.240.230.210.220.230.220.210.220.24
0.750.550.640.400.490.300.290.290.310.310.340.330.340.370.340.420.380.330.310.330.350.310.300.310.380.230.230.250.270.270.260.280.300.300.300.320.330.340.340.340.350.360.350.340.340.340.330.270.280.290.300.320.340.350.350.330.350.350.340.350.350.35
15.228.0710.1014.9211.475.7812.2611.4011.499.198.7411.2911.779.4811.2811.839.653.745.4511.025.400.206.2413.699.969.998.3811.979.775.3612.1913.3912.118.9315.9712.7911.289.2611.749.2714.075.646.977.559.017.9411.2513.889.628.0414.6712.899.2811.6811.0811.3510.942.5920.9814.6718.2019.79
7.93-6.442.216.613.21-7.722.115.423.50-2.402.484.124.17-14.040.84-8.06-0.23-12.323.454.81-3.29-13.57-4.726.39-0.71-2.281.066.983.14-7.784.346.704.28-3.718.386.873.01-2.686.013.105.86-7.09-8.091.841.11-6.874.298.432.61-5.277.448.291.95-4.16-23.614.790.47-20.458.206.426.594.87
7.93-6.442.216.613.21-7.722.115.423.50-2.402.484.124.17-14.040.84-8.06-0.23-12.323.454.81-3.29-13.57-4.726.39-0.71-2.281.066.983.14-7.784.346.704.28-3.718.386.873.01-2.686.013.105.86-7.09-8.091.841.11-6.874.298.432.61-5.277.448.291.95-4.16-23.614.790.47-20.458.206.426.594.87
--------------------------------------------------------------
5.50-5.803.217.16-1.65-6.293.155.703.33-2.872.993.894.06-14.861.12-8.18-0.30-13.722.245.08-3.18-13.25-4.926.42-0.41-2.451.427.243.19-7.764.486.824.53-3.578.286.642.55-3.125.472.805.55-7.72-8.301.550.54-7.624.768.631.18-3.946.707.891.70-4.86-23.515.260.39-20.559.056.926.695.42
3.41-4.612.785.16-1.89-4.112.796.872.20-4.09-1.273.306.52-11.690.85-8.560.37-10.28-5.464.13-2.80-10.74-4.105.27-1.04-2.03-0.294.801.85-5.082.434.632.35-2.384.554.091.69-2.042.882.122.33-5.41-4.831.760.26-5.803.545.070.36-3.803.444.941.01-3.51-11.775.63-1.47-18.563.604.133.782.51
0.380.260.330.430.380.270.360.420.370.290.420.410.340.240.400.430.370.270.140.430.340.250.350.400.320.320.410.490.420.280.380.450.360.270.390.440.360.270.370.430.350.240.370.430.320.230.290.460.360.210.350.450.310.180.270.380.270.140.250.390.270.21
7.715.288.0810.318.635.397.9811.009.567.9915.3012.1711.067.7713.439.207.886.203.7710.378.065.999.1110.047.577.1111.2913.5810.517.5410.6011.418.216.739.5310.877.115.907.558.756.334.638.9111.097.275.267.499.807.224.219.0310.956.793.997.2713.158.344.347.5011.835.494.70
1.531.561.561.501.411.411.701.631.611.722.241.551.531.442.161.611.531.330.651.561.531.531.781.711.641.711.601.531.581.331.591.571.401.431.851.651.571.551.901.721.611.551.911.751.641.461.552.001.981.492.142.041.711.511.711.781.541.121.551.881.641.49
58.9757.5457.7159.8863.7863.8352.9155.1455.8852.3740.2558.0358.6562.5041.6555.9358.6667.6113957.7058.6658.9350.6752.7054.9452.7556.0858.9757.1367.4656.6157.4064.1862.9748.6854.7057.2958.1147.4552.2255.8658.1247.1951.4255.0261.8458.0444.9045.4660.5642.0144.2052.7359.7552.6350.4358.6180.6158.0247.8054.9360.59
3.94-2.932.115.71-2.53-2.651.956.612.13-2.620.633.172.65-6.700.57-9.95-0.09-6.600.743.66-1.81-4.88-2.474.20-0.47-1.000.205.051.79-2.662.094.212.13-1.144.043.851.18-1.072.551.752.80-2.78-4.230.790.21-2.342.115.390.55-1.073.005.240.80-0.93-8.225.05-0.32-4.563.064.212.691.72
5.30-4.032.886.17-2.76-2.872.107.142.27-2.780.663.582.80-7.110.61-11.28-0.12-8.520.954.68-2.33-6.19-3.095.09-0.58-1.060.215.351.90-2.832.224.482.27-1.224.304.111.26-1.152.731.873.00-2.99-4.540.840.23-2.502.255.450.56-1.083.035.240.80-0.93-8.225.05-0.32-4.563.064.212.691.72
1.35-1.130.772.23-1.00-1.240.882.710.85-1.100.251.271.05-2.630.24-3.95-0.04-3.040.351.71-0.86-2.53-1.312.24-0.24-0.550.112.470.90-1.421.112.141.10-0.612.161.900.60-0.551.300.841.34-1.36-2.060.380.10-1.181.062.860.30-0.591.602.620.40-0.50-4.262.47-0.16-2.361.581.981.310.85
2.25-1.941.324.08-1.70-2.051.515.121.63-2.010.472.401.98-4.940.43-7.05-0.07-4.980.572.77-1.39-3.84-1.963.43-0.38-0.850.174.081.43-2.121.673.331.67-0.893.152.910.89-0.801.911.302.08-2.04-3.130.590.16-1.761.614.340.44-0.852.374.060.61-0.71-6.303.97-0.25-3.532.403.322.111.31
22.6022.7523.3722.9121.4422.1622.5222.5720.8121.1021.7222.3121.5720.3421.7121.6623.8924.1225.9026.1325.5026.1627.6329.9928.4724.0924.9023.8822.8522.5123.2922.8821.9521.6322.0821.2420.5320.4020.8520.6120.2819.5620.2121.3421.4321.8522.5121.9420.9221.0421.4020.9020.0120.1820.5322.1021.0421.3222.8422.4421.7521.03
0.420.553.490.64-2.71-1.751.06-0.28-1.97-1.100.461.25-0.650.835.893.040.27-0.442.39-0.56-2.00-0.781.960.31-1.84-0.943.621.600.560.341.82-0.48-1.32-0.261.68-0.20-1.42-0.181.08-1.18-1.82-0.510.14-1.62-1.30-1.422.350.52-0.88-0.602.400.05-0.430.020.780.28-1.03-0.651.711.54-0.16-0.37
-0.77-0.031.55-1.12-4.28-2.57-0.76-1.76-0.361.390.460.94-0.610.494.211.67-0.70-0.830.90-1.73-2.99-1.29-0.19-1.29-2.66-1.332.200.32-0.30-0.18-0.12-2.02-2.47-0.870.90-0.77-1.77-0.340.71-1.81-2.18-0.74-0.32-1.93-1.57-1.582.270.07-1.24-0.761.96-0.33-0.88-0.170.36-0.06-1.29-0.89-0.01-0.20-1.44-1.06