Hawaiian Holdings Financial Ratios for Analysis 2009-2024 | HA

Fifteen years of historical annual and quarterly financial ratios and margins for Hawaiian Holdings (HA).

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
1.021.501.811.110.810.700.760.960.970.830.920.871.021.111.15
0.940.830.760.660.390.390.380.420.600.710.650.670.660.380.52
17.305.203.392.150.710.750.680.821.692.862.032.462.070.681.44
46.9245.5246.6735.6257.3855.7860.6262.0158.6947.8844.5748.1346.7952.5354.92
-10.81-7.95-5.17-76.6611.5611.0817.3516.3419.3610.596.206.591.236.979.08
-10.81-7.95-5.17-76.6611.5611.0817.3516.3419.3610.596.206.591.236.979.08
-5.57-2.464.07-45.6017.2916.1921.8021.0724.2615.2110.4411.385.8412.0514.32
-12.07-11.13-11.61-82.8610.7710.6114.6114.8512.764.904.014.37-0.076.268.21
-9.59-9.09-9.07-60.487.918.2212.369.217.882.982.412.71-0.168.429.86
0.730.640.340.210.690.890.930.900.930.901.001.051.111.171.15
---------------
25.5014.359.735.2017.5325.3719.0725.3228.3628.6729.0424.3017.5321.8823.59
14.3125.4437.5170.2220.8214.3919.1414.4212.8712.7312.5715.0220.8216.6815.47
-272.98-72.04-25.44-85.1320.7024.6039.1232.9440.9518.7713.0719.82-1.1939.6866.28
-317.97-75.08-26.06-87.0923.2928.1945.7140.2156.9528.8119.4739.33-3.74108-512.38
-6.98-5.80-3.13-12.845.437.3011.508.277.342.672.402.85-0.189.8711.34
-15.39-12.05-6.10-29.1012.6514.9824.3819.0216.255.474.546.48-0.4124.5131.85
1.846.4811.1112.4723.4619.5316.5212.738.356.747.575.224.395.533.42
-3.10-1.124.95-6.7410.2010.076.208.107.774.784.585.923.522.862.60
-8.32-1.814.19-9.022.051.36-0.184.795.89-1.99-2.870.39-2.030.191.83

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
1.110.891.021.151.191.261.501.481.471.591.811.861.731.811.111.210.930.960.810.870.640.640.700.820.750.730.760.901.050.950.961.030.930.950.970.970.900.790.830.890.850.790.920.830.820.830.871.050.980.981.020.980.951.111.110.980.940.951.151.141.070.98
1.051.020.940.900.880.880.830.830.820.810.760.760.770.760.660.620.530.490.390.400.340.350.390.380.390.370.380.350.370.400.420.430.480.560.600.680.720.740.710.660.690.670.650.670.700.680.670.680.730.680.660.580.610.380.380.370.400.420.520.610.670.74
-21.45-43.5717.309.237.527.325.204.974.764.403.393.353.553.502.151.811.221.060.710.730.560.720.750.730.750.670.680.600.670.760.820.851.041.401.692.422.883.172.862.292.582.422.032.432.792.542.462.352.882.322.071.501.690.670.681.031.211.381.441.882.473.16
50.0242.1742.1548.5553.8142.2648.0248.2545.3637.6847.7952.4851.7715.9423.03-15.10-13.0051.1056.3859.5657.6055.7153.6657.0056.1256.2558.1364.1262.1657.6059.3264.4162.3761.7060.9461.8656.6654.7541.0454.3249.7245.5236.3251.3347.6041.9644.1151.8748.5347.5148.3451.7842.0443.8551.3754.3052.7451.5851.6452.0757.0059.20
-7.57-23.03-16.70-7.55-1.36-19.17-4.49-0.46-3.77-30.97-14.428.544.50-40.15-139.95-159.34-248.26-30.069.7815.4512.488.029.9415.2612.995.4514.0923.6020.4210.23-0.3826.6320.8517.5922.8824.4816.0013.1713.4516.608.961.916.3612.427.00-2.432.4813.646.052.967.9413.37-17.77-1.356.5211.167.601.875.427.7610.8612.45
-7.57-23.03-16.70-7.55-1.36-19.17-4.49-0.46-3.77-30.97-14.428.544.50-40.15-139.95-159.34-248.26-30.069.7815.4512.488.029.9415.2612.995.4514.0923.6020.4210.23-0.3826.6320.8517.5922.8824.4816.0013.1713.4516.608.961.916.3612.427.00-2.432.4813.646.052.967.9413.37-17.77-1.356.5211.167.601.875.427.7610.8612.45
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-9.24-23.68-18.98-8.32-2.05-20.54-8.61-1.45-7.78-34.85-24.133.77-2.02-42.16-152.83-188.97-254.18-31.339.5914.3711.187.455.9515.3814.795.5715.5416.0418.457.62-2.3924.4321.6415.0810.7017.8813.877.773.209.137.81-1.585.2911.253.41-5.58-1.2513.441.302.727.5310.38-20.900.416.8511.985.040.124.475.5512.7710.27
-9.24-21.31-15.12-6.70-1.74-16.04-6.86-1.25-6.85-27.93-18.712.88-1.50-33.31-108.60-127.79-178.16-25.827.0210.608.125.544.5412.3211.114.2921.7510.0011.475.55-1.5215.2513.389.346.6011.098.554.791.935.564.75-0.973.216.782.12-3.49-0.698.280.811.674.825.62-12.670.2320.538.652.850.0711.7910.049.428.15
0.170.170.180.190.170.150.180.180.160.110.110.100.080.040.040.020.020.140.170.190.190.170.220.230.220.220.240.250.230.210.230.260.230.210.230.240.220.210.220.240.220.220.250.290.250.250.260.300.260.260.290.330.290.300.310.330.300.280.290.300.300.30
--------------------------------------------------------------
6.456.476.287.357.325.933.974.704.342.913.023.402.591.190.920.780.504.294.385.196.495.946.246.006.426.234.876.047.755.806.407.876.366.917.037.836.815.607.127.716.075.377.167.565.474.916.115.105.013.864.615.894.983.825.748.517.236.095.925.767.536.34
13.9613.9114.3312.2412.2915.1722.6619.1420.7130.9229.8526.4634.6975.3897.7211618120.9720.5317.3413.8715.1614.4315.0014.0314.4318.5014.9111.6115.5114.0611.4414.1413.0212.8111.4913.2116.0812.6411.6714.8216.7612.5611.9016.4518.3314.7417.6517.9623.3419.5315.2718.0623.5315.6810.5712.4414.7815.2015.6111.9614.18
64.08342-106.03-27.25-5.51-42.11-15.05-2.67-12.84-31.71-16.272.34-1.01-9.92-27.09-13.54-12.94-15.624.607.515.743.733.349.518.643.4117.578.529.774.77-1.3815.3914.0610.588.5018.5714.868.523.027.726.57-1.304.3012.914.12-6.72-1.2715.861.643.129.399.55-20.690.2925.4014.704.870.1219.8922.2325.5929.43
56.81256-123.51-29.48-5.87-44.70-15.69-2.78-13.32-32.77-16.662.39-1.03-10.14-27.71-13.80-13.16-15.855.178.466.524.253.8210.859.953.9820.529.9711.575.77-1.6818.9618.0214.2311.8227.8824.1714.684.6410.719.53-1.966.4122.167.93-13.98-2.5230.294.038.4229.5323.19-64.000.7168.87117-351.57-1.29-153.74-45.94-26.65-17.24
-1.59-3.63-2.71-1.24-0.30-2.38-1.21-0.22-1.09-2.97-2.000.30-0.12-1.22-4.09-2.37-2.67-3.491.201.971.530.970.992.862.460.965.172.542.641.18-0.353.893.112.001.522.671.871.010.431.361.06-0.210.791.930.53-0.88-0.182.450.210.431.411.87-3.620.076.322.880.850.023.403.052.802.42
-3.35-8.45-5.98-2.74-0.67-5.26-2.52-0.46-2.31-6.10-3.900.57-0.24-2.34-9.26-5.17-6.11-7.942.814.523.802.432.035.865.302.1310.945.566.122.84-0.808.747.284.683.375.864.152.220.882.642.05-0.431.504.201.22-2.15-0.415.030.451.003.234.02-8.080.1815.699.282.910.079.568.768.427.70
-2.03-0.781.843.464.344.536.486.767.188.1911.1112.2611.9211.9712.4715.5917.9620.1223.4622.8221.1920.2319.5319.6818.1316.5116.5216.0214.6913.1612.7312.4610.589.078.357.075.995.556.748.537.747.317.576.005.274.925.225.584.644.554.395.294.775.775.534.163.573.403.422.682.101.55
-0.520.00-3.100.042.162.30-1.12-0.470.620.434.956.018.162.47-6.74-3.770.081.0210.209.676.503.1110.078.757.354.416.205.526.223.878.108.125.623.687.776.404.812.494.784.003.251.704.583.883.171.405.924.744.002.283.522.191.841.112.861.991.430.852.602.121.430.99
-5.46-2.44-8.32-3.70-0.730.42-1.81-0.840.480.284.195.367.812.26-9.02-5.98-1.970.002.053.933.421.641.363.452.292.24-0.182.185.062.894.796.174.323.125.894.733.691.74-1.99-1.72-2.03-1.53-2.87-0.47-0.130.900.390.640.620.32-2.03-1.22-1.070.440.190.270.420.281.831.711.220.95