Hovnanian Enterprises Inc Financial Ratios for Analysis 2009-2024 | HOV

Fifteen years of historical annual and quarterly financial ratios and margins for Hovnanian Enterprises Inc (HOV).

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
1.281.200.940.890.890.810.821.021.761.891.671.591.211.371.33
0.140.270.42-0.45-0.71-0.27-0.20-3.011.111.111.601.742.291.621.68
1.963.377.83-3.59-3.44-3.46-3.82-13.65-16.89-15.75-3.93-3.52-3.42-5.07-5.24
21.0522.0219.4315.8814.8016.3414.3213.0415.0317.7217.7115.3111.0111.683.95
9.9911.889.495.563.254.853.893.853.355.115.551.65-16.58-15.57-57.51
9.9911.889.495.563.254.853.893.853.355.115.551.65-16.58-15.57-57.51
10.3712.089.695.873.865.454.634.444.055.786.232.57-15.23-14.29-55.38
9.2910.946.822.36-1.970.41-1.850.09-1.010.981.18-6.82-25.69-21.52-42.10
6.506.6819.771.97-2.090.22-13.55-0.10-0.7514.541.69-4.46-25.210.19-44.90
1.111.141.201.281.071.201.291.170.830.901.050.880.710.750.79
1.611.501.791.651.331.552.081.871.111.261.411.281.041.211.38
98.4977.2369.6969.5844.9156.5942.168.265.965.4741.0624.0421.7122.4835.94
3.714.735.245.258.136.458.6644.2161.2766.708.8915.1816.8116.2410.16
46.1191.011,516-8.916.74-0.7755.771.076.11-121.35-5.5110.6745.27-0.55148
35.3958.87347-11.688.60-1.0072.162.1912.57-260.74-7.2313.6457.61-0.77205
8.268.8026.192.79-2.240.27-17.48-0.12-0.6213.411.78-3.93-17.860.14-35.40
30.5842.72202-16.9214.72-1.2686.778.79-1.4428.994.36-10.08-74.200.47-140.08
95.4562.9528.04-71.00-79.95-76.41-77.98-21.81-21.85-20.19-77.73-91.26-130.68-108.76-112.90
65.3013.3032.8744.48-41.74-11.0051.0565.61-54.55-29.331.43-13.26-51.6210.19-9.50
62.7711.4431.9543.98-42.41-5.5549.9964.39-54.63-29.782.32-13.62-51.509.57-9.40

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.451.354.071.281.251.231.211.201.171.161.010.940.901.120.890.890.890.910.900.890.860.880.830.810.810.790.790.820.821.001.001.021.931.921.971.761.731.721.721.891.631.601.591.671.651.621.641.591.741.601.451.211.301.341.301.371.491.541.531.331.351.852.16
0.140.120.630.140.210.240.250.270.360.430.500.420.490.61-0.44-0.45-0.60-0.75-0.70-0.71-0.72-0.65-0.35-0.27-0.24-0.16-0.15-0.20-0.22-1.49-2.15-3.011.141.141.131.111.141.141.131.111.631.701.711.601.731.781.791.741.571.731.932.291.851.691.891.621.311.191.151.681.180.950.90
1.441.571.701.962.432.983.233.373.945.217.337.8311.8921.22-3.74-3.59-3.36-3.63-3.34-3.44-3.43-3.49-3.48-3.46-3.30-3.34-3.38-3.82-3.68-12.71-13.31-13.65-12.25-12.97-14.01-16.89-14.16-14.53-16.10-15.75-4.12-3.90-3.95-3.93-3.55-3.44-3.42-3.52-3.90-3.45-3.20-3.42-4.29-4.86-4.19-5.07-8.19-12.54-16.13-5.24-17.6133.5414.94
19.0420.2019.0724.0120.9318.6619.3620.2824.0523.6020.0220.2219.8418.9818.3819.0514.9315.0613.6015.4814.6713.8814.7817.3615.9615.6616.0615.3813.6313.8014.2413.9213.1411.9012.9815.5015.2313.4315.7117.5218.8417.8716.2119.8118.2916.8914.4516.4215.8715.0612.8011.0711.0610.0011.8911.9612.1411.7010.826.244.723.590.86
6.669.044.5814.919.387.935.1211.1614.2913.907.2511.6211.117.247.309.455.394.681.377.932.530.19-1.099.164.153.381.015.283.293.303.367.253.851.371.898.382.68-1.311.237.726.563.87-0.558.926.374.190.515.323.250.25-5.51-23.39-9.24-16.94-15.32-29.39-15.70-6.42-9.28-41.24-39.68-94.24-55.89
6.669.044.5814.919.387.935.1211.1614.2913.907.2511.6211.117.247.309.455.394.681.377.932.530.19-1.099.164.153.381.015.283.293.303.367.253.851.371.898.382.68-1.311.237.726.563.87-0.558.926.374.190.515.323.250.25-5.51-23.39-9.24-16.94-15.32-29.39-15.70-6.42-9.28-41.24-39.68-94.24-55.89
---------------------------------------------------------------
13.469.805.4813.6910.836.553.5010.3214.5811.526.269.518.954.413.416.212.580.78-1.51-0.08-1.47-3.38-4.497.830.02-1.91-7.301.71-8.47-1.310.063.990.15-2.69-2.295.39-1.85-6.29-4.425.152.79-1.62-6.565.682.17-0.30-5.81-17.29-0.470.68-6.51-28.62-19.46-28.88-25.56-37.53-20.98-8.78-17.20-56.88-38.24-24.46-47.57
9.516.493.409.717.624.102.845.399.227.733.924.816.9163.193.305.492.240.72-1.85-0.25-1.58-3.46-4.597.49-0.22-1.95-7.391.64-56.96-1.14-0.032.77-0.07-1.29-2.813.68-1.42-4.17-3.2345.213.03-1.76-6.745.541.770.31-3.16-17.328.940.53-6.77-28.79-17.83-28.49-25.40-37.42-19.14-8.9973.89-57.33-43.63-29.80-47.73
0.280.310.250.360.270.280.210.350.300.290.240.350.300.300.310.370.350.280.280.380.270.250.230.370.270.310.250.380.320.270.260.340.300.260.230.270.210.190.180.310.290.240.200.340.290.260.230.290.240.230.180.210.170.150.150.190.200.160.150.220.170.150.12
0.350.400.330.500.360.390.280.470.370.360.320.520.420.450.370.460.440.350.330.470.300.300.280.470.350.410.330.600.430.420.370.540.420.340.300.360.280.260.250.430.330.290.250.440.350.340.300.410.320.310.240.310.250.230.230.310.310.250.260.370.270.250.19
15.0428.3624.5531.7019.6918.9113.7123.4417.0517.8216.2520.3918.301.4313.9320.2916.8316.4510.0415.8914.8215.1211.6317.4712.057.167.7512.4115.241.821.682.421.991.821.611.921.381.211.151.859.808.538.3213.1210.069.077.177.886.336.355.056.535.855.054.935.787.395.721.139.856.157.456.08
5.993.173.672.844.574.766.563.845.285.055.544.414.9263.146.464.445.355.478.965.666.075.957.745.157.4712.5711.617.255.9149.4853.6937.2745.1449.3755.8246.8265.0774.1678.0948.599.1810.5610.826.868.949.9212.5511.4214.2214.1817.8213.7715.3717.8218.2515.5612.1715.7479.979.1414.6512.0914.80
12.849.935.0721.7816.0611.617.1822.4640.6150.7240.28131-326.55-780.82-3.44-7.11-2.50-0.651.440.291.212.462.88-7.840.161.554.92-1.9955.602.480.05-8.450.172.945.81-9.692.686.945.42-127.41-2.961.324.15-5.78-1.41-0.211.8313.60-6.43-0.312.8115.569.5314.9811.9527.9221.2610.51-96.0151.7970.43161-546.42
10.377.863.9416.7211.567.954.7314.5224.3924.1612.6029.9239.52672-4.55-9.32-3.20-0.821.830.371.543.153.71-10.180.201.966.27-2.5771.574.990.11-17.340.315.5511.30-19.925.0713.3711.06-273.74-3.861.715.38-7.58-1.81-0.282.3517.39-8.58-0.403.5619.8012.7520.7715.9839.0935.1220.90-213.3771.88162-193.20-106.23
2.872.191.023.902.331.370.772.173.262.621.072.262.0620.901.022.220.850.21-0.51-0.10-0.42-0.87-1.072.78-0.06-0.60-1.870.62-18.50-0.31-0.010.95-0.02-0.34-0.630.98-0.30-0.78-0.5814.080.90-0.43-1.371.870.510.08-0.72-5.012.130.12-1.22-6.14-3.00-4.18-3.84-7.27-3.81-1.4111.25-12.39-7.39-4.40-5.56
8.916.941.4614.459.126.063.5310.5415.6913.736.3117.4719.98262-6.56-13.50-5.13-1.443.120.632.665.195.00-12.900.252.297.22-3.0987.1312.410.35-69.47-0.05-0.78-1.442.28-0.72-1.86-1.3930.432.42-1.19-3.804.571.320.21-1.85-12.864.920.29-3.32-25.51-10.79-14.30-14.28-24.23-11.05-3.9532.31-49.01-28.55-9.88-10.64
11610899.5995.4579.1771.5966.0062.9552.9740.9431.3028.0419.3011.69-67.67-71.00-78.12-80.75-81.42-79.95-82.94-81.58-79.20-76.41-84.39-84.39-82.91-77.98-79.81-22.72-21.76-21.81-25.79-25.88-24.32-21.85-25.85-24.99-22.20-20.19-75.95-79.31-81.62-77.73-83.91-85.98-86.47-91.26-76.39-89.70-132.91-130.68-105.70-92.74-128.52-108.76-66.76-44.12-35.71-112.90-33.8419.8854.41
-13.080.01-12.8365.3043.4910.21-4.8313.30-4.37-9.60-17.8032.8712.792.43-14.9244.4829.5812.394.49-41.74-43.22-33.36-20.51-11.00-16.24-11.78-14.8051.0524.6119.864.3965.6133.00-5.29-11.06-54.55-56.57-43.58-33.28-29.33-39.98-31.80-22.441.43-7.28-2.701.02-13.26-11.20-8.58-9.91-51.62-41.22-22.650.7910.1929.1840.20-16.15-9.5017.4932.879.68
-14.85-1.27-13.6162.7741.598.96-5.4011.44-5.68-10.42-18.1831.9512.192.04-15.0743.9829.1912.114.36-42.41-43.74-33.68-20.67-5.55-10.51-5.88-8.6849.9923.8019.114.3164.3932.24-5.55-11.25-54.63-56.66-43.61-33.41-29.78-40.24-31.94-22.462.32-6.37-1.600.95-13.62-11.53-8.71-9.94-51.50-41.17-22.540.829.5728.8239.95-16.22-9.4017.6433.069.53