Hudson Global Financial Ratios for Analysis 2009-2024 | HSON

Fifteen years of historical annual and quarterly financial ratios and margins for Hudson Global (HSON).

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
4.092.632.504.034.744.931.611.662.061.771.922.342.011.841.72
--0.03------------
-0.030.05----0.190.04-0.01-0.030.010.14
49.7549.3840.2838.5246.4462.9170.5541.2640.5238.3437.2339.3137.9437.5837.68
0.864.652.60-2.61-1.77-7.79-3.03-1.790.70-3.01-4.83-1.541.87-0.71-7.16
0.864.652.60-2.61-1.77-7.79-3.03-1.790.70-3.01-4.83-1.541.87-0.71-7.16
1.775.332.95-2.43-1.68-6.754.78-1.061.53-2.00-3.69-0.562.540.32-5.10
1.594.712.57-0.70-1.47-7.72-3.31-1.940.49-3.09-4.79-1.581.74-0.37-7.05
1.363.551.91-1.23-1.0211.75-4.93-2.080.50-2.27-5.40-0.811.17-0.59-5.88
2.652.962.762.242.011.260.534.153.714.163.543.394.313.863.80
---------------
8.197.656.577.557.336.775.167.227.427.857.366.127.106.186.98
44.5947.7255.5448.3749.7853.9570.6950.5249.1946.5249.6159.6751.4059.0752.28
4.5315.578.21-3.63-2.34-13.01-6.59-21.332.63-26.64-40.61-6.7810.16-4.76-56.32
5.6119.5810.90-4.04-2.34-13.01-6.59-21.332.63-26.64-40.61-6.7810.16-4.76-56.32
3.6110.495.27-2.74-1.80-9.90-2.55-8.771.29-11.30-19.02-3.735.04-2.16-23.61
4.5315.577.95-3.63-2.34-13.01-6.59-21.332.63-26.64-40.61-6.7810.16-4.76-56.32
17.3016.3914.5212.7712.2712.6913.8513.1917.6717.6722.3232.2632.8328.9928.54
0.103.010.83-0.49-1.54-4.720.69-2.84-5.09-5.430.774.044.19-5.23-10.37
0.072.850.74-0.50-1.57-4.860.23-3.66-1.06-0.34-0.011.502.13-6.29-7.31

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
3.273.303.214.093.732.962.952.632.512.322.792.502.923.163.624.034.124.125.274.744.244.615.174.934.945.355.151.611.641.641.611.661.741.721.902.062.062.081.731.771.661.831.831.921.972.052.192.342.222.102.062.011.881.711.751.841.721.751.641.721.831.811.95
----------0.030.03----0.020.02---------------------------------------------
------0.030.030.030.040.050.05----0.040.04----------0.180.150.270.190.180.150.100.040.000.02--0.140.030.010.01-0.01---0.01-0.030.060.100.120.010.150.150.160.140.120.130.11
50.4849.3348.1848.7249.1650.3050.5350.8549.7048.0849.2644.5840.0638.0436.9141.2835.6936.3440.6043.6844.2444.1458.0561.9563.5363.4862.6266.9670.2673.7471.4842.6440.2741.4340.7641.8841.0340.9238.5338.9737.3039.6337.4837.7436.2535.3134.2136.3236.0237.6236.5038.0037.9438.5937.1537.8537.4238.0836.8838.0137.8437.3237.54
-1.24-0.52-8.97-3.733.243.020.041.372.586.846.945.433.020.740.05-0.50-4.34-3.59-2.172.431.92-3.00-12.24-3.37-4.33-7.40-16.39-6.85-0.01-3.23-2.12-0.67-0.73-2.14-3.660.13-3.4811.12-5.40-4.49-3.43-1.90-2.34-4.60-4.40-3.17-5.160.99-0.85-1.55-1.852.152.512.440.210.01-0.700.05-2.39-4.87-5.21-7.13-11.70
-1.24-0.52-8.97-3.733.243.020.041.372.586.846.945.433.020.740.05-0.50-4.34-3.59-2.172.431.92-3.00-12.24-3.37-4.33-7.40-16.39-6.85-0.01-3.23-2.12-0.67-0.73-2.14-3.660.13-3.4811.12-5.40-4.49-3.43-1.90-2.34-4.60-4.40-3.17-5.160.99-0.85-1.55-1.852.152.512.440.210.01-0.700.05-2.39-4.87-5.21-7.13-11.70
---------------------------------------------------------------
-1.49-0.53-8.81-0.132.443.200.501.692.666.836.855.393.110.67-0.074.37-3.90-2.06-1.672.311.92-2.87-10.54-2.94-4.15-7.31-16.81-7.44-0.14-3.36-2.38-0.56-1.10-2.25-3.85-0.49-3.3410.78-5.46-4.20-3.44-2.23-2.57-4.49-4.29-3.31-5.080.95-0.62-1.82-1.931.922.282.280.340.69-0.640.35-2.16-4.63-5.21-7.20-11.44
-2.30-1.23-8.552.161.351.290.820.141.965.455.824.113.32-0.31-0.594.38-4.55-3.14-2.125.831.41-3.41-11.75-3.74-5.08-8.0266.12-13.18-5.338.45-9.39-0.29-1.73-2.78-3.44-2.47-1.8911.31-5.502.01-4.70-2.90-3.15-8.07-3.62-3.39-4.97-0.19-1.150.19-1.611.491.381.710.000.54-0.950.12-2.34-5.71-4.04-10.22-3.37
0.640.640.570.560.650.680.660.640.730.790.820.820.830.790.730.600.580.550.580.540.550.570.350.310.310.310.280.140.140.130.130.991.030.980.830.850.860.891.030.981.020.970.900.880.800.980.910.950.940.990.971.031.111.010.981.060.940.970.991.000.890.850.78
---------------------------------------------------------------
1.511.461.621.721.581.631.571.661.671.791.791.942.152.032.012.032.132.001.891.991.641.841.291.681.181.201.191.320.220.200.211.711.671.681.581.701.671.631.561.851.801.501.451.831.421.651.611.721.631.631.511.691.621.551.501.701.551.631.591.841.751.661.59
59.7761.7755.6952.2256.8655.0557.1754.2453.8850.2150.1446.2941.9344.3944.7144.2742.2045.0547.6645.2554.8249.0069.9853.7276.2075.1275.9068.3240444743052.5054.0453.6257.0952.9453.7655.3757.5648.7850.1159.8862.0149.1663.5354.4055.9652.3655.3555.3759.4853.1355.6457.9959.9252.8257.9955.3256.5748.8251.4654.2556.66
-1.97-1.04-6.541.511.141.240.760.142.156.857.065.234.09-0.35-0.593.49-3.61-2.38-1.574.121.02-2.65-5.09-0.48-1.99-3.23-6.59-2.66-1.08-1.65-1.15-0.26-4.27-6.86-6.37-4.06-3.1718.62-13.19-5.97-7.84-5.20-5.77-13.88-6.51-6.59-8.51-0.32-2.030.37-3.013.083.324.10-0.011.51-2.070.21-5.84-6.55-8.85-17.15-14.46
-2.46-1.30-8.221.871.401.530.950.172.758.599.056.954.49-0.39-0.663.89-3.61-2.38-1.574.121.02-2.65-5.09-0.48-1.99-3.23-6.59-2.66-1.08-1.65-1.15-0.26-4.27-6.86-6.37-4.06-3.1718.62-13.19-5.97-7.84-5.20-5.77-13.88-6.51-6.59-8.51-0.32-2.030.37-3.013.083.324.10-0.011.51-2.070.21-5.84-6.55-8.98-17.33-14.61
-1.48-0.79-4.901.200.880.880.540.091.434.324.773.362.77-0.24-0.432.64-2.63-1.73-1.243.180.73-1.95-3.86-0.36-1.51-2.48-5.00-1.03-0.44-0.67-0.46-0.11-1.82-2.89-2.93-1.99-1.589.31-5.49-2.53-3.11-2.29-2.58-6.50-3.19-3.31-4.52-0.18-1.080.19-1.571.531.541.730.000.68-0.880.09-2.28-2.75-3.99-7.61-7.03
-1.97-1.04-6.541.511.141.240.760.142.156.856.855.074.09-0.35-0.593.49-3.55-2.33-1.574.121.02-2.65-5.09-0.48-1.99-3.23-6.59-2.66-1.08-1.65-1.15-0.26-4.27-6.86-6.37-4.06-3.1718.62-13.19-5.97-7.84-5.20-5.77-13.88-6.51-6.59-8.51-0.32-2.030.37-3.013.083.324.10-0.011.51-2.070.21-5.84-6.55-8.85-17.15-14.46
15.7215.4715.6417.3016.5716.5416.4316.3912.0116.0115.2614.5213.4912.9412.7112.7711.9412.0612.1712.2711.5511.4911.8512.6912.8913.0813.9313.8514.3214.2113.2713.1913.8814.5116.3617.6718.5319.7914.8117.6717.6020.7921.6722.3225.7426.6429.6932.2632.1532.2132.2232.8331.0531.3029.3628.9928.2226.7025.9628.5432.3334.0038.43
-1.62-2.01-0.590.10-0.96-0.73-1.593.011.621.65-0.770.830.28-0.49-0.83-0.49-0.48-0.30-0.89-1.54-2.42-2.51-1.89-4.72-5.54-5.65-4.570.69-1.17-1.49-2.78-2.84-4.48-3.03-1.68-5.09-5.23-6.85-5.56-5.43-6.29-5.58-4.180.77-0.48-2.20-1.174.092.770.29-2.284.19-2.190.01-3.23-5.23-6.45-6.57-5.65-10.37-7.82-7.58-3.00
-1.62-2.02-0.590.07-0.98-0.75-1.602.851.481.61-0.800.740.23-0.53-0.85-0.50-0.48-0.31-0.89-1.57-2.44-2.53-1.90-4.86-5.62-5.74-4.660.23-1.38-1.62-2.90-3.66-5.01-3.38-1.86-1.06-1.07-2.23-5.77-0.34-7.59-6.42-4.64-0.01-1.15-2.63-1.461.520.34-1.82-2.852.13-3.72-0.96-3.48-6.29-7.19-7.04-4.73-7.31-4.00-3.62-3.20