Huron Consulting Group Financial Ratios for Analysis 2009-2024 | HURN

Fifteen years of historical annual and quarterly financial ratios and margins for Huron Consulting Group (HURN).

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
1.321.341.261.231.100.561.371.331.742.761.571.721.251.211.00
0.380.340.290.270.260.090.400.310.320.350.210.300.330.420.40
0.610.530.410.370.360.550.680.450.470.590.320.430.490.740.67
29.9829.8929.0028.8930.6430.6733.0034.2836.4634.0435.1834.8034.9835.5636.91
8.968.615.70-3.316.605.93-25.689.3013.4612.5914.9110.778.436.217.04
8.968.615.70-3.316.605.93-25.689.3013.4612.5914.9110.778.436.217.04
10.8011.078.597.1211.0211.5913.1116.3722.2217.5619.0616.5615.8210.3031.26
6.009.378.63-3.895.442.87-27.557.4110.8711.4113.909.636.553.685.68
4.476.526.80-2.744.321.55-21.064.717.6811.2711.025.343.121.53-5.78
1.110.970.830.830.870.840.780.690.660.610.680.870.840.710.75
---------------
3.893.994.185.934.854.724.945.335.414.163.364.703.733.774.40
93.8991.5287.2961.5075.1977.2873.8568.4967.5187.7810877.6097.8596.7582.93
11.7213.6911.01-4.307.172.58-33.886.099.497.839.738.075.412.134.17
-56.34-78.44-77.8837.78-45.22-9.1479.40-16.93-31.8973.08-186.91-38.63-16.24-4.05-8.55
4.956.305.63-2.263.801.33-16.443.425.344.075.824.562.730.941.81
7.298.977.83-3.145.292.35-20.164.206.455.067.655.643.641.232.50
28.8627.8926.1524.2525.7723.9822.7629.8428.9626.2522.8019.4417.5815.9215.12
6.904.120.826.255.874.614.656.037.436.395.064.595.052.415.55
5.113.170.125.504.863.933.455.336.575.264.103.774.372.004.94

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
1.611.932.401.321.531.902.441.341.651.922.141.261.491.621.861.231.481.953.011.100.650.590.580.561.371.541.831.371.451.591.861.331.621.692.031.742.142.392.732.762.931.982.181.571.791.811.881.721.951.832.041.251.641.671.561.211.872.202.051.001.781.711.82
0.450.500.530.380.390.420.460.340.380.370.370.290.330.330.330.270.310.380.460.260.080.090.130.090.370.400.430.400.420.440.390.310.340.350.370.320.390.430.450.350.360.210.190.210.230.240.280.300.340.340.380.330.380.400.450.420.440.460.480.400.490.450.49
0.851.021.160.610.650.720.850.530.610.590.580.410.490.500.500.370.450.660.860.360.520.540.590.550.600.680.750.680.710.770.630.450.510.530.580.470.650.750.820.590.610.300.280.320.350.380.440.430.520.520.610.490.600.660.810.740.770.860.910.670.970.830.95
32.3032.2828.2130.0430.8031.4427.3830.4331.4529.9227.4828.9130.6929.3726.8230.5228.1030.3926.8630.3030.9431.8629.3631.4131.3531.5328.2834.8630.7932.1134.1130.7835.1337.9533.0837.6339.7637.9729.578.6030.8936.4637.2846.8435.3635.4731.9135.9541.4433.1427.4433.4836.5037.1832.5939.8836.7235.5530.7254.8935.8733.2633.34
11.2315.595.488.5310.1611.195.657.9410.0310.336.033.908.046.914.02-6.326.587.22-18.957.258.477.323.037.476.178.771.10-13.223.14-99.126.884.3111.4813.887.3018.1915.6914.064.65-35.949.8214.7618.2016.1816.1816.2011.9017.7411.739.232.3910.562.2213.417.28-6.1115.566.455.3489.90-35.649.148.69
11.2315.595.488.5310.1611.195.657.9410.0310.336.033.908.046.914.02-6.326.587.22-18.957.258.477.323.037.476.178.771.10-13.223.14-99.126.884.3111.4813.887.3018.1915.6914.064.65-35.949.8214.7618.2016.1816.1816.2011.9017.7411.739.232.3910.562.2213.417.28-6.1115.566.455.3489.90-35.649.148.69
---------------------------------------------------------------
9.9413.674.830.518.529.864.867.288.697.7214.4015.786.896.963.38-5.426.477.69-22.116.906.645.752.114.364.393.86-1.33-15.381.11-100.815.302.249.6611.995.5216.1312.5411.781.68-51.208.9314.1417.6813.8615.4415.2210.8716.7610.497.871.389.470.2211.254.95-9.3213.173.743.4086.53-37.039.336.74
7.189.844.960.815.866.964.115.326.074.9410.1411.916.035.482.63-3.075.316.13-17.495.615.624.291.481.343.862.46-1.54-14.432.25-74.222.572.136.077.463.059.5810.119.190.8852.385.648.6414.8551.968.938.386.329.555.974.090.563.690.295.692.73-3.374.711.601.8119.00-39.575.794.30
0.280.290.270.280.290.280.260.270.240.240.230.230.220.220.200.190.190.200.200.230.210.220.200.220.210.210.200.200.180.190.160.170.170.180.170.170.150.160.130.020.190.250.260.050.230.240.230.250.230.210.200.220.220.220.190.140.220.200.190.100.210.210.21
---------------------------------------------------------------
0.971.010.910.971.011.071.021.111.011.041.071.181.091.121.221.361.201.101.241.281.121.171.151.231.181.171.141.261.191.281.211.301.241.351.291.420.910.930.740.141.070.951.140.241.151.101.111.341.081.120.911.001.001.160.890.761.171.060.940.590.931.161.20
93.2089.1798.4692.5289.0784.4988.4581.4389.1086.6984.0776.5282.4280.2273.9866.0174.9081.8772.5870.1480.3377.1078.4373.1676.0976.6379.2571.6775.7070.3674.0969.0472.3166.6669.6063.4299.2396.3412162284.4294.2778.6837978.2481.5181.1266.9983.6380.2998.6090.0289.8777.8810211876.8885.0995.6615396.3977.8575.22
5.197.493.630.533.894.482.543.093.192.414.615.432.572.381.00-1.112.002.53-8.062.452.331.860.610.571.561.13-0.63-5.820.79-29.050.770.651.922.581.134.982.202.260.16-3.212.073.385.951.363.413.282.464.192.461.540.151.960.272.390.98-2.823.161.040.8112.70-13.292.191.66
-18.43-21.92-10.16-2.55-23.27-26.71-11.45-17.74-19.07-18.08-36.96-38.40-16.98-16.33-6.959.72-20.56-18.0647.10-15.46-14.49-9.12-2.40-2.00-4.87-3.141.5713.65-1.6857.81-1.56-1.80-4.90-6.33-2.72-16.75-5.46-4.85-0.31-29.94-471.77-273.16830-26.21-56.37-30.39-15.33-20.03-9.06-5.41-0.47-5.89-0.91-6.28-1.985.35-8.14-2.44-1.74-26.0335.88-4.47-2.83
2.042.831.340.221.681.971.081.421.491.182.322.771.311.210.53-0.581.021.21-3.551.301.180.950.310.290.790.56-0.31-2.830.38-13.760.400.361.061.410.612.801.121.100.08-1.671.082.143.930.822.092.001.462.371.340.840.080.990.141.220.44-1.241.510.480.375.51-5.431.010.73
2.853.761.710.332.362.611.372.031.981.512.933.861.731.590.67-0.811.381.57-4.331.812.141.680.530.510.980.67-0.36-3.470.46-16.390.470.451.271.680.723.391.341.290.09-2.071.322.684.801.072.622.471.782.921.611.010.091.320.171.440.54-1.621.790.560.427.61-6.751.200.85
29.4828.1527.2728.8629.5129.0027.5427.8927.6027.6527.3026.1524.3323.9923.6524.2524.2723.4422.9625.7725.6324.8024.0223.9823.4923.0922.6422.7623.6923.4430.0929.8429.4128.7827.9328.9628.2527.2826.3326.2525.7325.0924.2422.8021.6820.7619.8419.4418.4717.8917.5017.5817.1016.9116.0015.9215.9315.3615.0215.1214.5516.6215.68
3.34-1.27-6.906.902.82-0.71-4.684.12-0.28-2.40-3.740.82-1.31-2.83-3.706.253.520.08-2.575.872.29-0.28-1.724.612.210.32-1.684.652.421.08-0.866.033.721.94-0.427.433.680.81-1.876.394.010.53-0.405.062.090.12-1.024.591.921.28-0.575.052.501.49-0.162.410.52-0.67-1.205.552.361.460.10
1.97-2.23-7.375.111.55-1.57-5.113.17-0.86-2.68-3.800.12-1.88-3.19-3.805.502.95-0.35-2.754.861.52-0.76-1.923.931.75-0.02-1.783.451.450.35-1.175.333.241.66-0.526.572.990.36-2.155.263.280.03-0.614.101.32-0.38-1.293.771.280.75-0.804.372.021.20-0.322.000.30-0.79-1.234.941.821.04-0.08