MarineMax Financial Ratios for Analysis 2009-2024 | HZO

Fifteen years of historical annual and quarterly financial ratios and margins for MarineMax (HZO).

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
1.331.832.061.851.381.631.421.691.831.771.731.631.591.781.51
0.300.050.070.02-----------
1.050.230.130.330.850.600.840.530.480.520.550.600.610.460.72
34.8834.9131.9626.4126.0925.3325.2123.9924.5925.9025.8125.4124.8524.6115.06
8.3911.4910.157.074.895.374.304.273.372.463.141.02-1.75-2.92-12.12
8.3911.4910.157.074.895.374.304.273.372.463.141.02-1.75-2.92-12.12
10.1012.3310.917.915.836.275.195.124.423.634.302.26-0.37-1.29-10.26
6.1611.359.976.453.964.533.593.692.781.822.420.18-2.47-3.80-14.51
4.568.587.514.942.913.342.242.406.431.802.570.21-2.400.55-13.04
0.991.712.051.951.581.841.641.721.611.551.531.441.321.341.50
1.923.316.083.731.912.331.962.222.071.901.901.821.651.802.43
27.9245.9043.3037.5629.1834.6342.6738.3240.6749.7930.1127.8733.9519.7712.94
13.077.958.439.7212.5110.548.559.528.977.3312.1213.1010.7518.4628.20
11.9225.3026.0516.399.7611.137.797.2317.034.716.770.55-5.911.24-38.82
34.3336.9239.3620.1111.8112.078.667.5417.034.716.770.55-5.911.24-38.82
4.5214.6415.389.634.596.143.684.1310.332.803.930.30-3.170.74-19.50
8.3723.9124.1316.139.7611.137.797.2317.034.716.770.55-5.911.24-38.82
41.5436.1127.2620.8317.3015.5713.8112.8711.729.889.428.778.669.129.11
-9.913.4216.3613.77-0.543.060.190.920.120.440.330.37-0.661.7811.19
-12.700.8415.2313.30-1.252.47-0.350.41-0.030.13-0.080.23-0.941.6911.09

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
1.201.241.281.331.321.301.351.831.781.701.572.062.202.141.741.851.771.381.391.381.481.511.561.631.571.421.401.421.521.431.601.691.661.531.731.831.801.611.671.771.711.571.741.731.571.501.601.631.671.591.571.591.681.731.801.781.851.921.801.511.341.30
0.270.280.290.300.310.320.340.050.060.060.070.070.080.090.090.02----------------------------------------------
1.131.221.161.051.051.100.970.230.210.160.260.130.100.170.450.330.350.940.880.850.780.810.750.600.680.940.990.840.720.830.680.530.590.770.660.480.530.680.650.520.560.720.570.550.660.700.620.600.550.610.680.610.530.460.480.460.280.260.490.721.191.35
31.9532.6733.2834.2633.7835.2336.8036.6634.3433.6535.3737.7630.7229.9829.9929.2124.7725.5426.3128.3825.4824.4426.2425.6025.1025.6125.0126.4725.7124.9223.4224.8422.8324.5724.5525.4024.6024.5123.6926.1625.2825.4627.2926.8026.6323.5326.5324.0626.6223.8727.8625.0725.5223.1525.5824.1829.9521.9821.876.0921.5315.21
8.053.673.605.7710.339.717.199.4913.8411.779.999.4512.1410.117.778.219.763.155.144.087.493.373.715.497.363.933.803.097.652.562.663.277.112.791.573.356.900.950.863.725.86-0.66-2.164.147.830.97-3.20-0.473.722.35-3.26-3.972.52-3.15-4.19-1.041.05-4.93-7.62-16.01-4.20-12.84
8.053.673.605.7710.339.717.199.4913.8411.779.999.4512.1410.117.778.219.763.155.144.087.493.373.715.497.363.933.803.097.652.562.663.277.112.791.573.356.900.950.863.725.86-0.66-2.164.147.830.97-3.20-0.473.722.35-3.26-3.972.52-3.15-4.19-1.041.05-4.93-7.62-16.01-4.20-12.84
--------------------------------------------------------------
5.650.350.123.118.287.395.329.3013.6911.669.859.3112.059.907.468.029.332.174.043.086.732.372.674.846.672.882.732.307.081.731.972.766.692.000.852.876.410.230.143.175.37-1.45-3.073.577.150.24-4.20-1.213.051.51-4.59-4.781.97-3.88-5.10-1.610.44-5.89-9.08-17.38-6.43-15.76
4.160.270.182.556.155.273.887.1510.198.777.607.108.957.445.736.427.011.642.982.174.981.752.033.744.812.291.781.564.321.121.172.464.001.250.4117.356.410.230.143.125.37-1.45-3.073.487.760.22-4.20-1.163.051.60-4.59-4.752.19-3.88-5.10-1.470.44-5.7610.11-15.92-6.06-15.64
0.290.220.210.250.300.250.240.400.520.510.400.460.700.570.430.510.680.350.360.390.510.410.350.480.550.390.350.390.500.360.390.420.630.350.330.400.520.370.370.410.520.320.290.390.430.410.270.380.420.400.250.330.430.340.280.370.340.340.290.530.300.23
0.590.420.400.480.650.520.530.751.211.230.941.252.201.210.760.951.190.450.450.460.660.500.400.610.710.470.400.460.640.450.480.530.870.430.390.520.680.470.430.500.680.390.330.480.550.530.320.480.560.530.290.410.570.470.360.500.450.490.410.950.350.28
7.204.795.576.937.604.887.4110.6711.139.8011.989.7011.079.609.359.927.178.618.427.277.816.679.419.088.467.558.2510.167.916.639.889.2512.656.2610.6610.2410.077.478.9913.088.865.648.017.715.887.367.337.307.166.265.198.467.125.795.295.465.955.423.094.564.454.59
12.5018.7816.1512.9811.8518.4512.148.438.099.197.519.288.139.389.629.0712.5510.4510.6912.3811.5213.499.569.9210.6311.9210.918.8611.3813.579.119.737.1214.378.448.798.9412.0510.026.8810.1615.9611.2311.6715.3112.2412.2812.3312.5614.3817.3610.6412.6415.5417.0216.4815.1216.6029.1519.7520.2319.60
3.250.150.091.664.913.522.454.909.457.945.685.5210.417.444.895.628.221.312.381.815.161.441.363.275.091.941.361.294.260.860.841.794.580.870.2411.585.740.160.092.144.92-0.89-1.522.356.310.17-2.10-0.802.291.18-2.19-2.921.68-2.30-2.37-0.910.25-3.104.86-16.68-4.38-9.32
9.100.470.264.7814.8211.958.057.1514.1912.509.318.3415.4410.226.956.899.711.572.862.195.881.581.503.545.612.151.511.444.670.940.841.874.580.870.2411.585.740.160.092.144.92-0.89-1.522.356.310.17-2.10-0.802.291.18-2.19-2.921.68-2.30-2.37-0.910.25-3.104.86-16.68-4.38-9.32
1.220.060.030.631.861.290.952.845.324.443.063.266.244.212.453.304.750.581.080.852.530.710.711.802.650.900.620.612.150.410.451.022.530.430.137.023.340.080.051.272.79-0.46-0.891.363.310.09-1.15-0.441.280.63-1.16-1.570.94-1.33-1.42-0.540.15-1.972.90-8.38-1.79-3.58
2.360.110.061.173.412.381.624.638.907.435.295.119.606.804.435.538.221.312.381.815.161.441.363.275.091.941.361.294.260.860.841.794.580.870.2411.585.740.160.092.144.92-0.89-1.522.356.310.17-2.10-0.802.291.18-2.19-2.921.68-2.30-2.37-0.910.25-3.104.86-16.68-4.38-9.32
43.8942.1741.9141.5441.2038.9537.2936.1134.5031.1928.8227.2626.1423.6221.8120.8319.7418.0317.7117.3017.0716.1415.8315.5715.1814.3514.0213.8113.7813.1713.0212.8712.4711.8711.7711.7210.499.919.929.889.729.239.319.429.218.628.638.778.818.628.498.668.908.738.919.129.349.289.539.1111.2411.75
-1.08-4.83-3.91-9.91-8.78-11.23-7.033.425.553.950.3616.3614.316.38-0.5613.7710.04-0.85-0.88-0.540.19-2.66-2.783.062.26-0.84-2.470.19-0.23-1.69-1.740.920.97-2.16-2.250.120.32-0.99-1.660.440.48-1.28-0.480.33-0.02-0.26-0.430.371.000.45-0.72-0.660.210.560.031.783.663.651.2311.195.873.50
-2.96-6.07-4.49-12.70-10.95-12.38-7.500.843.622.55-0.6915.2313.525.86-0.8713.309.78-1.02-1.08-1.25-0.35-2.99-2.912.471.80-1.15-2.59-0.35-0.68-2.00-1.880.410.63-2.35-2.32-0.030.19-1.15-1.740.130.21-1.44-0.55-0.08-0.34-0.54-0.550.230.830.34-0.76-0.940.020.47-0.011.693.613.621.2211.095.773.42