IEH CORP Financial Ratios for Analysis 2009-2025 | IEHC

Fifteen years of historical annual and quarterly financial ratios and margins for IEH CORP (IEHC).

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
2024202320222021202020192018201720162015201420132012201120102009
7.369.8512.9016.5614.517.047.409.5211.4011.6710.1613.448.738.015.462.74
---0.07------------
---0.07------------
15.183.8720.3529.6126.0642.3537.2334.9333.7137.1535.9331.9933.9337.1132.6230.71
-17.47-30.37-3.877.454.4127.0218.5413.8116.1319.0416.5013.3616.3121.2816.1913.15
-17.47-30.37-3.877.454.4127.0218.7514.0716.2619.1516.6413.5716.6021.5916.5313.77
-13.42-24.97-0.429.727.3828.2420.1616.2817.9721.1818.4215.3317.9922.7617.8215.38
-16.88-29.775.267.594.2726.8618.5613.8216.1319.0516.8613.3616.3121.3016.1913.16
-13.55-33.985.935.844.1118.1710.937.328.7311.049.426.988.2912.088.817.17
0.800.660.680.961.191.091.211.211.321.281.401.451.551.852.031.95
2.091.951.992.632.211.361.371.511.771.532.162.032.072.343.183.30
3.524.064.725.626.007.415.066.108.077.226.757.196.506.696.965.85
10489.8277.2565.0060.8249.2572.1259.8345.2350.5454.0750.7856.1254.5452.4462.35
-13.38-26.744.676.995.2323.1815.039.7912.4515.2214.4210.7814.3225.3221.7119.92
-13.38-26.744.676.995.2323.1815.039.7912.4515.2214.4210.7814.3225.3221.7119.92
-10.84-22.274.015.624.8819.7813.228.8911.5014.0913.2110.0912.8622.3217.9214.01
-13.38-26.744.676.525.2323.1815.039.7912.4515.2214.4210.7814.3225.3221.7119.92
9.1610.2613.0012.2410.669.597.416.545.905.164.383.753.342.862.141.67
-0.81-1.600.581.970.692.500.490.020.230.190.730.210.190.030.340.17
-0.95-1.83-0.501.660.292.150.33-0.240.01-0.010.570.080.03-0.070.260.09

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
8.557.567.967.3611.1610.2512.579.8510.8312.0812.7312.90---14.516.085.935.607.047.727.564.747.407.197.957.149.5210.969.229.0511.4010.3013.8410.4411.6710.1311.139.5010.1610.8910.969.8313.4410.8712.139.248.7310.129.875.948.033.193.634.245.513.543.963.192.75
------------------------------------------------------------
---------------------------------------------------------0.02--
22.8423.5831.1118.5412.3019.059.378.9120.21-0.38-20.6016.7421.8015.2127.20-11.8537.4446.3336.2944.2136.6038.7547.3840.8333.0440.2132.8031.7733.7838.0736.4530.6932.6633.1137.8434.1039.8337.5936.4633.9231.1838.8139.1629.1833.1430.9434.6232.7535.7433.8634.0939.5536.9734.7437.0127.1035.7133.8934.1527.24
-1.802.364.69-4.86-18.97-23.29-28.51-25.58-15.39-35.86-51.44-11.30-4.79-5.534.77-40.1217.1727.0518.2627.3518.7121.6836.1725.8013.4919.9611.689.8712.8118.8113.949.8614.5016.0423.0514.6322.9619.6917.9912.109.7621.1921.8811.8413.5011.8416.1214.3316.2215.7417.7723.4022.1318.4322.3910.5919.4818.4618.476.45
-1.802.364.69-4.86-18.97-23.29-28.51-25.58-15.39-35.86-51.44-11.30-4.79-5.534.77-40.2917.1727.0518.4527.2018.7121.6836.2926.1213.6520.0911.8510.0112.9719.3114.2010.1614.5316.1523.1414.7423.0719.8118.0812.219.8821.3122.0712.1013.6812.0316.3314.3316.4916.1817.9923.4022.1318.4322.3910.5919.4818.4618.476.45
------------------------------------------------------------
-0.853.365.53-4.21-18.13-22.88-28.12-24.85-15.05-34.47-51.42-10.96-4.54-4.7637.50-40.4817.0426.9018.3827.2218.1221.6236.1925.8113.5119.9711.709.8812.8218.8213.959.8614.5016.0523.0614.6322.9719.7017.9912.119.7621.1923.2111.8413.5011.8416.1215.7916.2215.7417.7724.5121.0117.5221.7911.2218.8317.4517.427.89
-0.853.365.536.15-18.13-22.88-28.12-24.85-15.05-34.47-71.20-8.52-3.53-3.6936.00-20.5010.0717.6012.0217.1813.2014.3424.9816.989.089.326.124.946.7210.207.578.679.112.6614.4310.6512.5710.779.847.015.2012.0112.824.687.836.259.086.329.237.719.9718.6610.926.3411.641.259.7412.4212.200.72
0.270.270.260.260.200.180.170.180.180.130.120.15---0.320.270.260.270.260.250.290.380.370.290.350.300.340.300.330.290.300.320.370.380.300.380.330.340.330.340.380.410.360.350.370.390.400.370.420.420.480.430.450.490.540.480.520.510.51
0.730.690.580.650.460.400.450.510.460.430.520.46---0.900.370.310.400.320.330.350.420.400.340.380.360.440.370.410.360.420.450.490.470.370.490.480.520.530.530.530.540.530.500.530.530.550.450.550.580.590.630.710.770.910.760.800.800.92
1.351.371.211.131.081.051.051.120.920.970.921.05---1.611.461.231.281.772.051.361.211.551.581.621.591.701.892.011.961.851.631.461.611.691.581.431.471.601.611.531.521.811.861.581.551.671.972.011.951.741.871.941.861.842.281.921.561.52
66.4865.9274.4179.4383.4485.8085.3980.0797.5493.2598.0585.93---56.0061.7172.9970.2550.8243.8366.2474.2958.0756.8355.4756.6952.9747.5944.7345.8648.6655.2161.7955.8053.3657.0562.7761.1956.1855.9858.7359.1549.6448.4957.1358.0553.7945.7644.7746.1951.6448.1546.5048.3648.7939.4546.8157.7059.03
-0.271.091.761.95-4.34-4.98-5.69-5.41-3.27-5.46-10.40-1.49----6.983.235.413.925.243.744.6711.697.153.003.672.061.842.183.712.432.833.211.065.913.435.183.863.702.551.945.015.731.823.012.463.932.813.773.585.0210.186.593.807.340.816.168.118.350.52
-0.271.091.761.95-4.34-4.98-5.69-5.41-3.27-5.46-10.40-1.49----6.983.235.413.925.243.744.6711.697.153.003.672.061.842.183.712.432.833.211.065.913.435.183.863.702.551.945.015.731.823.012.463.932.813.763.575.0010.176.583.807.330.816.158.088.310.52
-0.230.891.451.58-3.64-4.15-4.82-4.50-2.75-4.63-8.86-1.28----6.532.754.583.294.473.304.119.436.292.633.271.811.672.013.362.192.612.940.995.423.184.743.563.372.331.794.625.241.712.772.283.552.523.423.234.238.974.742.865.740.674.706.416.170.37
-0.271.091.761.95-4.34-4.98-5.69-5.41-3.27-5.46-10.40-1.49----6.983.235.413.925.243.744.6711.697.153.003.672.061.842.183.712.432.833.211.065.913.435.183.863.702.551.945.015.731.823.012.463.932.813.763.575.0110.176.593.807.330.816.158.108.330.52
9.519.489.389.168.979.329.7610.2610.8211.1711.7813.00---10.6611.1110.539.989.599.088.738.327.416.886.676.436.546.426.286.045.905.735.555.495.164.994.734.554.384.274.183.973.753.683.573.483.34---2.86---2.14---1.67
1.311.060.45-0.81-1.40-0.95-0.58-1.60-1.90-1.02-0.490.580.600.470.470.690.480.05-0.022.502.461.250.410.490.460.390.130.020.040.05-0.200.230.560.260.050.190.070.09-0.050.730.630.470.010.210.230.200.060.200.200.220.180.000.000.000.000.000.000.000.000.00
1.221.000.42-0.95-1.46-1.00-0.59-1.83-2.10-1.20-0.51-0.50-0.330.300.450.290.31-0.09-0.122.152.251.110.380.330.320.290.09-0.24-0.16-0.10-0.310.010.410.150.00-0.01-0.09-0.04-0.130.570.520.37-0.040.080.130.140.030.030.120.160.15---------