IDEX Financial Ratios for Analysis 2009-2024 | IEX

Fifteen years of historical annual and quarterly financial ratios and margins for IDEX (IEX).

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
2.892.573.504.153.523.002.782.662.792.613.253.033.061.962.38
0.270.330.300.290.270.300.310.400.370.340.330.350.350.230.24
0.370.480.420.410.380.430.460.660.580.580.490.540.530.380.32
44.2044.8444.2943.6945.1045.0144.8944.0544.7544.2043.1541.1340.1840.8839.29
22.3723.6123.0422.1423.2122.9121.9719.5221.6320.0819.546.5616.5716.4613.90
22.3723.6123.0422.1423.2122.9121.9719.5221.6320.0819.546.5616.5716.4613.90
27.0227.3826.7725.7726.3526.0925.7123.6925.5723.7423.5410.6520.5820.3418.16
23.2223.5520.9720.0021.3621.3019.9017.4419.4218.2717.454.4114.9015.3212.70
18.2118.4516.2516.0717.0616.5314.7412.8314.0013.0112.611.9310.5410.388.53
0.560.580.560.530.650.720.670.670.720.740.700.700.650.640.63
4.343.734.164.574.674.884.854.684.675.044.984.904.334.555.06
7.657.197.768.028.377.967.787.757.778.397.997.637.277.097.26
47.6950.7947.0545.4943.6345.8846.9447.1246.9643.5145.6647.8350.2051.5250.28
16.8219.3016.0314.8718.8020.5817.8817.5619.5918.8016.222.5712.8111.428.94
-192.81-107.401,179165446-473.87-145.14-51.72-117.31-263.60-291.03-19.00-64.52-139.36-58.54
10.1510.649.148.5611.1611.829.928.5910.089.628.841.356.846.605.40
12.2413.0111.2510.5413.6714.4412.2810.6012.3912.4310.881.688.368.816.83
46.7640.2036.7933.4429.7426.2624.6020.2018.8618.8719.3717.7118.1816.7615.66
9.447.337.407.456.906.185.605.214.624.564.873.902.602.252.63
8.266.446.456.786.245.465.114.714.073.984.493.472.331.872.37

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
2.973.413.372.893.113.063.102.573.233.023.593.503.383.324.374.153.713.483.513.523.213.363.333.003.213.213.382.782.842.742.962.662.813.263.342.792.803.033.002.612.702.553.393.253.083.183.253.032.873.063.333.062.052.322.141.962.352.432.642.382.222.422.58
0.350.260.270.270.280.310.310.330.300.300.290.300.300.310.290.290.300.320.310.270.280.290.290.300.290.300.300.310.330.340.370.400.410.410.420.370.370.380.360.340.310.300.320.330.340.350.360.350.330.320.320.350.330.340.220.230.260.270.230.240.260.290.32
0.540.360.370.370.390.450.460.480.430.430.410.420.440.450.400.410.440.460.450.380.390.400.410.430.410.430.430.460.480.510.580.660.710.710.730.580.600.600.630.580.520.500.480.490.520.550.560.540.490.480.480.530.540.580.350.380.370.370.300.320.360.420.47
44.3445.4444.6542.6944.0644.6745.2442.6446.3444.8345.6043.9643.7644.6244.8843.7843.2841.8445.7544.0345.1745.5345.6244.5644.9945.3045.1844.5344.9044.8145.3343.8343.5344.4044.4444.7044.3244.9845.0143.7344.0144.1144.9343.6043.1142.9842.8841.3340.6041.1041.4640.2838.0740.7341.8439.9841.2440.9041.4940.4939.9338.9737.72
21.0522.6320.1420.3422.6423.6522.7521.5924.5423.4424.9822.6622.6423.0823.8522.6022.5819.7123.5422.1422.7124.1823.7522.7123.3023.3022.3223.0822.0221.8220.9016.1220.6920.7120.5620.7124.1821.3520.2618.0320.7920.5020.9319.9519.8519.2019.16-25.5916.7917.9417.2815.8114.9517.5518.2016.2916.7116.5916.2815.2714.3913.8911.99
21.0522.6320.1420.3422.6423.6522.7521.5924.5423.4424.9822.6622.6423.0823.8522.6022.5819.7123.5422.1422.7124.1823.7522.7123.3023.3022.3223.0822.0221.8220.9016.1220.6920.7120.5620.7124.1821.3520.2618.0320.7920.5020.9319.9519.8519.2019.16-25.5916.7917.9417.2815.8114.9517.5518.2016.2916.7116.5916.2815.2714.3913.8911.99
---------------------------------------------------------------
19.3422.2019.3017.7733.0021.0921.2720.1727.7222.2524.0221.4321.2218.9422.3321.1220.8716.3421.4520.1420.7022.5322.0220.9821.3921.5621.2521.1019.8119.7918.8613.7218.7218.8618.4717.7422.2919.1318.5016.2919.0018.5719.1617.8017.6517.0517.28-27.6814.6315.7615.1213.9713.2316.1416.4714.9515.3015.7015.3914.2213.6012.4610.46
14.9217.5115.1713.7726.3516.3816.5416.0421.6917.3618.6416.6216.2514.9017.2916.4417.8712.6317.1615.9816.8517.6317.7215.9817.0716.8916.1616.0014.5814.6213.7110.8113.1713.7813.5613.5615.7813.5113.1311.7613.4013.1313.7012.9813.0012.0712.40-24.2510.4511.0010.669.8610.1411.0611.2310.2410.3210.6710.309.649.218.306.92
0.110.140.140.130.140.150.150.150.170.160.150.150.150.140.150.140.140.140.150.160.170.180.180.180.180.180.180.170.170.180.180.170.160.180.160.180.180.180.180.180.180.180.180.180.170.180.180.180.160.170.170.170.160.160.170.170.160.170.170.160.150.160.15
0.911.031.041.070.990.970.930.990.970.960.951.081.131.061.181.191.091.000.951.161.131.161.131.221.191.221.181.251.191.201.171.181.091.191.001.161.111.091.131.241.191.201.231.271.181.281.181.231.141.141.131.131.090.951.151.241.151.321.251.281.201.231.15
1.681.891.831.841.841.861.891.832.031.871.832.011.941.921.912.102.112.081.812.031.971.971.861.971.921.921.861.991.871.861.881.941.851.851.691.921.851.801.882.051.972.011.892.061.921.931.831.921.731.861.811.901.851.681.761.901.781.891.721.871.711.671.59
53.5747.5249.2348.8048.8548.4147.5349.1644.3648.1349.2744.8746.3646.7747.1842.9142.6643.3449.6344.2845.7545.7448.2845.7546.9446.7848.3145.1948.1748.3147.9246.2948.7648.5453.1646.8248.5950.0147.8943.9845.6544.8047.6343.7846.9646.5349.1246.9652.0548.3049.8047.3448.7653.5951.0347.4350.6247.6652.2448.0252.7453.7756.69
3.113.863.353.066.174.224.334.286.384.954.834.234.243.824.323.984.333.134.574.284.865.365.374.925.165.394.914.974.634.854.623.714.495.064.564.705.574.784.554.154.504.424.604.294.214.234.14-8.123.123.443.263.133.213.323.263.022.893.182.842.612.412.321.96
-14.04-218.24-78.87-35.06-99.67-35.26-38.63-23.80-1,038.97-130.78249312-137.47-62.2147.0244.1289.62-1,807.34-359.26101-4,685.46231-925.38-113.27-243.33-113.35-86.75-40.34-29.46-22.96-17.54-10.94-12.25-20.27-16.91-28.11-29.17-27.12-65.80-58.14-217.75-183.38-251.53-77.03-42.24-34.89-33.3360.08-19.23-22.35-24.19-15.77-14.64-14.52-66.04-36.82-24.88-23.09-25.46-17.08-12.50-10.42-7.75
1.712.392.061.853.692.422.472.363.652.812.802.412.382.142.532.292.461.742.592.542.833.113.102.832.993.082.842.762.522.602.401.822.142.442.172.422.772.402.302.122.432.402.532.342.242.212.17-4.271.691.901.811.671.671.721.941.741.641.831.741.581.401.311.07
2.022.852.452.234.442.922.972.884.473.473.422.972.952.653.082.823.022.143.163.113.493.823.803.453.663.763.443.413.123.212.932.242.632.972.632.973.492.992.902.743.103.083.112.882.782.732.67-5.302.102.332.202.042.162.182.542.332.122.332.191.991.781.641.33
50.3148.1347.6746.7244.7943.3142.6740.2037.1136.8438.0936.7935.8135.1234.3233.4431.6829.9629.6129.7428.4527.8527.1526.2626.8125.8926.2324.6023.6222.5321.4420.2020.3819.6419.6118.8618.6018.7218.5418.8719.9520.2320.0419.3718.5818.0217.9317.7119.4518.9319.0718.1818.1018.2117.7716.7616.3515.6115.8815.6615.3114.8814.31
6.533.822.069.446.793.811.957.335.152.521.047.405.263.211.437.455.373.351.116.904.922.881.166.184.192.480.925.603.832.231.115.213.702.070.924.623.371.900.634.563.312.050.914.873.652.190.873.902.881.660.702.602.100.960.352.251.921.170.332.631.950.910.22
5.873.351.808.265.893.171.606.444.512.190.926.454.672.821.246.784.883.100.946.244.452.551.005.463.682.210.795.113.531.980.974.713.331.850.804.072.951.590.503.982.891.760.784.493.372.000.783.472.551.440.602.331.920.890.211.871.600.960.242.371.770.810.18