Information Services Financial Ratios for Analysis 2009-2024 | III

Fifteen years of historical annual and quarterly financial ratios and margins for Information Services (III).

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
2.442.262.042.262.422.421.952.032.291.932.222.052.345.254.87
0.440.430.410.430.450.530.610.670.510.550.550.580.640.460.35
0.780.780.750.790.961.241.802.141.091.311.311.651.950.850.55
38.5340.7439.3639.8442.3642.0141.8938.8640.4040.7841.2340.6343.1645.8249.02
5.0210.309.093.725.034.603.40-1.204.606.055.553.40-32.99-39.190.61
5.0210.309.093.725.034.603.40-1.204.606.055.553.40-32.99-39.190.61
7.2512.2911.146.377.787.698.442.588.059.649.198.18-8.213.838.41
3.019.328.322.362.692.220.78-2.463.894.994.291.68-34.84-41.73-2.72
2.116.895.591.111.262.06-0.79-3.002.312.952.260.31-30.33-40.27-2.14
1.181.181.171.041.211.281.200.921.601.561.511.421.270.720.55
---------------
3.543.574.323.693.453.633.813.354.235.095.454.714.394.965.05
10310284.5398.8610610195.9010986.3271.6566.9377.4983.1673.5572.24
6.0319.6415.782.783.737.22-3.30-11.1810.7315.4811.041.57-155.88-64.98-2.15
-79.25-221.12-323.05-39.73-27.21-20.704.399.96-99.60-44.97-35.27-2.481652378.46
2.498.126.561.151.532.64-0.93-2.713.794.703.410.44-38.57-28.81-1.17
3.4011.289.251.602.033.38-1.29-3.685.266.994.940.66-56.53-35.06-1.41
2.102.082.012.061.891.731.461.351.241.111.161.050.992.514.14
0.240.220.810.880.430.420.270.340.210.180.600.290.020.180.13
0.180.150.770.860.390.330.190.270.180.130.550.24-0.020.150.09

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
2.142.232.442.892.862.712.262.252.122.022.041.992.042.172.262.482.503.032.422.532.442.252.422.442.162.101.951.892.152.102.032.362.202.342.292.572.462.071.932.382.382.332.222.392.362.032.052.172.262.172.342.012.332.295.257.347.477.104.874.126.876.21
0.440.440.440.430.430.430.430.420.420.410.410.420.420.420.430.440.460.490.450.500.510.520.530.540.570.590.610.610.650.660.670.570.590.500.510.530.540.550.550.520.530.550.550.570.580.560.580.600.610.630.640.420.420.430.460.460.340.340.350.350.380.41
0.780.780.780.750.770.760.780.760.760.750.750.760.780.760.790.840.901.000.961.131.181.201.241.301.531.661.801.812.002.082.141.401.501.061.091.161.221.301.311.171.211.281.311.391.481.551.651.731.821.911.950.810.780.810.850.840.530.530.550.590.610.71
39.4636.1338.2640.0438.5537.3539.9542.2041.4939.4340.9839.1739.0838.1842.2540.3641.1835.6244.2144.6443.3437.0843.8043.1743.4737.5943.7444.0940.8438.8737.5140.3840.1837.1741.3441.4639.0439.7741.1340.8842.6238.2041.0240.1742.9640.6339.9140.0141.6540.9144.2642.7344.8440.4147.4042.0946.7246.9647.1147.7344.1156.66
5.68-3.69-5.328.676.528.989.6710.7910.1110.6610.2710.228.287.535.284.836.12-1.137.778.304.88-1.034.924.965.912.565.945.080.801.77-15.765.045.330.264.616.143.753.906.297.088.242.155.593.507.755.163.405.194.520.37-134.363.635.00-12.76-7.97-161.283.084.784.61-12.954.375.99
5.68-3.69-5.328.676.528.989.6710.7910.1110.6610.2710.228.287.535.284.836.12-1.137.778.304.88-1.034.924.965.912.565.945.080.801.77-15.765.045.330.264.616.143.753.906.297.088.242.155.593.507.755.163.405.194.520.37-134.363.635.00-12.76-7.97-161.283.084.784.61-12.954.375.99
--------------------------------------------------------------
3.61-5.63-7.476.684.976.638.089.849.449.979.479.557.506.664.203.704.65-2.935.396.022.60-3.472.632.503.550.163.352.43-1.80-0.85-17.363.824.80-1.563.595.372.993.664.916.007.561.054.422.166.543.831.843.352.82-1.40-136.611.633.76-14.76-10.77-164.040.952.302.03-16.580.542.63
3.17-5.27-4.344.463.134.455.778.077.016.795.146.225.825.142.183.331.07-2.133.202.540.61-1.39-1.255.893.330.24-3.982.09-0.44-0.91-15.011.412.67-1.402.373.461.751.691.234.425.660.131.790.804.391.920.300.451.62-1.24-116.52-5.301.37-5.03-6.53-160.750.561.320.35-11.080.311.58
0.270.270.270.290.310.320.310.320.320.310.290.290.300.280.280.270.260.300.300.310.310.300.320.320.330.310.300.300.300.290.230.380.440.380.410.420.430.400.400.400.410.350.380.370.410.380.360.340.360.330.310.230.240.190.170.170.140.150.140.130.120.13
--------------------------------------------------------------
0.790.820.810.780.850.900.930.961.031.081.081.091.011.010.980.930.850.890.850.820.820.850.890.890.971.040.940.910.971.090.841.041.151.051.091.171.151.191.291.191.081.081.381.101.151.141.211.031.060.991.060.980.971.021.191.151.281.251.311.221.271.16
11310911211610599.8697.2894.1387.0483.2983.2482.5589.1789.2091.4796.7210610110610911010510110193.1686.7995.6998.4992.5882.8210786.5778.4185.4482.6576.9878.3175.8769.5775.3683.3183.1965.1682.0778.5779.1074.3787.1585.1191.2184.7791.4692.8488.0775.7578.0570.5571.8068.6173.6070.7777.74
2.13-3.54-2.813.032.263.364.265.935.265.063.644.504.243.401.462.200.69-1.582.342.050.51-1.14-1.085.233.330.24-4.172.24-0.51-0.98-14.281.804.20-1.392.694.032.392.251.795.186.790.202.210.966.012.480.390.562.24-1.60-144.87-2.950.75-2.27-2.52-62.320.140.350.09-2.750.070.41
-15.9825.3936.97-272.89-54.40-73.17-48.01-73.18-63.96-93.69-74.43-79.12-53.09-77.22-20.88-15.64-5.139.18-17.05-9.42-1.813.423.11-13.00-6.25-0.395.55-2.860.540.9412.72-6.24-10.6911.80-24.97-21.94-11.07-6.99-5.19-23.37-24.96-0.70-7.07-2.64-12.78-4.40-0.61-0.78-2.751.781535.59-1.514.139.21219-0.66-1.50-0.369.84-0.23-1.16
0.87-1.45-1.161.310.981.431.762.602.242.101.511.821.721.420.600.890.28-0.640.960.780.19-0.42-0.401.881.090.07-1.180.64-0.14-0.25-3.460.551.21-0.500.951.450.830.730.541.802.290.060.680.301.790.730.110.160.59-0.40-35.84-1.220.32-0.95-1.12-28.080.080.190.05-1.470.040.20
1.20-2.00-1.581.731.281.912.453.473.072.972.132.622.441.980.841.220.37-0.811.271.020.25-0.55-0.512.391.440.10-1.630.87-0.18-0.33-4.690.771.72-0.691.321.911.101.020.812.473.180.090.990.422.511.080.160.230.86-0.59-52.54-1.700.43-1.29-1.36-33.850.090.230.06-1.790.050.24
1.951.982.102.172.132.152.081.951.972.022.012.012.002.072.061.951.851.831.891.781.721.711.731.701.581.541.461.471.381.371.351.171.111.251.241.191.151.091.111.251.231.161.161.151.111.071.051.041.010.990.992.442.532.482.512.594.164.154.144.154.234.18
0.090.050.240.05-0.01-0.070.220.090.100.080.810.770.410.230.880.750.550.100.430.120.010.030.420.240.160.210.270.070.040.050.340.310.180.080.210.04-0.07-0.060.18-0.06-0.28-0.180.600.210.03-0.050.290.00-0.07-0.130.02-0.24-0.41-0.250.180.020.02-0.080.13-0.04-0.09-0.29
0.050.030.180.02-0.03-0.080.150.040.060.060.770.740.390.220.860.730.540.090.390.100.000.020.330.160.080.140.190.020.000.030.270.260.140.060.180.01-0.09-0.060.13-0.10-0.31-0.190.550.170.01-0.060.24-0.04-0.10-0.15-0.02-0.27-0.43-0.260.15-0.010.01-0.090.09-0.07-0.11-0.30