Internet Initiative Japan Financial Ratios for Analysis 2009-2024 | IIJIY

Fifteen years of historical annual and quarterly financial ratios and margins for Internet Initiative Japan (IIJIY).

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
1.221.371.361.281.321.531.591.591.481.541.591.161.141.011.410.17
0.000.030.050.070.180.250.260.220.110.060.070.140.170.110.120.10
0.240.170.210.280.500.590.560.490.320.270.310.450.600.670.400.35
23.1322.9222.8118.9115.9415.0816.0416.0017.5317.9418.4320.5720.5420.1320.52-
10.5110.7710.406.694.023.233.843.254.374.125.017.306.535.035.02-
10.5110.7710.406.694.023.233.843.254.374.125.017.306.535.035.02-
21.1322.1722.9719.8217.9710.6210.8610.1611.4211.9912.7314.3613.8712.1212.82-
10.4810.8110.686.593.502.554.453.444.404.185.497.306.144.654.20-
7.187.456.924.561.961.412.902.012.872.704.105.003.673.642.77-
1.011.030.980.960.991.151.151.151.191.131.101.291.321.151.33-
65.7661.1066.9879.5669.4142.9186.2147.3757.8982.1355.8364.8510311066.98-
6.046.116.016.126.205.735.535.765.925.535.955.666.195.025.97-
60.4059.7160.7159.6358.8863.7365.9963.3461.6366.0061.3764.4658.9772.7761.16-
15.7315.9115.1010.775.243.797.134.956.415.417.3814.0811.1410.818.163.27
20.3120.4520.0714.437.534.278.105.737.536.448.9119.7216.9318.0010.20-9.71
7.307.716.824.442.031.733.442.433.563.124.286.464.954.484.377.89
15.7215.4414.3510.004.272.845.263.865.735.066.8612.059.239.637.202.95
9.919.7710.319.488.177.617.136.955.906.15------
3.163.164.274.203.392.341.320.751.091.280.961.281.731.881.291.05
2.302.323.823.802.941.580.08-0.020.340.550.010.620.871.330.880.69

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
1.151.221.201.211.161.371.391.401.401.361.311.281.241.281.321.331.271.321.311.271.351.531.521.581.611.591.641.521.601.591.681.541.591.481.511.501.561.541.551.591.561.591.611.681.151.161.151.131.141.141.121.101.021.011.030.981.401.411.311.231.241.23
0.000.000.000.020.020.030.030.040.040.050.050.060.060.070.080.090.090.180.130.140.140.250.250.250.260.260.270.220.220.220.220.150.150.110.070.070.060.060.070.070.070.070.080.080.140.140.160.160.180.170.180.180.110.110.100.100.110.120.130.130.150.16
0.220.240.260.270.280.170.180.190.200.210.220.230.250.280.300.320.330.500.340.370.370.590.590.550.560.560.580.500.500.490.480.380.380.320.280.280.260.270.280.290.290.310.320.330.530.450.580.600.610.600.640.650.670.670.670.690.380.400.470.560.580.62
19.6223.9523.0023.0522.4724.1323.9321.6321.8324.5724.2320.7921.5720.1220.8518.2116.1016.5416.5015.8314.8113.1916.3715.8015.1717.4815.0815.4615.9416.8115.1515.9915.9816.6617.8717.8617.9816.0318.8921.8829.8116.5317.9419.3219.0213.0321.0220.2819.4019.2830.5429.9619.2720.3720.8620.6719.1321.7221.0819.7132.8444.10
6.2211.8411.2510.608.1512.5612.029.648.6412.0812.378.828.237.178.996.224.064.095.263.992.692.044.593.742.646.143.272.832.744.543.062.932.314.994.444.203.631.880.16-3.61-59.759.944.256.104.9448.146.967.205.5322.41-38.14-41.213.923.225.465.071.698.385.254.97-69.65-95.57
6.2211.8411.2510.608.1512.5612.029.648.6412.0812.378.828.237.178.996.224.064.095.263.992.692.044.593.742.646.143.272.832.744.543.062.932.314.994.444.203.631.880.16-3.61-59.759.944.256.104.9448.146.967.205.5322.41-38.14-41.213.923.225.465.071.698.385.254.97-69.65-95.57
--------------------------------------------------------------
7.0012.529.7310.598.9212.189.729.7811.3810.8812.679.0610.108.398.755.403.362.874.993.392.754.63-1.776.121.087.224.173.112.844.583.362.932.754.874.504.044.063.604.766.164.934.864.516.865.416.856.916.865.537.439.359.023.706.515.193.941.765.354.724.413.298.56
4.619.266.397.105.838.796.656.667.556.878.196.046.626.715.713.222.221.213.101.981.562.67-1.413.740.564.972.691.861.722.902.031.531.463.532.702.752.292.862.843.222.924.822.544.483.617.404.324.233.614.716.465.372.194.715.053.061.565.592.613.251.9811.66
0.260.260.280.260.250.280.270.270.260.250.250.250.240.260.260.250.250.260.250.240.240.310.300.290.290.320.300.300.300.310.300.310.300.360.310.310.290.300.280.260.160.300.280.290.330.360.340.350.340.360.220.230.340.360.340.280.310.390.330.320.180.18
11.5117.0814.849.469.0816.4911.2412.8613.7717.0417.9921.2417.6320.7218.3616.4719.8318.1319.3120.3423.1211.978.5310.9415.0923.558.758.5411.0512.669.3711.7715.1517.5610.2313.5115.4022.5410.8911.5011.6514.739.2410.9414.2010.2811.2913.1722.5423.4318.2228.9123.3435.4519.7528.1420.0418.7610.3618.1423.9928.36
1.691.591.661.711.771.681.761.701.691.571.781.821.901.621.821.821.771.631.591.631.591.561.581.561.591.541.621.601.701.551.671.641.641.781.681.691.641.451.661.390.971.641.691.671.671.581.661.681.721.691.031.091.661.561.401.051.641.731.871.881.070.90
53.3556.7354.3752.5950.7653.6951.2352.9953.2657.5150.5349.4647.4355.6249.3349.4650.9155.1956.5755.0556.4757.5756.9157.8756.6658.5455.7056.1852.8657.8954.0354.9454.8150.6253.4653.3254.8761.9954.2964.8092.8454.8553.2353.7854.0257.1354.1453.6152.1853.2787.3682.3254.1857.7264.4685.9354.8452.0848.1247.7784.14100
2.635.274.004.083.295.133.743.814.213.894.623.483.794.183.642.011.370.862.021.311.061.90-0.852.330.393.351.741.191.101.891.280.940.872.341.461.511.231.471.351.440.822.521.222.192.485.813.143.232.703.833.282.771.724.073.972.030.914.021.612.080.714.27
3.426.815.215.334.386.594.854.955.565.186.204.725.255.594.992.811.951.242.861.891.542.14-0.962.620.443.801.991.371.272.191.501.101.032.751.731.791.461.751.621.730.993.041.482.683.438.144.554.774.075.825.144.432.826.786.643.361.135.032.062.660.925.56
1.212.451.801.831.482.481.801.811.991.762.081.531.631.721.490.820.550.330.800.510.400.87-0.391.100.191.610.820.590.550.930.640.510.481.300.850.870.730.850.790.840.481.460.711.281.202.671.461.471.221.701.451.230.741.691.690.860.492.150.851.040.362.05
2.635.274.004.013.244.983.623.674.043.704.383.273.553.883.371.841.250.701.761.120.911.42-0.631.740.292.471.270.930.851.471.010.800.742.091.361.401.161.381.261.340.772.341.132.012.124.982.652.712.213.172.692.271.533.633.581.820.813.551.401.800.613.58
9.309.919.109.109.189.778.898.899.0910.319.849.909.139.489.178.738.428.178.318.157.867.617.427.637.347.136.776.936.556.956.677.056.505.905.695.715.64-------------------------
-0.153.162.111.250.413.162.141.070.414.272.951.890.774.203.342.231.193.392.561.380.532.341.691.280.641.320.820.610.320.750.440.43-0.011.090.700.540.221.280.960.560.300.930.590.420.191.280.840.630.221.771.050.710.211.871.270.750.281.310.900.660.281.07
-0.442.301.520.830.132.321.470.690.323.822.641.580.543.803.062.091.152.942.100.970.271.581.121.010.420.08-0.070.210.07-0.02-0.13-0.01-0.280.340.040.110.030.550.330.180.130.01-0.130.12-0.020.620.280.25-0.010.890.370.19-0.101.330.810.440.170.900.520.390.140.70