CIMG Financial Ratios for Analysis 2010-2024 | IMG

Fifteen years of historical annual and quarterly financial ratios and margins for CIMG (IMG).

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
2023202220212020201920182017201620152014201320122012201120112010
1.326.3510.774.452.814.652.580.390.527.0511.101.071.57---
-0.000.010.020.040.040.15---------
0.020.010.010.030.060.050.23-1.77-4.81---1.00---
0.26-3.55-4.16-17.0316.454.8418.9910.3937.3417.78-27.02-----
-264.92-366.74-934.33-665.16-674.86-260.48-108.54-280.60-1,276.16-4,366.42-898.91-----
-264.92-366.74-934.33-665.16-674.86-260.48-108.54-280.60-1,276.16-4,366.42-898.91-----
-258.33-332.82-916.44-636.05-649.64-248.72-103.17-271.40-1,256.90-4,361.89-898.43-----
-261.27-379.45-962.91-678.78-681.03-257.00-109.08-279.98-1,277.45-4,369.62-898.28-----
-261.27-379.45-962.91-675.42-679.53-257.54-108.52-279.98-1,277.45-4,369.62-898.28-----
0.750.270.140.170.340.471.300.870.210.180.09-----
3.353.403.506.692.999.804.951.980.361.16-1.22----
5.719.013.477.173.329.5910.427.896.3213.790.80-----
63.9740.5310550.8811038.0735.0346.2557.7726.47456-----
-522.56-121.09-151.91-149.05-296.83-147.99-233.523021,177-908.51-93.55-457.20-233.58--114.29100.00
-559.30-122.86-151.91-149.05-296.83-149.05-238.893021,177-908.51-93.55-1,459.52-233.58-84.59-114.29-114.29
-197.02-100.74-134.99-116.50-232.64-119.68-141.61-244.14-271.46-790.43-85.18-95.35-84.61-84.59-100.00-100.00
-522.56-120.67-151.13-145.96-285.94-142.78-198.623021,177-908.51-93.55-457.20-233.58--114.29-114.29
2.2414.4123.9615.3310.576.392.30-1.51-0.471.183.240.220.20-0.18-
-9.46-13.49-15.14-10.68-11.10-6.60-4.56-3.92-5.07-5.94-3.61-0.99-0.300.00-0.390.00
-9.48-13.83-15.39-10.71-16.23-8.18-5.17-3.93-5.89-6.03-3.63-1.00-0.30--0.39-

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312013-01-312012-12-312012-10-312012-09-302012-07-312012-06-302012-04-302012-03-312012-01-312011-12-312011-10-312011-09-302011-07-312011-06-30
0.710.560.991.322.693.744.716.356.515.128.5510.7715.6311.017.804.455.002.083.512.815.592.066.104.654.623.993.202.581.921.490.800.390.360.400.390.520.810.815.777.055.574.8813.0111.102.73-0.11-0.271.07--0.28-------
----0.000.000.000.000.000.000.000.010.010.010.010.020.020.050.040.040.050.030.030.040.060.080.130.150.240.270.54-----------------------------
-1.15-0.510.020.020.010.010.010.010.010.010.010.010.010.010.030.030.040.090.070.060.060.040.040.050.090.120.180.230.750.8911.02-1.77-2.27-2.12-2.62-4.81-21.21-7.46------0.24---------------
-39.85-24.1412.95-9.362.074.696.65-7.18-10.810.141.51-34.9418.94-2.190.33-44.04-72.45-26.2622.53-17.4919.8533.0040.67-68.1236.2026.4333.038.0324.3013.4827.82-23.4446.7640.5834.6371.6522.8365.1113.4175.685.63---359.736.8632.04-47.84------------
-403.82-265.91-158.27-244.73-700.21-249.15-193.75-462.86-339.82-446.88-274.30-607.40-601.78-1,469.97-1,139.44-320.85-1,311.73-639.80-627.38261-1,605.92-380.53-732.55-434.10-233.53-188.11-180.11-168.50-138.67-96.50-60.21-133.37-245.59-664.89-688.66-1,387.77-1,218.18-2,606.19-735.03-3,736.60-1,040.03---2,374.40-614.79-1,092.50--490.05------------
-403.82-265.91-158.27-244.73-700.21-249.15-193.75-462.86-339.82-446.88-274.30-607.40-601.78-1,469.97-1,139.44-320.85-1,311.73-639.80-627.38261-1,605.92-380.53-732.55-434.10-233.53-188.11-180.11-168.50-138.67-96.50-60.21-133.37-245.59-664.89-688.66-1,387.77-1,218.18-2,606.19-735.03-3,736.60-1,040.03---2,374.40-614.79-1,092.50--490.05------------
------------------------------------------------------------
-325.01-273.03-158.69-233.14-703.78-251.91-192.12-521.94-340.29-450.82-275.12-722.96-601.34-1,469.73-1,138.27-379.15-1,323.73-640.89-628.38246-1,605.25-391.95-732.41-418.49-235.84-188.73-180.33-166.75-136.81-102.38-59.98-135.35-238.37-663.22-696.35-1,389.37-1,217.54-2,608.92-736.98-3,736.58-1,044.24---3,059.97-616.45-1,302.53--488.40------------
-392.54-273.03-158.69-221.19-755.66-251.91-192.12-521.94-340.29-450.82-275.12-722.96-601.34-1,469.73-1,138.27-376.77-1,324.44-633.02-626.36255-1,607.39-397.04-729.10-419.17-233.58-193.13-178.63-171.00-132.53-100.14-58.87-135.35-238.37-663.22-696.35-1,389.37-1,217.54-2,608.92-736.98-3,736.58-1,044.24---3,615.37-616.45-1,302.53--488.40------------
0.130.190.300.260.040.100.110.050.060.050.070.040.030.020.060.030.020.080.080.090.100.100.090.120.130.210.260.320.240.300.470.430.320.100.100.050.040.030.130.030.090.00-0.010.15---------------
0.550.620.941.650.210.610.970.681.261.132.611.140.961.752.011.591.201.670.621.151.620.890.744.610.470.950.801.400.530.901.011.340.340.130.160.040.110.050.420.061.040.00--0.69----1.19----------
0.991.521.202.331.241.851.741.741.351.111.280.871.591.592.351.392.841.201.050.911.634.013.262.561.922.201.462.602.621.762.873.8810.074.333.101.571.00-8.402.362.51--0.110.30---------------
91.2259.0775.0838.6572.7048.5751.7951.7266.7481.4270.2310356.4756.7638.3364.8331.6875.2885.4199.4455.0722.4427.6135.2246.8240.9461.6034.6234.3751.2231.3523.218.9420.7829.0457.2790.10-10.7238.1135.79--818301---------------
616288-217.81-161.98-45.31-33.11-27.51-32.19-25.88-30.79-22.82-28.69-21.89-39.28-76.61-16.11-37.42-75.25-69.6029.20-185.20-55.62-80.09-64.22-39.18-53.14-70.54-89.07-70.27-83.20-449.3071.671141071353181,283505-117.53-133.06-115.74-91.16-190.84-30.28-141.67-59.81-236-365.57--66.13-------
424247-243.07-173.37-46.63-33.82-27.98-32.66-28.19-33.53-22.82-28.69-21.89-39.28-76.61-16.11-37.42-75.25-69.6029.20-185.83-56.00-80.52-64.67-39.60-53.80-71.88-91.12-78.11-93.82-1,404.1471.671141071353181,283505-117.53-133.06-115.74-91.16-190.84-30.28-141.67-59.81-236-1,167.00--66.13-------
-43.39-51.41-46.99-61.07-30.15-24.75-21.73-26.78-21.26-24.50-19.67-25.49-20.06-35.11-65.72-12.59-29.66-50.65-52.1422.89-155.10-40.87-67.62-51.93-31.17-40.56-46.48-54.02-33.46-31.22-28.06-57.99-77.22-67.44-69.02-73.43-50.30-74.32-99.30-115.77-95.30-72.67-176.35-27.57-90.08--476.39--652.30-76.24---169.97-------
616288-217.81-161.98-45.27-33.07-27.44-32.07-25.79-30.66-22.72-28.54-21.77-39.05-75.64-15.78-36.53-71.12-66.5028.13-176.04-53.74-77.90-61.95-36.88-48.97-61.53-75.76-53.33-61.09-207.1371.671141071353181,283505-117.53-133.06-115.74-91.16-190.84-30.28-141.67-59.81-236-365.57--66.13-------
-0.08-0.440.772.245.367.7311.5814.4118.2819.7323.6023.9627.5030.4018.0615.3316.468.5312.5610.5713.056.748.496.394.533.922.662.301.651.500.26-1.51-1.03-1.15-0.79-0.47-0.11-0.310.951.181.862.552.663.240.58--0.37--0.150.22---0.31-------
-2.74-2.31-2.00-9.46-5.98-5.19-2.83-13.49-10.28-7.94-3.07-15.14-10.21-6.69-4.03-10.68-7.62-5.69-3.80-11.10-7.69-3.46-1.96-6.60-5.14-3.56-1.54-4.56-3.44-2.17-1.13-3.92-3.12-1.89-0.91-5.07-4.50-2.98-1.07-5.94-4.51-2.83-1.42-3.61-2.54-1.69-0.68-1.34-0.51-0.990.00-0.230.000.00-0.290.00-0.160.000.000.00
-2.93-2.55-2.26-9.48-6.02-5.22-2.85-13.83-10.67-8.26-3.07-15.39-10.49-6.97-4.17-10.71-7.38-5.74-3.83-16.23-10.87-6.32-2.30-8.18-6.24-4.52-1.66-5.17-3.88-2.60-1.57-3.93-3.13-1.90-0.92-5.89-4.84-3.02-1.07-6.03-4.53-2.84-1.43-3.63-2.54-1.69-0.68-1.34-0.51-1.00--0.240.00--0.29--0.16---