Ingles Markets Financial Ratios for Analysis 2009-2024 | IMKTA

Fifteen years of historical annual and quarterly financial ratios and margins for Ingles Markets (IMKTA).

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
2.882.511.881.452.011.911.821.731.681.651.731.391.341.331.84
0.270.310.370.420.560.590.630.650.670.710.690.630.660.640.67
0.380.450.600.741.291.451.721.862.072.452.221.831.982.002.13
23.8424.9326.1325.9924.3223.9524.0724.3623.6422.0322.1422.0722.2422.5022.86
4.966.647.026.093.623.053.203.393.683.223.363.333.323.233.44
4.966.647.026.093.623.053.203.393.683.223.363.333.323.233.44
6.938.719.378.626.305.815.976.206.415.765.905.775.715.735.89
4.736.366.575.102.541.962.112.232.502.080.701.811.701.441.38
3.584.805.013.871.942.381.351.431.571.340.561.171.090.910.86
2.382.472.472.432.252.242.312.252.282.322.242.262.212.212.14
9.099.319.459.308.508.368.708.358.529.088.838.799.159.179.23
54.7858.4552.4656.6758.4058.4260.3561.4757.0162.8962.3860.4462.7963.8764.50
6.666.246.966.446.256.256.055.946.405.805.856.045.815.725.66
14.4521.6525.4021.8012.3116.3510.5411.5313.8413.445.069.509.047.547.02
14.4521.6525.4021.8012.3116.3510.5411.5313.8413.445.069.509.047.547.02
8.5211.8812.379.404.375.343.113.213.593.101.252.652.412.011.84
10.5715.0416.0612.715.436.723.914.054.553.931.593.503.122.722.30
76.8166.3151.7740.4432.7129.3925.2323.2121.1718.8918.0418.8517.6816.7216.24
11.3014.3512.2613.308.026.115.905.985.724.864.193.752.703.472.84
4.099.417.348.842.230.501.170.832.011.461.49-1.280.080.96-1.02

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
2.993.203.222.882.862.922.672.512.442.442.111.881.371.691.561.451.391.892.052.012.061.941.921.911.961.811.811.821.631.791.871.731.831.861.901.681.811.831.971.651.871.891.941.731.871.481.501.391.461.361.601.341.261.261.241.331.411.601.671.841.831.25
0.250.260.260.270.280.280.290.310.320.330.350.370.390.430.390.420.460.530.550.560.570.570.590.590.600.610.610.630.630.640.650.650.660.670.680.670.680.690.710.710.670.680.690.690.700.640.650.630.640.650.660.660.650.650.620.640.640.660.660.670.670.64
0.350.360.370.380.390.410.430.450.480.520.560.600.990.770.670.741.071.191.251.291.321.371.431.451.531.591.611.721.761.801.871.861.962.022.112.072.212.292.462.452.102.152.222.222.341.891.971.831.891.902.021.982.022.081.882.002.022.082.102.132.161.97
23.6623.5423.5523.3323.5823.6124.8525.1224.1325.3125.1925.5626.4226.2126.3927.1027.3025.4623.8824.1924.3824.3924.3424.2023.5723.8924.1323.9824.0924.1124.1224.6524.3324.7423.7223.9323.4923.8923.2722.8421.9921.7521.5322.1622.5521.5822.2722.0522.4421.8321.9722.3322.1022.3622.1722.7723.0022.2122.0322.2723.1722.95
3.173.284.034.524.694.186.416.676.496.906.507.397.876.276.427.337.695.533.573.594.083.073.723.362.882.393.543.773.012.653.273.323.333.583.333.873.293.673.893.733.412.932.773.323.523.013.583.493.782.703.313.343.823.063.043.233.812.922.942.734.093.20
3.173.284.034.524.694.186.416.676.496.906.507.397.876.276.427.337.695.533.573.594.083.073.723.362.882.393.543.773.012.653.273.323.333.583.333.873.293.673.893.733.412.932.773.323.523.013.583.493.782.703.313.343.823.063.043.233.812.922.942.734.093.20
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3.043.123.884.334.463.916.156.426.216.616.227.007.415.815.946.386.924.662.132.553.001.922.652.291.781.242.502.721.931.492.192.162.212.432.132.592.232.472.702.612.301.781.612.15-2.721.381.982.062.261.101.781.802.241.381.351.492.101.041.120.820.921.54
2.282.332.933.323.372.944.654.834.654.984.765.375.634.414.524.835.283.521.641.942.211.502.091.742.370.944.451.781.170.971.411.471.321.551.361.701.461.561.561.821.411.101.011.64-1.540.881.241.331.420.741.151.201.400.890.880.911.340.670.720.520.570.98
0.550.550.600.640.600.590.640.630.660.650.670.660.570.610.620.630.590.580.570.580.580.540.570.580.570.550.570.630.580.560.570.570.570.550.560.580.570.550.580.580.590.570.570.570.560.560.560.610.570.550.570.570.570.550.580.560.570.550.560.550.550.55
2.202.182.262.462.272.222.412.372.642.592.672.552.472.262.352.382.432.712.212.182.182.072.142.162.182.092.132.372.152.062.112.112.122.042.132.142.162.072.192.262.262.222.212.242.162.192.122.372.252.282.392.342.322.292.352.312.322.312.322.372.262.22
13.9912.4912.6914.7314.2214.2612.3614.9514.6714.0513.5114.0514.1713.3411.7914.7115.4513.9214.2814.9613.6513.6114.5015.1314.0313.3514.1816.4215.5014.8912.1815.5913.2013.1111.8014.3813.8414.2213.3715.8214.9914.6015.6215.8315.5814.2315.2216.2716.1515.7113.0916.1015.1315.7014.5416.13-16.2013.9316.47-17.29
6.437.207.096.116.336.317.286.026.136.416.666.416.356.757.636.125.836.466.306.026.596.616.215.956.416.746.355.485.816.047.395.776.826.867.636.266.506.336.735.696.006.175.765.685.786.325.925.535.575.736.885.595.955.736.195.58-5.566.465.46-5.20
2.042.092.903.613.432.985.245.575.706.126.327.307.876.176.177.068.215.712.603.163.642.403.603.104.221.668.163.792.331.882.883.022.763.192.963.783.313.533.814.603.192.472.293.79-3.621.782.592.902.921.482.432.542.991.831.831.902.801.391.501.081.191.96
2.042.092.903.613.432.985.245.575.706.126.327.307.876.176.177.068.215.712.603.163.642.403.603.104.221.668.163.792.331.882.883.022.763.192.963.783.313.533.814.603.192.472.293.79-3.621.782.592.902.921.482.432.542.991.831.831.902.801.391.501.081.191.96
1.251.281.762.132.001.732.963.063.063.233.193.553.202.702.793.053.122.050.931.121.280.811.191.011.350.522.551.120.680.540.800.840.750.850.770.980.830.860.901.060.840.630.580.93-0.870.490.700.810.810.410.660.680.800.480.510.510.760.370.400.280.310.54
1.531.562.142.642.482.133.713.873.884.084.104.614.803.543.744.124.442.671.171.391.581.021.501.271.680.653.161.410.870.681.011.060.941.070.961.251.041.081.111.351.040.790.721.19-1.100.640.911.071.040.520.820.881.050.640.690.691.000.480.510.350.390.71
81.8180.3178.7376.8174.0971.6169.7466.3162.5959.0155.1651.7748.1444.5443.0440.4437.7234.8433.5332.7131.8630.9030.3429.3928.6427.5927.2925.2324.4324.0223.7323.2122.6722.2021.6521.1720.5320.0119.4718.8919.0518.6018.3018.0417.5218.7218.3818.8518.4718.0917.9717.6817.3917.2217.0616.7216.7216.4016.3316.2416.1916.15
8.073.670.6611.307.504.002.4314.3511.076.574.0112.269.014.382.2013.308.706.660.628.025.494.102.416.114.082.571.425.904.032.470.655.983.902.170.245.723.782.19-0.184.862.311.580.304.193.391.27-0.153.752.392.070.212.702.061.340.573.472.171.640.102.841.601.37
2.16-0.37-2.004.091.770.20-0.049.418.045.193.117.344.741.780.928.845.984.70-0.372.231.120.81-0.280.50-0.44-0.79-0.731.170.710.29-0.400.83-0.13-0.49-1.282.011.080.57-1.191.460.04-0.03-0.661.490.540.16-0.93-1.28-1.65-0.82-1.570.080.310.15-0.140.960.400.72-0.36-1.02-1.89-1.47