Immersion Financial Ratios for Analysis 2009-2024 | IMMR

Fifteen years of historical annual and quarterly financial ratios and margins for Immersion (IMMR).

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
8.938.949.228.479.058.852.524.474.545.615.035.866.296.785.91
---------------
---------------
100.00100.0099.7599.4599.5399.8099.4499.6599.2799.1399.0396.3195.9090.6870.10
52.8563.4950.667.29-59.6647.85-129.73-26.747.4411.277.59-20.91-6.13-15.51-109.85
52.8563.4950.667.29-59.6647.85-129.73-26.747.4411.277.59-20.91-6.13-15.51-109.85
53.0563.8650.9413.63-53.5548.62-126.96-25.149.0512.348.99-18.73-2.32-8.02-100.99
12770.1149.2710.37-54.4449.32-127.98-25.427.0211.947.74-20.39-5.47-14.64-105.20
10079.7335.5817.73-55.7548.97-129.35-68.994.517.7984.59-22.37-11.20-19.04-102.00
0.160.200.200.320.290.760.670.550.600.540.430.670.410.380.32
-----------8.432.977.154.14
15.1431.1417.8113.7310.6210643.4441.3152.2617.5279.3817.1320.6038.199.28
24.1211.7220.4926.5834.373.468.408.846.9820.834.6021.3117.729.5639.34
18.5619.448.848.44-23.9354.53-469.00-72.333.305.3849.78-25.10-6.76-11.28-51.77
18.5619.448.848.44-23.9354.53-486.32-72.813.315.4050.01-25.42-9.29-14.66-64.35
15.7516.137.115.62-16.0537.22-87.14-38.582.714.2336.31-15.31-4.67-7.49-32.85
18.5619.448.848.44-23.9354.53-469.00-72.333.305.3849.78-25.10-6.76-11.28-51.77
5.814.894.112.372.673.230.331.913.062.762.821.071.851.901.99
0.631.200.550.00-1.082.23-1.500.770.350.010.72-0.27-0.03-0.06-0.65
0.631.200.540.00-1.092.22-1.510.750.19-0.020.71-0.30-0.04-0.07-0.71

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
1.556.448.936.237.698.118.9410.507.637.529.2212.5512.5012.578.477.926.937.779.058.155.735.148.8510.169.359.802.523.553.094.084.475.774.054.414.543.833.452.725.614.373.583.015.033.993.652.655.864.505.305.346.297.447.377.096.787.526.655.855.915.685.946.69
0.30-------------------------------------------------------------
0.44-------------------------------------------------------------
58.96100.00100.00100.00100.00100.00100.00100.00100.00100.0099.9099.8999.6399.5999.7399.5898.9199.3099.5499.4299.5499.7199.7499.2998.4799.9699.4399.4999.2399.5399.3899.8099.2299.8199.3299.1899.2999.2999.0199.1499.1599.2299.3799.0298.7698.9395.6496.1896.7096.7595.5597.0496.3095.1595.0993.0291.0285.9079.3650.0565.4083.33
25.5537.8948.5268.7544.5846.0763.0878.0451.4349.3059.5351.2152.7434.8247.9434.03-18.68-72.694.17-12.00-104.71-224.50-32.63-60.37-135.0182.07-177.15-45.88-212.11-139.33-120.6138.45-121.58-33.837.788.9613.67-0.438.7714.120.9919.145.377.184.3912.22-20.36-41.14-35.673.34-20.82-16.04-16.6619.22-30.72-14.506.02-24.98-76.11-138.63-132.12-95.96
25.5537.8948.5268.7544.5846.0763.0878.0451.4349.3059.5351.2152.7434.8247.9434.03-18.68-72.694.17-12.00-104.71-224.50-32.63-60.37-135.0182.07-177.15-45.88-212.11-139.33-120.6138.45-121.58-33.837.788.9613.67-0.438.7714.120.9919.145.377.184.3912.22-20.36-41.14-35.673.34-20.82-16.04-16.6619.22-30.72-14.506.02-24.98-76.11-138.63-132.12-95.96
--------------------------------------------------------------
29.2856.3818641.8214113816161.27-24.9777.1352.8957.3153.1130.4153.4736.32-11.84-76.3310.90-12.23-98.63-212.83-28.19-54.00-128.9182.35-175.59-44.20-209.76-137.83-122.2740.97-121.16-32.276.538.3813.95-0.5810.5713.872.2119.095.277.554.6712.29-20.07-40.21-34.623.45-20.40-15.15-15.8819.85-29.78-13.436.76-24.16-74.27-133.95-131.05-85.54
29.1142.5515428.2610111721555.01-22.7969.4613.7152.5748.5128.4473.9537.59-12.56-77.168.54-13.06-98.59-215.07-28.91-54.26-126.2781.81-178.28-44.57-211.17-139.47-410.5026.68-70.65-19.786.871.299.83-0.367.478.901.4312.083105.284.5712.17-20.69-41.87-33.28-2.26-27.26-21.74-19.6014.21-36.29-17.312.12-27.34-61.69-136.72-132.76-81.40
0.080.180.050.050.030.040.050.080.050.040.060.040.080.050.110.090.070.060.090.080.060.030.070.060.040.550.130.200.100.110.090.190.080.130.160.130.140.140.140.120.100.130.110.130.120.160.180.110.090.120.100.080.080.120.080.080.100.110.080.070.070.07
0.11-------------------------------------------3.101.952.740.760.530.590.810.330.550.940.771.761.452.130.721.440.630.30
0.717.274.633.712.984.077.424.194.153.524.951.723.783.524.935.563.171.123.395.701.763.4010.346.795.9932.038.561.832.114.836.728.104.712.8513.669.5214.758.564.514.038.7820.0720.1838.5811.694.154.725.092.363.275.178.345.149.047.847.714.314.222.322.691.601.85
12812.3719.4324.2830.2022.0912.1321.4821.6825.6018.1952.3323.8025.5718.2616.1828.4180.3626.5715.8051.1326.448.7013.2615.032.8110.5249.1542.7018.6313.3811.1119.1231.546.599.456.1010.5119.9622.3510.254.484.462.337.7021.7019.0817.6738.1927.5117.4010.7917.509.9511.4711.6720.9021.3138.7333.4256.3748.73
4.929.268.731.584.134.9912.495.38-1.303.540.952.884.781.9312.645.29-1.43-7.131.17-1.64-10.30-12.11-3.15-4.62-7.6166.38-127.31-26.64-61.95-34.22-68.937.65-7.40-3.061.310.221.95-0.081.331.390.212.4046.361.020.833.39-6.26-6.73-4.64-0.41-4.06-2.47-2.312.41-4.30-2.220.27-5.00-7.66-15.21-13.48-8.64
6.619.268.731.584.134.9912.495.38-1.303.540.952.884.781.9312.645.29-1.43-7.131.17-1.64-10.30-12.11-3.15-4.83-7.9569.56-132.01-27.12-62.90-34.56-69.397.69-7.43-3.071.320.222.05-0.081.331.390.212.4146.581.441.185.05-6.34-10.31-6.64-0.57-5.58-3.25-3.003.10-5.58-2.860.35-6.33-9.52-18.51-15.92-10.02
1.767.627.411.313.474.2010.364.50-1.052.810.762.353.761.498.413.27-0.83-4.490.78-1.09-6.38-7.42-2.15-3.16-5.1444.99-23.65-8.85-20.97-15.46-36.765.10-6.13-2.561.080.171.40-0.051.041.030.151.5533.830.710.561.97-3.82-4.43-3.17-0.28-2.81-1.74-1.611.64-2.85-1.480.18-3.12-4.86-9.74-9.02-6.07
3.429.268.731.584.134.9912.495.38-1.303.540.952.884.781.9312.645.29-1.43-7.131.17-1.64-10.30-12.11-3.15-4.62-7.6166.38-127.31-26.64-61.95-34.22-68.937.65-7.40-3.061.310.221.95-0.081.331.390.212.4046.361.020.833.39-6.26-6.73-4.64-0.41-4.06-2.47-2.312.41-4.30-2.220.27-5.00-7.66-15.21-13.48-8.64
13.336.345.815.335.275.084.894.404.174.274.113.963.593.412.372.011.852.292.672.662.642.883.233.263.313.470.330.680.821.291.913.182.903.053.062.982.912.802.762.762.802.742.822.061.961.791.071.621.781.881.851.982.001.981.901.941.951.911.992.122.402.70
-1.720.950.630.390.270.111.200.960.550.320.550.330.290.150.00-0.11-0.17-0.04-1.08-0.97-0.76-0.242.232.452.682.82-1.50-1.44-0.97-0.490.770.94-0.40-0.210.350.420.580.770.010.110.330.560.720.500.490.67-0.27-0.05-0.030.06-0.030.080.110.16-0.06-0.040.010.01-0.65-0.47-0.33-0.14
-1.750.950.630.390.270.111.200.960.550.320.540.330.290.150.00-0.11-0.17-0.04-1.09-0.97-0.76-0.242.222.452.682.82-1.51-1.44-0.97-0.500.750.93-0.40-0.210.190.270.460.74-0.020.080.310.550.710.490.490.67-0.30-0.08-0.070.03-0.040.070.110.16-0.07-0.050.000.00-0.71-0.52-0.38-0.16