Chipmos Technologies Financial Ratios for Analysis 2009-2024 | IMOS

Fifteen years of historical annual and quarterly financial ratios and margins for Chipmos Technologies (IMOS).

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
3.382.832.232.162.342.272.053.622.842.632.582.692.781.201.22
0.350.350.280.250.310.330.290.370.190.160.160.300.360.300.59
0.640.600.430.380.500.540.590.660.370.340.370.580.650.921.92
16.6220.8926.4721.8719.3018.5618.0419.8120.8023.7417.7613.439.123.34-29.13
8.9413.6820.3015.5012.0811.3612.4810.8713.0216.9312.457.212.93-12.17-42.55
8.9413.6820.3015.5012.0811.3612.4810.8713.0216.9312.457.212.93-12.17-42.55
31.3233.8837.2133.6430.4329.6328.6528.4428.2330.1429.4631.312.9324.3911.18
10.6217.1322.0312.9214.869.658.549.2514.1518.0612.994.790.4310.14-42.52
9.2114.6318.0210.3412.337.1715.597.624.887.568.723.75-0.0810.82-38.79
0.460.520.640.660.590.560.540.590.600.600.590.670.640.550.40
6.935.806.288.559.288.467.627.859.449.8410.499.8610.7912.9818.19
3.985.214.264.254.343.734.294.384.934.384.714.644.975.574.92
91.8070.0585.6885.9184.1097.8385.0883.3273.9983.3077.5478.6673.4865.5174.19
7.9513.9620.4511.4812.847.365.429.388.9712.737.204.510.6914.12-48.09
7.9513.9620.4511.4812.847.365.429.388.9712.737.204.560.6914.22-48.62
4.267.6511.616.787.314.002.954.875.707.954.552.510.366.08-15.07
5.159.0914.738.598.804.903.835.877.2410.636.063.170.449.83-19.89
22.2422.0523.9320.2917.9613.2816.2313.7729.4131.68-----
5.877.557.105.205.433.323.812.971457.378.707.240.0013.991.55
3.213.501.511.810.51-0.01-0.21-0.7227.282.994.373.16-8.24-0.88

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.072.943.553.383.202.633.362.833.181.963.032.232.192.212.372.163.022.183.452.402.462.572.572.292.242.482.042.132.382.093.323.642.623.252.852.842.862.793.102.633.022.582.722.582.692.352.602.692.392.662.522.782.751.241.371.201.081.121.081.221.161.240.90
0.330.330.340.350.350.350.350.350.310.270.270.280.260.230.260.250.300.300.370.300.310.320.330.330.350.290.290.290.320.320.340.370.320.290.230.190.190.210.200.160.180.120.120.160.170.240.260.300.300.340.340.360.370.230.310.300.380.440.530.590.550.590.49
0.640.620.620.640.620.620.620.600.480.390.360.430.450.370.410.380.460.470.620.460.490.500.550.540.580.450.580.580.630.700.640.660.550.490.430.370.380.400.370.340.350.290.290.370.410.550.510.580.610.660.650.650.690.670.830.921.171.301.791.921.812.141.90
13.9014.0314.2220.0015.9317.2812.3711.7215.4625.4224.9526.0427.3428.1624.1524.1619.2720.7222.7422.4921.3317.0714.9822.6919.4816.3714.5417.0317.1820.0417.9320.7720.2918.3420.0119.3617.8822.3823.2425.5125.8023.5719.7818.8522.1515.4213.9615.5618.6312.896.198.149.8310.237.576.4113.145.24-9.68-15.93-25.74-34.19-52.60
6.936.446.7012.418.739.584.033.527.5618.6418.3219.6721.3322.0517.9418.0912.6214.5416.0815.8514.559.237.1215.7412.729.256.387.399.079.9223.1010.9711.709.5111.279.8510.2314.6916.6520.7018.9815.5612.3314.7015.3312.457.425.0512.087.71-1.5513.93-1.774.991.51-98.25-35.6012.7712.36-29.54-32.82-41.01-95.39
6.936.446.7012.418.739.584.033.527.5618.6418.3219.6721.3322.0517.9418.0912.6214.5416.0815.8514.559.237.1215.7412.729.256.387.399.079.9223.1010.9711.709.5111.279.8510.2314.6916.6520.7018.9815.5612.3314.7015.3312.457.425.0512.087.71-1.5513.93-1.774.991.51-98.25-35.6012.7712.36-29.54-32.82-41.01-95.39
---------------------------------------------------------------
5.858.639.5810.2112.8613.664.97-1.1315.2423.1421.7324.2723.3921.7818.3314.019.4812.0916.0312.4513.5127.945.6913.7311.2910.641.235.136.538.6513.6616.596.428.707.0412.0014.6413.5416.0323.9520.6613.1314.7111.8414.4012.7612.745.1310.037.96-4.980.171.021.48-1.0533.651.401.155.96-16.10-36.08-44.25-98.51
4.937.768.089.7710.4011.554.391.0112.7919.2718.2119.0319.5318.3814.8311.097.4510.0412.788.7210.8725.984.3414.568.812.760.5439.813.647.1010.9811.285.346.957.86-2.2812.111.407.21-6.8917.208.449.523.488.688.838.234.837.246.23-3.900.663.14-0.06-2.6331.15-32.15-1.087.35-7.83-30.62-41.23-87.07
0.130.130.120.130.120.120.100.080.120.160.160.160.180.180.170.200.170.150.150.180.160.150.140.160.150.140.110.130.130.130.140.110.150.140.140.130.160.140.140.140.170.160.160.150.160.160.160.170.190.180.160.160.160.170.150.140.110.140.120.120.110.090.07
1.891.781.781.831.741.591.401.011.351.651.601.601.991.992.152.542.251.861.862.662.402.372.322.252.232.051.811.931.911.882.021.481.761.812.152.062.392.232.272.222.522.622.662.592.682.502.192.572.342.662.512.372.652.563.223.973.474.024.675.075.695.314.28
0.890.821.041.101.001.121.070.811.131.151.181.081.151.161.171.301.211.191.181.361.041.081.111.091.041.011.041.121.091.281.340.851.191.231.251.091.251.231.231.011.231.251.201.191.201.151.131.181.191.221.251.261.221.341.351.400.981.281.421.451.471.511.75
10110986.9382.1989.8380.2684.3111179.3478.0076.2783.2978.3477.6476.6369.2974.1075.9076.0666.1686.8483.5181.0982.5386.5988.6986.8280.7182.3970.2166.9710675.5272.9571.8682.4071.8073.2473.2489.0373.4372.2275.1175.7274.7077.9779.6876.5675.9073.7971.9571.5773.5467.2566.9164.3391.5970.4463.3261.9061.2359.4351.49
1.211.841.732.322.372.640.810.152.745.554.765.486.125.574.413.772.112.793.522.693.066.821.084.172.460.660.11-0.341.251.792.845.471.360.371.231.112.971.522.924.014.532.102.250.832.212.602.251.472.502.08-1.210.200.98-0.02-0.8410.07-9.08-0.412.71-2.98-10.53-13.99-19.93
1.211.841.732.322.372.640.810.152.745.554.765.486.125.574.413.772.112.793.522.693.066.821.084.172.460.660.11-0.341.251.792.845.471.360.371.231.112.971.522.924.014.532.102.250.832.212.602.251.492.522.09-1.220.200.98-0.02-0.8510.14-9.15-0.412.74-3.01-10.65-14.17-20.16
0.660.990.961.241.291.370.440.081.603.072.923.113.563.362.582.221.241.531.871.541.713.770.592.271.290.390.06-0.190.670.911.532.850.710.210.740.711.900.921.842.502.891.381.510.521.391.451.290.821.351.10-0.630.110.51-0.01-0.394.34-3.43-0.160.88-0.93-3.47-3.87-6.03
0.811.241.151.501.551.720.530.101.904.033.503.954.544.303.262.821.481.942.221.892.114.660.722.781.600.470.08-0.240.851.211.863.430.920.260.940.902.401.202.343.353.721.851.970.691.821.961.671.041.761.37-0.790.130.61-0.02-0.587.01-5.64-0.231.27-1.23-4.79-5.76-10.18
21.1820.8322.1122.2421.2721.3622.6622.0522.1822.2325.2723.9322.5522.7021.3020.2919.6518.02---------------------31.68-----------------------
3.281.971.425.873.812.941.597.556.505.073.147.105.253.651.955.203.952.550.005.430.000.000.003.320.000.000.003.810.000.000.002.970.000.000.001450.160.000.007.370.000.000.008.640.000.000.007.080.000.000.000.000.000.000.0013.540.000.000.001.300.000.000.00
0.160.320.353.211.841.590.633.503.222.091.241.511.220.670.531.811.180.59-0.51----0.01----0.21----0.72---27.280.01--2.99---4.34---3.09-------7.98----0.74---