Inspired Entertainment Financial Ratios for Analysis 2014-2024 | INSE

Fifteen years of historical annual and quarterly financial ratios and margins for Inspired Entertainment (INSE).

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
20232022202120202019201820172016201520152014
1.511.691.521.151.080.911.030.760.12-15.01
1.361.441.541.521.281.231.023.78---
-4.06-3.26-2.87-2.93-4.61-5.38-53.18-1.39---
60.4666.8766.1869.2975.0378.2278.2382.96-81.01-
12.3516.34-2.19-9.08-8.47-5.16-9.71-1.07--0.99-
12.3516.34-2.19-9.08-8.47-5.16-9.71-1.07--0.99-
25.8831.7523.7120.2219.5624.4017.8828.16-29.88-
3.908.06-20.51-28.44-26.739.55-39.93-49.74--46.42-
2.357.32-19.73-28.64-26.799.41-40.08-49.99--46.91-
0.950.980.670.610.470.680.560.63---
3.953.084.493.462.045.925.332.66---
7.966.976.517.216.349.895.997.28---
45.8852.3756.0450.6257.5836.9160.9750.12---
-9.74-24.0737.3555.8569.31-54.292,10920.22-70.52--
-5.06-13.2321.5629.4127.38-17.5083.7516.91-70.52--
2.237.17-13.15-17.53-12.556.40-22.42-31.54-4.39--
3.4710.66-20.08-28.98-19.4612.45-43.23-56.26-70.52--
-2.97-3.30-4.11-4.53-2.67-1.17-0.11-25.091.66-1.88
1.560.850.102.021.401.521.001.59-0.312.210.00
-0.08-0.25-0.721.020.15-0.39-0.94-1.13-0.31-1.30-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302014-12-31
1.511.551.531.511.711.631.721.691.761.771.591.521.150.821.021.151.101.011.051.081.131.221.371.161.120.680.720.67-0.981.08-0.76-----
1.311.351.381.361.341.371.431.441.241.261.301.541.641.921.611.521.511.521.301.281.311.211.111.161.111.041.051.10-1.020.94-3.78-----
-4.56-4.07-3.88-4.06-3.92-3.68-3.31-3.26-5.12-4.93-4.32-2.87-2.57-2.10-2.65-2.93-3.11-3.20-4.76-4.61-4.46-6.28-10.00-7.17-10.54-25.77-25.66-12.30--61.0416.67--1.39-----
70.0067.2067.6764.2950.6763.6066.5664.4967.1268.2367.9945.0776.1674.2276.7558.3276.5482.0571.8972.8973.6876.4079.2378.6281.4678.3273.08--71.9279.7581.84-83.8984.80---
15.2612.43-2.2211.4512.5117.387.0915.1420.6217.3111.443.9119.20-23.37-53.51-7.2513.64-89.10-13.77-3.16-21.43-16.85-2.08-7.75-10.394.34-2.27100.00--2.18-7.61-34.28-0.132.215.44---
15.2612.43-2.2211.4512.5117.387.0915.1420.6217.3111.443.9119.20-23.37-53.51-7.2513.64-89.10-13.77-3.16-21.43-16.85-2.08-7.75-10.394.34-2.27---2.18-7.61-34.28-0.132.215.44---
--------------------------------------
5.643.70-12.522.715.548.31-2.476.7912.539.362.65-10.3332.60-104.82-76.32-30.160.83-167.31-18.36-25.45-31.58-39.70-15.13-15.21-33.43-10.84-1.11-13.13--26.06-32.39-82.60-48.69-46.11-43.73---
4.362.65-9.030.003.497.05-2.164.5712.409.082.49-7.9832.22-105.54-73.25-30.300.83-167.95-18.74-25.45-31.95-40.07-14.84-15.39-33.43-10.84-1.33-13.24--25.79-32.50-82.79-48.77-46.31-44.40---
0.200.230.190.240.320.240.220.270.260.230.180.210.260.150.080.220.190.050.160.200.150.140.180.160.170.180.180.15-0.150.14-0.32-----
0.740.820.640.901.210.620.630.900.970.880.672.261.270.750.311.660.830.150.900.961.371.131.581.291.271.251.651.36-1.990.85-1.44-----
1.651.801.682.003.342.041.971.902.702.401.792.022.331.861.092.562.080.841.622.742.422.502.392.662.492.082.582.48-2.151.29-3.64-----
54.4649.8853.4945.0026.9544.2145.6247.4733.3637.5350.1544.5138.6248.3682.8935.2143.2810755.5832.8037.2236.0737.7333.8036.1543.3134.8236.36-41.8469.77-24.70-----
-4.34-2.587.020.00-4.69-6.971.62-4.09-18.18-11.21-2.134.69-20.6828.8714.8620.94-0.5328.5416.4728.5026.7347.3537.8125.7295.2080.189.50--401-128.96-9.87-----
-2.16-1.313.740.00-2.39-3.660.89-2.25-6.92-4.35-0.892.71-11.8817.978.1611.03-0.2815.016.8311.2610.9815.187.936.9518.596.900.80--14.4919.44-8.26-----
0.870.61-1.720.001.121.69-0.481.223.212.130.45-1.658.23-15.30-5.55-6.570.16-8.64-2.97-5.16-4.85-5.70-2.66-2.53-5.72-1.94-0.23---3.91-4.53--15.39-----
1.360.91-2.660.001.602.60-0.701.814.432.860.64-2.5213.25-26.50-9.05-10.870.27-14.79-4.93-8.00-8.42-9.75-4.21-4.18-10.02-3.25-0.45---7.70-8.23--27.47-----
-2.95-2.91-3.06-2.97-2.77-3.06-3.29-3.30-1.95-2.16-2.62-4.11-5.31-6.74-4.97-4.53-4.24-4.10-2.66-2.67-1.43-1.02-0.60-0.88-0.60-0.24-0.25-0.49--0.100.35--25.09-----
0.85-0.070.131.561.481.120.410.851.100.370.090.100.27-0.57-0.092.021.350.460.501.401.010.890.400.041.650.860.32-0.010.000.21-0.60-0.710.000.920.430.000.000.00
0.13-0.54-0.14-0.080.410.590.12-0.250.24-0.22-0.19-0.72-0.43-1.11-0.301.020.41-0.240.000.150.270.450.15-0.28-0.08-0.16-0.02-0.34--1.22-1.60-1.32--1.22-1.17---