Intrusion Financial Ratios for Analysis 2009-2024 | INTZ

Fifteen years of historical annual and quarterly financial ratios and margins for Intrusion (INTZ).

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
0.080.411.628.552.601.140.620.540.501.271.230.830.880.550.84
0.000.000.150.010.012.30-4.60-6.46-6.471.972.1717.3312.77-0.43323
-1.17-2.560.340.040.02-1.82-0.83-0.91-0.97-2.21-1.98-1.21-1.19-0.30-1.00
77.6055.4550.2459.0760.8462.5658.8564.2262.9364.9364.1059.5861.5463.1466.22
-214.69-216.27-268.01-98.5533.0424.10-10.92-23.06-16.74-3.069.84-1.94-14.013.945.08
-214.69-216.27-268.01-98.5533.0424.10-10.92-23.06-16.74-3.069.84-1.94-14.013.945.08
-176.28-187.46-257.29-95.0634.3825.39-7.91-18.24-12.270.2111.760.37-11.975.306.73
-247.57-215.55-258.38-98.4732.7322.26-0.44-25.43-18.30-3.808.13-3.67-17.454.043.78
-247.57-215.55-258.38-99.6731.7120.90-2.46-27.71-20.34-5.756.16-5.94-20.271.610.65
0.900.810.790.332.002.534.734.785.153.123.174.934.735.584.35
------18848.5156.2221114554141133.77237
15.4114.217.045.378.715.227.138.1911.779.809.397.0811.1425.1714.02
23.6825.6951.8667.9941.9069.8751.1744.5631.0237.2638.8751.5632.7614.5026.04
145385-479.76-41.62261-78.730.5629.5933.1310.30-21.746.9226.93-8.16-6.26
145385-479.77-41.62126-215.350.8545.6264.8233.54-72.4415.8663.95-29.66-19.23
-222.33-174.98-203.64-32.7865.3356.21-2.07-121.53-94.26-11.8525.78-18.10-82.5722.5516.46
145386-409.45-41.061252804.78340484-32.5084.53-258.95-752.42-42.486,200
-5.34-3.984.1017.985.25-1.60-5.48-5.34-3.06-1.31-1.41-2.55-2.44-1.29-1.65
-6.41-13.32-18.40-7.055.593.420.42-1.95-1.010.922.02-0.46-2.591.82-0.73
-7.60-14.82-19.59-7.495.253.150.39-2.03-1.210.831.85-0.46-2.641.75-0.82

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
0.720.850.140.080.060.060.090.410.780.871.201.622.232.755.498.551.452.222.572.602.391.461.271.140.840.640.830.620.550.420.610.540.470.540.640.500.490.650.491.270.700.500.491.230.640.550.540.830.410.430.320.880.350.270.340.550.570.490.500.840.240.240.21
--0.000.00-0.030.000.000.002.462.090.650.150.080.010.020.010.160.120.000.010.010.020.912.30-21.16-2.41-27.55-4.60-3.65-2.62-13.76-6.46-3.61-3.41-10.92-6.47-0.12-0.24-0.231.97-0.20-0.15-0.182.17-0.07-0.08-0.0717.33-0.08-0.05-0.0512.77-0.03---0.43---323---
0.540.21-1.72-1.17-1.04-1.12-1.29-2.56-20.61-5.944.570.340.180.020.050.040.530.270.020.020.020.0511.38-1.82-0.98-0.73-0.98-0.83-0.80-0.75-0.96-0.91-0.83-0.83-1.15-0.97-1.30-1.88-1.86-2.21-2.37-1.86-1.81-1.98-1.60-1.38-1.39-1.21-0.18-1.17-0.10-1.19-1.15--0.48-0.30-1.48-0.76-1.31-1.00-0.72--0.43
77.1376.0380.0278.7777.9377.5276.0962.6054.6155.4950.7919.5648.3862.6066.2558.3258.9460.6658.3861.0062.0560.4559.7663.0163.7160.9162.3558.0756.1459.0462.6064.0961.7666.7364.3363.3363.2762.2063.1364.6465.1765.8763.8667.3660.0064.9864.2764.5558.2759.5756.0161.8960.8861.9961.7161.1962.3364.3763.9165.9065.2866.4967.76
-135.51-139.25-218.57-174.82-183.45-198.98-308.94-312.74-174.36-192.47-217.11-233.29-335.79-288.32-210.80-248.64-88.60-43.14-26.2411.3937.9543.9630.7730.0424.7722.0317.6311.67-18.53-24.63-19.31-21.15-15.30-22.18-33.95-31.83-26.101.06-16.63-5.875.760.22-14.8712.0810.4811.434.95-8.234.3112.21-23.25-2.428.09-43.16-38.20-31.2410.348.6514.1426.207.745.03-36.21
-135.51-139.25-218.57-174.82-183.45-198.98-308.94-312.74-174.36-192.47-217.11-233.29-335.79-288.32-210.80-248.64-88.60-43.14-26.2411.3937.9543.9630.7730.0424.7722.0317.6311.67-18.53-24.63-19.31-21.15-15.30-22.18-33.95-31.83-26.101.06-16.63-5.875.760.22-14.8712.0810.4811.434.95-8.234.3112.21-23.25-2.428.09-43.16-38.20-31.2410.348.6514.1426.207.745.03-36.21
---------------------------------------------------------------
-136.30-141.58-151.72-206.22-218.73-213.15-361.65-359.70-133.03-197.52-220.93-233.96-335.18-252.60-210.75-248.51-88.73-43.20-25.9111.5137.9343.7329.6828.5323.1520.0115.299.1733.85-28.39-22.51-24.20-17.55-24.39-36.00-33.78-27.84-0.19-18.09-7.217.24-1.22-16.9410.238.769.893.21-10.302.5910.88-25.18-12.386.75-44.29-38.58-32.2012.877.8713.2924.956.303.87-37.62
-136.30-141.58-151.72-206.22-218.73-213.15-361.65-359.70-133.03-197.52-220.93-233.96-335.18-252.60-210.75-248.51-89.55-45.20-27.7410.1537.0242.8628.6127.4321.8418.5313.707.5431.76-30.65-24.76-26.61-19.75-26.59-38.32-36.13-30.09-1.89-20.07-9.165.52-3.10-19.268.166.848.061.13-12.780.498.93-27.90-15.014.63-47.85-42.13-34.6510.465.4010.8822.513.270.85-42.29
0.200.200.200.220.310.310.250.160.150.160.160.180.140.140.110.080.330.280.290.380.570.630.700.731.061.121.281.431.191.221.321.101.280.970.951.120.680.650.880.770.681.010.890.760.770.990.791.101.291.271.141.281.631.451.300.941.581.601.391.341.961.951.33
---------------------------58.2024.5314.0412.9611.2411.739.9611.9812.1347.5065.1752.6752.7558.9232.4230.3231.5841.5830.2552.9210615515812311018.956.666.545.9720.4821.0816.2974.0025.5972.1717.25
1.632.064.423.753.266.962.792.722.391.601.561.591.741.181.421.281.541.551.741.641.431.492.141.512.392.221.822.161.913.162.981.892.712.842.032.572.511.372.422.432.001.761.562.251.121.771.111.583.091.882.573.013.713.632.234.233.385.203.514.334.434.474.28
55.2943.6420.3723.9827.5912.9432.3133.0337.6156.3757.5856.5451.8576.5963.4270.1958.3858.0251.7454.8063.0560.5642.0859.4337.7240.5749.4741.5947.1528.5230.1947.5933.1831.7044.2635.0635.9065.6837.1837.0645.0051.2157.8239.9680.4350.8481.3456.9529.1647.7534.9629.8824.2624.7840.3421.3026.5917.3225.6220.8020.3320.1321.03
32.1434.4016.4329.4827.8430.3253.60123539219-311.37-98.26-89.97-62.00-32.20-25.09-112.36-99.03-33.1017.28103-8,370.98-53.75-29.26-16.27-10.54-6.98-3.57-10.297.226.266.505.738.4112.9413.3413.170.1410.804.85-5.650.789.22-6.56-5.64-6.31-1.654.33-1.39-6.059.325.17-3.5413.2012.7510.91-8.26-4.61-7.42-12.75-2.36-1.468.93
-79.86-70.1214729.4827.8430.3253.60123539219-311.37-98.26-89.97-62.00-32.20-25.09-112.36-28.96-14.758.3244.7796.491,169-80.04-31.64-17.86-11.12-5.44-15.4510.379.3210.029.1914.0323.0426.1030.060.3930.1915.79-19.322.2726.57-21.86-16.34-16.49-3.929.93-3.34-14.1419.9012.27-8.5529.9735.0839.63-44.91-19.58-27.46-39.19-5.87-3.5422.07
-27.65-27.64-29.94-45.09-68.02-66.90-90.90-56.00-20.31-32.41-35.51-41.71-47.72-35.77-23.20-19.76-29.45-12.04-7.594.3321.6427.4020.8520.8924.6122.3319.6013.1540.31-34.54-29.75-26.70-22.47-23.57-34.24-37.96-18.90-0.13-15.95-5.584.89-1.23-15.107.786.729.822.54-11.333.3313.86-28.81-15.8410.98-64.01-50.06-30.1420.3212.5818.4333.5412.347.55-50.16
-79.86-70.1214729.4928.7830.3353.63124-788.11-238.28-108.16-83.86-82.43-61.29-31.65-24.75-94.31-25.36-14.708.2844.3494.2699.68104-701.14-60.85-317.43-30.46-71.9037.5313874.7842.3661.8227519533.670.4837.26-15.30-23.152.6131.4325.51-17.46-17.86-4.19-162.11-3.63-14.8320.88-144.35-8.7929.9735.0856.77-44.91-19.58-27.4612,633-5.87-3.5422.07
0.340.54-0.60-5.17-9.37-9.20-8.31-3.98-0.52-1.881.344.107.219.0613.7617.981.683.584.575.254.832.690.12-1.60-2.97-4.08-4.78-5.48-5.75-6.60-5.88-5.34-4.78-4.33-3.70-3.06-2.28-1.62-1.63-1.31-1.22-1.56-1.64-1.41-1.74-2.04-2.39-2.55-2.38-2.48-2.96-2.44-2.37-2.66-1.94-1.29-0.77-1.05-1.27-1.65-2.30-2.41-2.51
-0.93-0.93-0.60-6.41-4.14-3.06-2.19-13.32-9.64-7.36-3.63-18.40-14.27-7.46-4.09-7.05-3.28-1.49-0.215.593.822.941.033.422.401.68-0.280.420.390.41-0.65-1.95-0.95-0.05-1.25-1.010.450.13-0.660.921.11-0.60-0.812.020.931.040.17-0.460.33-0.210.09-2.59-2.15-1.99-1.251.820.761.150.30-0.73-1.37-1.18-0.91
-1.09-1.09-0.83-7.60-5.04-3.73-2.48-14.82-10.76-7.85-3.80-19.59-15.44-8.38-4.31-7.49-3.49-1.58-0.275.253.582.720.903.152.171.58-0.330.390.370.40-0.67-2.03-1.02-0.10-1.25-1.210.270.02-0.730.831.11-0.69-0.811.850.850.980.15-0.460.30-0.230.08-2.64-2.19-2.00-1.251.750.691.090.26-0.82-1.39-1.18-0.91