Identiv Financial Ratios for Analysis 2009-2024 | INVE

Fifteen years of historical annual and quarterly financial ratios and margins for Identiv (INVE).

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
2.583.213.491.291.341.432.111.402.523.141.351.001.651.321.28
----0.010.050.110.500.260.110.190.110.070.110.17
---0.620.450.490.583.280.390.210.270.150.090.150.24
36.2336.2635.7238.7543.7642.6636.8042.2538.0841.1844.9644.2345.4444.0346.82
-4.34-0.29-1.30-3.97-0.13-2.39-7.69-19.98-59.02-16.54-31.58-47.35-11.26-11.62-32.57
-4.34-0.29-1.30-3.97-0.13-2.39-7.69-19.98-59.02-16.54-31.58-47.35-11.26-11.62-32.57
-1.961.720.750.584.272.39-1.27-12.18-52.29-10.25-25.24-39.54-4.07-6.09-28.44
-4.58-0.261.59-5.79-0.99-5.82-13.89-24.16-64.15-22.56-33.54-48.58-12.72-12.60-39.00
-5.80-1.420.45-7.13-2.62-7.09-13.51-24.38-64.39-21.90-46.93-69.56-12.56-11.25-34.32
1.061.101.071.101.131.181.171.381.140.951.260.690.540.670.64
2.582.493.352.622.923.293.422.802.565.164.555.304.574.494.08
5.304.555.204.594.565.234.905.967.685.975.595.235.725.525.89
68.9080.2570.2279.4880.0369.8474.4461.2847.5261.1565.3069.8263.8466.0761.96
-7.39-0.522.17-14.93-3.25-13.96-34.18-348.41-276.39-39.94-100.89-59.28-8.63-13.02-38.38
-9.18-0.652.80-31.20-7.61-35.01-41.83726-567.17-64.53-448.25-221.88-443.22876241
-5.00-0.381.68-6.49-1.55-7.09-15.87-33.75-73.38-21.45-42.48-28.02-5.78-8.25-22.55
-7.39-0.522.17-14.93-3.21-13.23-30.36-173.02-205.68-35.65-82.14-52.72-8.03-11.65-31.77
3.193.333.351.892.092.111.650.351.324.343.328.1616.6216.5315.09
0.05-0.340.06-0.100.03-0.33-0.58-0.57-2.13-1.36-0.37-2.16-0.91-2.18-2.69
-0.14-0.52-0.04-0.190.01-0.42-0.65-0.62-2.16-1.51-0.68-2.70-1.23-2.35-2.07

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
8.732.462.672.582.572.532.773.213.133.333.573.493.562.681.241.291.281.271.301.341.371.331.311.431.591.491.342.111.751.801.361.401.281.251.312.523.162.943.273.143.531.971.851.350.910.860.881.000.940.981.041.651.732.081.381.321.081.131.111.281.741.852.85
-----------------0.01-0.010.020.030.040.050.070.080.180.110.170.180.430.500.510.530.420.260.150.120.110.110.090.190.190.190.180.120.120.110.140.120.070.070.080.080.100.110.110.110.110.170.150.14-
------------0.000.010.700.620.730.750.550.450.460.440.410.490.550.630.850.580.900.802.503.281.211.300.840.390.180.150.230.210.120.280.280.270.290.170.170.150.190.170.090.090.110.110.140.150.140.140.150.240.200.19-
3.649.1137.3144.6611.2414.2235.4336.4836.1036.6535.7833.0238.2136.8434.7134.5639.7640.3741.3939.7545.7144.4444.5947.8342.3740.1739.3829.7137.9838.3042.5442.6444.4739.1042.4022.1643.7442.6440.7441.5443.4740.0439.1744.8647.6544.2642.3339.0342.3640.2441.2140.7544.2239.8841.8442.5443.6346.4843.9040.3550.0852.6140.99
-146.25-99.69-18.656.44-28.29-28.99-10.511.381.77-0.94-4.07-6.597.08-1.28-5.51-1.313.94-11.79-10.20-9.165.443.63-2.205.13-0.77-5.20-10.57-12.53-2.48-8.27-7.06-0.85-0.94-19.48-66.66-133.15-38.50-49.44-27.72-28.30-11.14-9.02-20.26-29.37-59.38-10.27-22.09-2.96-35.70-181.43-31.66-8.30-9.86-12.24-9.11-1.66-10.97-7.83-35.77-57.95-11.89-16.93-60.87
-146.25-99.69-18.656.44-28.29-28.99-10.511.381.77-0.94-4.07-6.597.08-1.28-5.51-1.313.94-11.79-10.20-9.165.443.63-2.205.13-0.77-5.20-10.57-12.53-2.48-8.27-7.06-0.85-0.94-19.48-66.66-133.15-38.50-49.44-27.72-28.30-11.14-9.02-20.26-29.37-59.38-10.27-22.09-2.96-35.70-181.43-31.66-8.30-9.86-12.24-9.11-1.66-10.97-7.83-35.77-57.95-11.89-16.93-60.87
---------------------------------------------------------------
-137.31-102.77-20.176.65-31.09-30.07-10.361.391.64-0.71-4.00-6.978.8010.40-6.41-2.921.60-14.08-11.12-9.405.102.23-3.643.12-1.23-13.33-13.68-27.73-6.97-12.84-5.94-6.63-4.09-23.00-71.00-145.13-41.34-52.09-32.08-32.34-16.70-12.00-33.18-31.02-59.87-11.75-26.91-3.53-37.38-184.82-32.00-9.15-14.45-12.58-8.50-1.68-10.10-10.02-39.32-73.59-14.12-21.43-61.07
1,316-92.21-21.37-3.81-0.19-9.97-11.66-0.910.69-0.90-5.18-9.778.7310.28-7.89-6.131.56-14.39-12.79-10.993.500.71-5.50-0.95-1.43-13.53-13.95-27.27-6.69-12.83-5.13-7.26-4.78-21.99-71.49-145.71-41.65-52.51-31.76-32.00-16.94-11.73-30.43-15.47-115.80-15.92-29.970.67-34.49-152.46-29.37-9.48-13.78-6.08-8.31-2.80-9.87-3.25-39.44-70.89-16.78-4.45-59.03
0.040.070.220.610.110.100.250.280.310.290.260.300.290.230.280.320.300.240.250.260.300.290.270.320.330.310.270.320.310.290.340.360.360.300.270.240.240.190.190.230.260.350.260.330.250.180.160.250.230.230.130.190.180.170.180.220.170.200.140.180.180.150.14
0.590.540.502.740.350.320.550.640.790.790.790.960.830.690.750.800.730.610.670.710.900.910.870.820.960.950.871.050.710.730.610.720.710.590.470.690.640.720.891.221.471.320.991.180.990.860.882.131.221.441.201.791.481.481.111.511.411.571.291.321.010.680.54
1.351.811.269.070.450.501.231.171.311.331.291.431.511.351.171.311.221.060.901.031.201.271.261.421.421.451.321.351.451.401.521.551.701.501.471.651.641.201.551.421.901.711.301.451.161.261.051.921.721.731.572.061.791.691.741.811.511.891.651.691.341.051.00
66.8049.6171.269.9219918073.1777.0468.4967.6969.8663.0059.5866.5776.8068.5973.8284.6899.5487.1275.2871.0771.2663.1863.5161.9768.1666.7762.0664.5059.1257.9452.9860.0061.2354.4754.7775.0957.9363.2147.4252.7169.1062.1777.3271.5185.6746.8552.4751.9057.1843.7650.2353.2951.6149.7059.6547.7354.4053.2067.3186.1289.86
-5.95-10.64-6.505.85-4.89-4.65-3.690.450.70-0.34-1.35-2.583.333.35-4.44-2.041.15-8.46-6.14-5.142.911.17-2.341.87-0.96-9.14-9.42-19.02-6.56-11.77-13.54-27.16-18.11-74.66-139.49-134.31-22.97-21.27-11.52-13.47-7.34-11.52-24.17-23.27-49.82-4.82-9.310.95-19.55-75.36-6.81-2.87-3.90-1.57-2.30-1.29-2.90-1.49-8.88-22.37-5.02-1.27-12.87
-5.95-10.64-8.145.84-6.09-5.82-4.660.570.89-0.44-1.74-3.324.294.38-9.51-4.272.51-20.24-14.75-12.046.732.97-6.574.69-1.90-18.82-27.65-23.28-9.38-17.1714856.6035.591161,736-275.62-45.43-36.07-19.52-21.77-11.11-56.70-123.36-103.3917318.6637.113.5466.5725844.35-147.25-95.03-32.2388887.0323.4716.8399.84141-157.77-18.82-13.12
-5.27-7.08-4.483.96-3.28-3.09-2.580.330.51-0.26-1.05-1.992.572.33-1.87-0.890.48-3.50-2.77-2.451.400.55-1.140.95-0.47-4.22-3.72-8.83-2.07-3.74-1.71-2.63-1.70-6.65-19.35-35.66-10.14-9.87-6.13-7.24-4.37-4.20-8.86-9.80-15.14-2.16-4.120.45-8.44-37.36-4.10-1.92-2.64-1.06-1.50-0.82-1.80-0.98-5.80-13.15-3.21-0.82-8.45
-5.95-10.64-6.505.84-4.89-4.65-3.690.450.70-0.34-1.35-2.583.333.35-4.44-2.041.15-8.33-6.14-5.082.841.13-2.241.77-0.89-8.45-7.73-16.90-5.43-9.66-7.72-13.48-8.93-35.21-80.59-99.95-19.61-18.73-10.21-12.02-6.67-9.34-19.55-18.95-40.69-4.25-8.200.84-16.86-66.23-6.34-2.67-3.58-1.44-2.07-1.16-2.59-1.33-7.89-18.52-4.28-1.09-12.87
6.572.773.013.193.233.213.253.333.293.283.313.353.443.331.821.891.891.821.912.092.182.122.112.111.941.961.611.651.111.150.450.350.370.360.601.322.903.483.904.344.992.872.983.323.496.927.378.167.308.7016.3616.6217.4618.1717.0516.5316.8116.4017.3015.0918.3419.1614.94
-0.40-0.10-0.060.05-0.16-0.14-0.21-0.34-0.13-0.040.000.060.00-0.10-0.02-0.10-0.29-0.24-0.210.030.080.140.09-0.33-0.19-0.170.03-0.58-0.35-0.21-0.07-0.57-0.56-0.58-0.65-2.13-1.55-0.81-0.27-1.36-1.10-0.83-0.53-0.37-0.31-0.55-0.14-2.14-1.23-1.51-0.41-0.85-0.96-1.09-0.04-2.18-1.28-1.65-1.08-2.69-1.93-1.780.26
-0.44-0.11-0.07-0.14-0.29-0.25-0.26-0.52-0.26-0.11-0.02-0.04-0.07-0.16-0.08-0.19-0.34-0.27-0.220.010.070.130.08-0.42-0.23-0.180.03-0.65-0.40-0.23-0.07-0.62-0.60-0.61-0.68-2.16-1.60-0.85-0.29-1.51-1.24-0.90-0.56-0.68-0.52-0.70-0.23-2.68-1.52-1.77-0.66-1.15-1.12-1.22-0.12-2.35-1.43-1.77-1.16-2.07-1.21-1.770.29