Iron Mountain Financial Ratios for Analysis 2009-2024 | IRM

Fifteen years of historical annual and quarterly financial ratios and margins for Iron Mountain (IRM).

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
0.780.810.710.640.630.811.471.061.021.070.961.131.081.391.49
0.980.940.910.880.850.810.750.760.900.840.800.760.720.600.60
56.3516.6010.827.665.924.373.063.239.175.313.973.292.671.541.51
56.9857.1157.9857.6356.9957.5556.7155.3557.1156.8757.3957.4958.7058.7656.68
16.8220.5719.0222.5418.3319.1316.4914.2817.4417.6216.1818.4918.9518.9319.65
16.8220.5719.0222.5418.3319.1316.4914.2817.4417.6216.1818.4918.9518.9319.65
31.2935.1834.5339.2434.1634.6330.5427.5429.2329.2027.0629.2531.3032.6029.83
4.1512.3814.008.997.709.715.234.185.397.165.299.8811.7111.5612.45
3.3610.9110.028.266.278.384.422.994.1010.463.195.6913.12-1.997.86
0.310.320.310.290.310.360.350.370.470.480.450.470.500.450.41
---------------
4.354.344.674.835.014.994.605.085.335.164.905.255.555.524.74
83.9184.0378.1375.6372.8473.1579.3271.8568.4970.7474.4369.5365.8066.1777.01
88.4388.2852.8230.1818.3219.747.745.3623.6937.819.4315.7219.658.5410.73
-3.08-9.92-9.46-7.23-6.08-9.00-5.61-3.23-5.14-15.22-4.92-11.22-17.47-23.60-28.37
1.073.483.132.421.943.101.621.101.975.041.492.874.082.603.38
1.565.064.613.562.753.721.941.302.376.051.923.735.433.434.31
0.722.192.963.945.106.508.127.342.504.155.496.127.299.7610.60
3.793.172.613.423.363.262.702.202.552.402.642.473.143.093.02
-0.590.761.463.861.531.961.450.901.200.791.161.112.101.931.63

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
0.750.790.860.780.810.780.800.810.900.870.900.710.690.800.610.640.600.800.760.630.660.750.800.810.970.981.241.471.080.820.851.061.431.311.111.021.351.161.231.070.611.071.140.961.140.971.191.131.381.141.201.081.671.341.261.391.331.541.501.491.661.641.47
1.011.011.000.980.980.960.950.940.950.940.930.910.900.880.900.880.900.900.890.850.840.830.830.810.810.790.780.750.780.760.760.760.750.730.900.900.890.870.860.840.900.770.800.800.790.770.770.760.740.730.730.720.660.580.590.600.600.600.600.600.620.620.63
-130.67-97.4768156.3544.3827.0120.1016.6019.3115.4713.4910.829.377.739.297.669.619.407.865.925.705.134.824.374.253.933.613.063.683.473.333.233.002.779.649.178.356.636.245.319.393.364.133.973.753.603.413.292.882.792.722.671.941.421.481.541.531.501.501.511.611.661.74
56.4455.9555.7757.6557.3456.3656.5157.7857.5756.8556.2058.6957.3857.6258.2457.6158.0958.6056.3157.4457.7056.5356.2958.0157.7757.4456.9659.0956.6856.3854.5555.4554.4155.2356.5656.8857.4557.0557.0756.6857.1357.1856.4856.2358.8757.4457.0255.3158.5258.3857.7657.5060.1359.4557.6558.5859.0259.3458.1253.5857.9758.0956.18
16.1315.0116.6316.2517.1315.6518.3119.4022.2022.7817.8016.9416.0527.3215.7540.1423.1813.4112.8719.0921.0418.1015.0623.2318.4418.9915.7914.0618.3017.9215.7414.9314.3710.9317.3316.3816.9917.0519.3416.4418.0818.7217.2212.3618.5317.4416.4413.3420.5821.1019.0020.1517.6019.6318.4422.7114.6321.8017.0926.5418.6518.5116.76
16.1315.0116.6316.2517.1315.6518.3119.4022.2022.7817.8016.9416.0527.3215.7540.1423.1813.4112.8719.0921.0418.1015.0623.2318.4418.9915.7914.0618.3017.9215.7414.9314.3710.9317.3316.3816.9917.0519.3416.4418.0818.7217.2212.3618.5317.4416.4413.3420.5821.1019.0020.1517.6019.6318.4422.7114.6321.8017.0926.5418.6518.5116.76
---------------------------------------------------------------
-1.373.126.342.697.300.406.2611.1816.8517.064.157.308.5134.565.6622.945.060.266.984.9912.269.653.8914.498.6111.154.490.512.9310.497.255.003.06-0.449.982.203.548.087.701.637.1211.438.442.623.917.067.624.6511.3412.0211.5711.968.9212.8813.1316.507.7713.968.6719.2010.6913.588.09
-2.162.335.012.016.560.014.919.5714.9315.523.395.325.9924.584.2123.353.70-0.725.993.4910.148.662.8114.286.218.654.290.912.528.286.195.240.75-1.588.360.763.107.025.481.640.0134.525.416.100.513.502.603.267.065.067.414.324.8633.319.854.44-21.035.703.2910.805.6511.753.98
0.080.090.080.080.080.080.080.080.080.080.080.080.080.080.080.070.080.070.080.080.080.080.080.090.090.090.090.090.090.100.100.100.100.090.120.120.110.120.120.120.120.120.110.120.120.120.120.120.120.120.120.120.120.120.120.100.120.110.120.080.110.120.12
---------------------------------------------------------------
1.251.201.161.131.191.151.121.091.141.161.171.211.281.311.331.231.311.221.291.271.291.251.261.251.251.221.211.191.231.301.301.351.351.241.311.331.301.271.271.291.261.241.231.251.231.301.311.321.301.311.341.371.401.311.221.261.241.251.330.921.281.271.29
71.8674.7277.2879.8675.7078.3580.4182.6779.2877.9176.7174.6270.4368.5267.7972.9968.7573.8470.0270.9269.6471.9071.5271.8071.8973.5674.1775.8873.1569.2169.1266.5966.8472.3668.9067.5169.1970.6370.8769.9071.1872.8573.1772.2973.2469.3768.8468.0169.3568.4967.3265.9364.2468.5373.6171.5172.6672.1767.5397.5470.1871.0870.01
32.87-26.0841313.7934.800.2712.0119.7336.1430.975.507.176.9824.094.8621.714.11-0.695.772.537.165.571.738.183.994.482.020.461.364.483.092.570.27-0.6612.101.123.797.485.521.460.1821.024.064.580.502.501.632.284.143.314.813.782.943.274.003.301.402.311.203.422.114.481.48
0.51-0.53-1.20-0.48-1.52-0.02-1.14-2.22-3.36-3.49-0.71-1.28-1.44-5.99-0.96-5.20-0.800.15-1.41-0.84-2.50-2.16-0.73-3.73-1.91-2.34-1.25-0.34-0.71-2.43-1.77-1.55-0.190.51-2.52-0.24-1.02-2.39-1.91-0.59-0.03-15.15-2.10-2.39-0.30-1.63-1.13-1.63-3.63-2.73-4.27-3.36-5.23-9.04-9.80-9.13-3.48-5.80-2.97-9.05-4.82-9.41-2.64
-0.180.190.430.170.540.010.400.781.231.290.270.430.481.930.331.740.28-0.050.480.270.800.670.221.280.660.780.380.100.250.850.610.520.06-0.150.980.090.350.840.660.190.014.050.640.720.080.430.290.420.850.681.000.780.791.051.251.010.430.740.381.080.641.350.43
-0.260.270.610.240.770.010.571.131.791.900.380.630.702.790.492.560.40-0.070.660.381.110.920.301.540.770.920.440.120.301.050.750.620.07-0.181.160.110.420.990.770.230.024.870.800.930.110.580.380.541.080.891.311.041.011.371.631.330.560.930.481.380.811.700.54
-0.35-0.450.060.720.901.431.872.191.842.242.612.963.373.973.323.943.253.553.905.105.275.786.146.506.777.197.918.127.007.037.217.348.168.542.462.502.943.433.594.152.416.725.485.495.615.725.926.127.557.287.417.299.1810.1610.139.769.8110.4810.5810.6010.089.638.99
2.611.730.443.792.261.520.443.171.921.180.192.611.591.340.243.422.171.520.433.362.251.490.413.262.181.370.322.701.951.210.462.201.600.840.382.551.510.850.032.401.551.010.292.641.741.110.552.471.741.230.433.142.091.200.593.092.211.310.643.022.121.220.63
-1.37-0.88-0.83-0.59-0.85-0.41-0.350.760.280.38-0.351.460.891.04-0.223.861.510.860.101.530.680.38-0.241.961.030.61-0.081.451.070.620.180.900.680.180.001.200.560.19-0.320.790.220.13-0.181.160.690.300.061.110.790.620.122.101.360.710.331.931.360.720.261.631.070.570.28