Ituran Location And Control Financial Ratios for Analysis 2009-2024 | ITRN

Fifteen years of historical annual and quarterly financial ratios and margins for Ituran Location And Control (ITRN).

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
1.931.621.561.591.721.802.091.982.212.232.112.062.262.853.30
0.000.000.090.210.270.28------0.000.000.04
0.000.080.230.420.500.460.000.000.00-0.000.000.010.000.05
47.8746.9447.1947.0346.7350.2650.8851.1251.1853.3352.4849.3449.5149.0449.88
20.6120.0520.1611.338.1124.6224.0924.0523.1425.1922.2919.9321.5320.7320.09
20.6120.0520.1611.338.1124.6224.0924.0523.1425.1922.2919.9321.5320.7320.09
27.2026.9226.8419.0016.2930.3929.8629.8829.9531.8931.8129.6932.1731.4630.42
20.1318.0318.0811.828.3130.0923.6725.0823.8226.1222.3325.0722.3320.1421.40
15.0412.6612.656.562.4723.9518.6616.1014.2216.7113.9617.2716.7314.9414.99
1.001.010.920.790.820.681.091.121.241.201.061.021.020.800.65
6.215.455.275.755.834.448.096.806.716.995.585.177.438.865.48
7.056.406.176.246.204.675.725.896.406.515.825.746.334.744.87
51.7857.0759.1758.4658.9278.1863.7961.9457.0256.0362.7063.6057.6476.9474.88
27.9325.8426.8613.355.7139.4434.8032.1030.2634.7926.7627.0524.4516.30-
38.7239.2145.6724.7413.0510835.8233.1631.4736.5328.6130.5827.5518.3715.76
15.8013.5812.635.552.2916.9021.5519.5118.7121.6015.9216.8916.3611.439.79
27.8925.7824.4310.584.1828.3534.8032.1030.2634.7926.7627.0424.4116.2713.38
9.067.586.716.245.796.825.684.613.744.03-----
3.862.212.692.892.842.532.091.981.711.802.231.552.191.591.80
3.160.961.932.411.981.511.341.340.841.111.581.111.451.661.06

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.041.981.931.931.781.711.621.591.571.611.561.511.511.461.591.491.701.601.721.741.771.831.801.732.212.132.092.162.122.021.982.042.172.032.212.202.092.132.232.101.971.872.112.092.001.932.061.901.941.522.261.721.632.812.852.632.553.183.303.063.012.98
--0.000.000.000.000.00-0.030.050.090.110.130.170.210.240.260.260.270.260.260.270.280.31-----------------------0.000.000.000.000.000.000.040.000.050.050.040.040.050.050.05
0.000.000.000.010.030.060.080.110.140.180.230.260.280.340.420.480.530.520.500.480.460.450.460.500.000.000.000.000.000.000.000.000.000.000.000.000.00--0.000.000.010.000.010.000.010.000.010.010.010.010.010.000.050.000.060.060.050.050.050.050.06
46.9046.5149.3548.6247.3546.1747.8447.6446.1046.1548.0649.0446.1645.5246.3945.3851.8845.2946.5646.2047.0447.0648.0754.1350.1249.8750.4850.3952.5950.1052.3750.0551.7050.4050.9050.2150.7552.8654.4253.4753.2552.2255.8251.8150.9751.2049.3150.3249.0548.6850.1450.1448.5049.2548.6948.9549.5049.0752.9247.9549.5048.80
20.9120.0321.2120.8420.3920.0220.4220.1819.6719.9320.1521.1520.4118.9618.9717.48-9.1114.73-24.9817.2519.1018.3523.1525.7025.6324.6424.2222.9224.6924.6125.7721.9124.2724.3823.5222.3522.8523.8122.9526.0725.8425.7617.6325.4523.5722.6420.9720.0918.9119.7620.6222.4021.2421.8620.6520.4921.0020.8120.5020.2321.0918.39
20.9120.0321.2120.8420.3920.0220.4220.1819.6719.9320.1521.1520.4118.9618.9717.48-9.1114.73-24.9817.2519.1018.3523.1525.7025.6324.6424.2222.9224.6924.6125.7721.9124.2724.3823.5222.3522.8523.8122.9526.0725.8425.7617.6325.4523.5722.6420.9720.0918.9119.7620.6222.4021.2421.8620.6520.4921.0020.8120.5020.2321.0918.39
--------------------------------------------------------------
20.9720.1219.0920.7820.7919.8018.7019.2017.8016.3718.8316.9818.9517.4915.1322.11-6.2413.76-19.9616.0417.9616.8720.4854.5526.1325.0820.7923.3325.3125.4927.3822.6825.8324.5324.4923.6522.2524.8824.1028.7825.4826.0017.4725.3123.9222.7520.9520.5738.9919.7722.4722.3022.1222.4117.7021.5221.4520.2022.5418.0812.1033.61
15.4715.3315.4515.4415.0014.2912.7713.8511.9112.1113.6111.1313.5012.2610.7215.36-11.889.31-23.309.2710.8010.9514.3148.8120.8117.8816.2217.3718.2123.1718.3815.4515.5015.0414.1214.0613.2815.4116.1118.6615.8916.129.2816.4715.5914.6511.5414.2027.0113.5216.4015.8316.0016.0414.1715.3613.5613.7216.4314.458.5820.53
0.270.260.240.270.270.270.260.250.250.230.240.220.220.220.200.200.180.220.190.190.190.190.210.140.280.290.280.290.290.290.280.310.310.300.310.300.280.300.290.290.280.270.270.270.280.260.260.250.260.230.230.230.220.200.220.210.220.180.180.180.170.17
1.821.741.471.591.531.531.371.171.361.231.351.271.721.801.511.411.021.471.371.451.401.421.450.702.132.162.111.991.581.741.671.891.821.781.681.851.771.861.631.901.801.841.331.631.661.611.321.381.551.561.702.222.642.612.461.731.691.681.431.461.051.16
1.731.731.711.781.701.661.641.631.601.491.601.431.471.551.621.511.411.481.451.421.391.471.460.851.341.411.481.341.381.451.491.471.411.351.601.581.471.541.561.531.341.371.491.411.401.311.461.351.351.341.461.441.281.211.311.161.241.281.351.301.191.15
52.1452.1552.5050.5052.8154.3555.0255.1856.2160.2556.1862.9761.1957.9055.6659.7563.7660.9861.9663.4864.6961.3761.6910667.2063.6760.9367.2465.2962.2760.5261.1763.6366.5556.3957.0961.0358.5457.7958.7266.9965.9360.3064.0064.3968.8261.6666.4466.8067.3561.5662.6570.4974.4768.8377.4872.7570.1166.5569.2975.3378.04
7.707.456.907.737.797.556.607.196.646.247.545.767.24-5.68----10.93---7.31---7.748.609.04-9.21-8.33-7.04---7.42---4.24---4.79--5.875.761501341364.48143112115----
10.5210.229.5710.9911.2011.1610.0211.2210.649.9812.829.9112.5713.5510.5216.21-11.3513.02-24.9711.6612.7813.4120.1039.529.989.077.978.859.3212.079.518.818.638.707.327.656.878.677.799.488.028.374.538.058.067.325.426.7313.016.806.497.106.815.255.055.404.933.824.794.252.476.00
4.394.233.904.394.244.003.473.673.312.993.542.573.182.982.363.18-2.092.07-4.381.812.102.133.136.936.165.414.795.285.577.105.605.145.134.924.354.523.964.954.605.404.414.372.524.374.373.862.993.527.003.073.853.703.503.263.143.232.952.482.982.611.503.59
7.707.456.897.727.787.546.597.196.465.906.865.126.276.024.506.20-4.003.96-8.003.123.613.625.2610.969.698.817.748.609.0411.709.218.528.338.367.047.286.548.257.428.937.527.834.247.207.186.474.795.9011.375.865.756.205.914.504.474.474.093.294.073.562.034.91
------7.58---6.71---6.24---5.79-7.00-6.82---5.68---4.61---3.74---4.03-----------------------
1.730.573.862.781.740.862.211.440.870.342.691.911.360.442.892.091.440.512.842.021.480.702.531.650.590.362.091.390.820.151.981.290.720.261.711.350.930.421.801.460.840.462.231.620.990.421.551.120.780.192.191.611.140.481.591.140.670.361.801.200.610.37
1.420.423.162.281.430.720.960.560.190.051.931.401.060.322.411.741.180.361.981.380.990.381.510.940.430.051.340.890.510.021.340.870.490.160.840.660.340.111.090.950.560.331.581.030.730.311.110.910.610.151.450.990.630.211.660.470.250.121.060.690.340.25