Intevac Financial Ratios for Analysis 2009-2024 | IVAC

Fifteen years of historical annual and quarterly financial ratios and margins for Intevac (IVAC).

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
4.105.476.845.234.403.193.142.783.624.336.365.485.345.193.01
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38.4142.1918.3443.0037.5334.3740.4637.9535.0126.6031.5640.9536.6843.2941.96
-25.15-46.17-58.34-17.043.60-4.434.30-9.44-11.63-29.53-25.60-50.98-37.0515.42-22.25
-25.15-46.17-58.34-17.043.60-4.434.30-9.44-11.63-29.53-25.60-50.98-37.0515.42-22.25
-24.69-44.92-50.29-10.886.570.287.76-3.24-5.09-21.35-17.82-21.96-28.8218.32-15.11
-20.48-43.14-58.36-16.744.14-3.784.63-8.97-11.46-29.01-25.01-50.44-36.2815.81-20.64
-23.15-47.7569.102.031.053.773.65-9.29-12.20-41.87-22.54-66.31-26.4813.85-12.92
0.340.210.240.410.860.780.980.740.770.550.470.480.370.800.38
0.740.695.431.372.732.041.992.002.602.502.091.882.915.562.37
2.832.262.701.823.803.435.514.596.115.424.634.214.477.821.74
12916113520195.9410666.2279.4859.7867.3078.8286.7381.6546.70209
-10.92-13.57-17.20-10.281.204.004.98-10.16-12.06-27.83-12.11-38.78-11.4513.53-5.88
-11.01-13.69-17.20-10.281.204.045.07-10.48-12.58-28.99-12.59-40.45-13.1515.42-6.30
-8.06-9.68-14.61-8.200.912.933.58-6.87-9.38-22.82-10.59-32.07-9.7311.14-4.95
-10.92-13.57-17.20-10.281.204.004.98-10.16-12.06-27.83-12.11-38.78-11.4513.53-5.88
4.384.835.444.254.103.953.793.503.734.245.456.088.309.197.76
-1.34-0.300.010.370.21-0.07-0.100.180.03-0.11-0.38-0.84-0.712.23-0.75
-1.55-0.37-0.040.260.04-0.22-0.290.03-0.11-0.27-0.44-0.99-0.941.93-0.87

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
6.413.874.014.103.873.595.275.473.173.374.696.845.175.456.385.235.544.944.804.403.403.533.443.192.893.023.053.142.882.823.072.782.612.834.293.624.865.325.474.334.956.377.936.364.684.475.765.485.574.864.615.344.804.535.005.195.622.642.353.014.133.946.37
---------------------------------------------------------------
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24.7638.1943.6546.0139.0724.9540.8944.2845.4948.2116.273.6241.8918.7423.1037.7343.1339.6043.2946.5333.3837.4529.1633.4838.4637.4027.1239.7642.2737.0442.9341.1037.7541.0728.2240.7226.6738.1634.8113.6232.6335.4128.2737.6436.0722.5527.0742.0334.0544.8439.4134.3038.9136.7536.6240.3145.7842.3243.6844.6345.3036.6434.65
-6.15-22.52-46.16-14.80-7.97-52.93-38.59-29.02-29.41-25.75-172.91-42.53-47.90-117.51-60.2456.87-0.697.29-5.8420.55-1.65-4.16-8.056.12-5.610.25-28.490.614.744.326.889.95-1.44-25.52-46.22-14.04-20.521.38-14.78-27.80-27.68-35.65-27.765.70-15.60-41.16-69.50-136.64-65.40-2.13-40.17-45.54-41.78-16.90-54.620.0923.7921.094.1212.01-19.38-67.11-76.97
-6.15-22.52-46.16-14.80-7.97-52.93-38.59-29.02-29.41-25.75-172.91-42.53-47.90-117.51-60.2456.87-0.697.29-5.8420.55-1.65-4.16-8.056.12-5.610.25-28.490.614.744.326.889.95-1.44-25.52-46.22-14.04-20.521.38-14.78-27.80-27.68-35.65-27.765.70-15.60-41.16-69.50-136.64-65.40-2.13-40.17-45.54-41.78-16.90-54.620.0923.7921.094.1212.01-19.38-67.11-76.97
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-4.25-17.29-23.10-10.66-4.62-46.62-32.77-25.79-25.57-22.35-173.09-43.04-47.59-117.14-59.9357.20-0.657.51-5.0820.93-1.17-3.43-7.416.62-4.660.76-27.681.044.854.737.2410.60-1.17-24.94-45.95-13.81-20.401.32-14.38-27.64-26.91-34.84-27.335.77-14.45-40.62-68.89-136.40-65.45-1.98-38.02-44.48-41.06-16.28-53.881.1823.6621.195.3013.39-18.75-65.25-73.48
-7.62-22.46-16.68-14.29-8.80-47.35-33.71-28.12-30.10-30.28-176.72273-52.93-114.10-70.40-6.50-1.665.28-6.5014.68-1.83-5.30-9.6331.62-5.65-0.64-28.57-0.174.603.556.029.78-2.13-23.39-46.14-15.40-20.410.06-14.55-75.32-24.12-34.03-26.578.39-14.36-37.76-63.66-243.98-47.56-4.70-18.26-33.30-31.65-9.49-40.353.0520.3917.984.315.77-9.36-36.43-46.90
0.210.090.060.080.120.070.070.070.060.060.030.100.070.050.08-0.130.170.230.150.280.210.180.200.260.170.230.160.220.230.270.280.270.210.150.150.170.180.190.180.160.110.110.120.140.120.100.080.100.080.140.080.080.080.110.070.140.270.280.150.170.100.070.07
0.680.200.120.160.250.170.160.210.320.410.422.650.210.210.35-0.490.520.780.390.760.590.430.580.690.350.490.370.440.470.730.720.690.520.390.480.520.860.680.680.860.430.420.590.560.470.510.370.390.450.890.530.680.600.910.511.041.320.930.620.990.460.400.47
1.970.830.380.690.640.510.530.710.960.310.261.120.590.370.51-0.600.931.000.821.241.061.221.241.141.031.060.971.211.201.161.401.661.190.892.631.331.361.801.721.581.571.591.121.371.190.971.260.881.021.230.881.001.191.050.991.401.921.081.010.761.560.721.34
45.6610923513014117717112693.4929334580.63152241178-150.6096.9190.3611072.6785.1673.8872.4979.0087.0885.1592.6574.3975.1377.4264.0654.1875.8610134.2767.5666.2549.9952.3357.0757.3256.6780.6965.8575.8792.9671.7010288.3673.4510289.5975.8886.0090.7164.4946.7783.4289.0811857.8512567.40
-1.93-2.90-2.35-1.64-1.40-4.20-3.45-2.62-2.59-2.06-6.14-5.42-4.57-6.67-5.73-10.22-0.361.56-1.285.43-0.54-1.34-2.6911.14-1.39-0.21-6.54-0.051.511.412.393.87-0.69-5.07-8.78-3.32-4.410.01-3.05-14.56-3.15-4.15-3.601.33-2.13-4.93-6.07-29.91-4.35-0.78-1.66-3.24-3.10-1.30-3.470.536.446.570.821.15-1.07-2.67-3.41
-1.95-2.92-2.37-1.66-1.41-4.24-3.48-2.65-2.60-2.06-6.14-5.42-4.57-6.67-5.73-10.22-0.361.56-1.285.43-0.54-1.35-2.7111.25-1.40-0.22-6.66-0.051.541.442.453.99-0.71-5.28-9.15-3.47-4.580.01-3.17-15.17-3.27-4.31-3.601.38-2.22-5.15-6.34-31.19-5.01-0.90-1.90-3.72-3.55-1.48-3.960.616.816.990.881.24-1.14-2.87-3.67
-1.59-2.12-1.72-1.21-1.06-3.13-2.48-1.87-1.90-1.56-4.90-4.61-3.71-5.42-4.73-8.16-0.291.22-0.994.12-0.39-0.95-1.918.18-0.96-0.15-4.61-0.041.050.971.682.62-0.46-3.54-7.08-2.59-3.620.01-2.58-11.94-2.68-3.65-3.221.16-1.70-3.89-5.04-24.73-3.72-0.66-1.38-2.75-2.62-1.08-2.940.445.505.090.640.97-0.96-2.39-3.20
-1.93-2.90-2.35-1.64-1.40-4.20-3.45-2.62-2.59-2.06-6.14-5.42-4.57-6.67-5.73-10.22-0.361.56-1.285.43-0.54-1.34-2.6911.14-1.39-0.21-6.54-0.051.511.412.393.87-0.69-5.07-8.78-3.32-4.410.01-3.05-14.56-3.15-4.15-3.601.33-2.13-4.93-6.07-29.91-4.35-0.78-1.66-3.24-3.10-1.30-3.470.536.446.570.821.15-1.07-2.67-3.41
4.174.184.324.384.414.454.664.834.894.935.025.443.643.734.034.254.154.134.074.103.843.843.883.953.483.483.513.793.743.593.573.503.343.293.483.733.904.034.164.244.865.115.255.455.375.475.726.087.858.11-8.30---9.19---7.76---
0.01-0.02-0.25-1.34-1.56-1.28-0.92-0.300.15-0.45-0.160.010.000.140.110.370.330.150.050.21-0.050.040.04-0.070.09-0.19-0.18-0.10-0.08-0.17-0.090.18-0.15-0.21-0.120.03-0.010.01-0.09-0.11-0.08-0.11-0.19-0.38-0.35-0.170.02-0.84-0.62-0.45-0.25-0.71-0.44-0.51-0.332.231.740.001.02-0.75-0.39-0.44-0.14
-0.06-0.08-0.27-1.55-1.74-1.45-1.07-0.370.09-0.49-0.19-0.04-0.030.120.100.260.230.070.000.04-0.19-0.020.03-0.22-0.01-0.25-0.21-0.29-0.23-0.28-0.150.03-0.27-0.31-0.18-0.11-0.11-0.05-0.13-0.27-0.18-0.20-0.25-0.44-0.38-0.210.00-0.99-0.71-0.52-0.29-0.94-0.63-0.68-0.451.931.50-0.100.98-0.87-0.48-0.51-0.17