Invacare Financial Ratios for Analysis 2009-2025 | IVCRQ

Fifteen years of historical annual and quarterly financial ratios and margins for Invacare (IVCRQ).

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
20222021202020192018201720162015201420132012201120102009
1.361.561.631.632.012.101.851.461.401.521.891.841.811.82
0.840.630.480.440.410.360.260.090.030.040.270.290.270.28
5.121.720.930.810.710.580.380.100.040.070.380.420.380.39
23.6527.4128.8328.2427.5327.8627.0827.3827.3527.5330.1531.9633.1629.13
-10.85-2.781.33-1.12-1.88-4.16-1.45-0.68-4.63-3.050.601.396.124.82
-10.85-2.781.33-1.12-1.88-4.16-1.45-0.68-4.63-3.050.601.396.124.82
-7.223.805.383.171.23-1.500.661.03-2.08-0.253.367.468.927.96
-13.21-4.48-2.87-4.74-3.51-6.85-2.82-1.03-4.98-3.260.08-0.841.682.79
-13.63-5.22-3.32-5.75-4.52-7.92-4.09-2.29-4.412.480.13-0.281.782.43
0.960.960.901.091.100.911.161.361.321.221.121.161.111.25
5.034.395.245.535.505.725.636.565.936.215.405.985.466.97
8.407.447.817.908.017.618.908.808.187.027.046.835.576.35
43.4349.0946.7546.1845.5447.9441.0041.4644.6252.0251.8153.4465.5857.47
-124.64-20.85-8.47-17.29-12.23-18.08-10.15-5.72-12.16-8.10-2.27-3.471.785.87
37.8727.8329.3458.3990.31930-130.81-37.71-64.69-37.22-16.16-31.2315.5968.82
-13.11-5.01-2.99-6.26-4.96-7.18-4.74-3.16-7.13-4.96-1.12-1.700.913.03
-20.49-7.76-4.44-9.62-7.17-11.52-7.54-5.21-11.76-7.74-1.66-2.451.304.23
2.136.249.709.1710.8312.8913.0214.2117.6020.9619.4619.6920.1821.69
-1.51-0.410.640.08-1.38-0.78-1.74-0.160.280.311.953.063.744.87
-1.61-0.910.00-0.24-1.68-1.20-2.050.31-0.03-0.101.332.383.214.34

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
2023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.461.361.321.391.501.561.641.571.601.631.631.411.271.631.761.901.972.012.052.102.102.102.282.271.821.851.981.961.991.461.441.471.381.401.401.561.551.521.661.701.731.891.991.951.891.841.871.831.871.811.821.791.891.821.952.041.86
0.810.840.830.720.660.630.610.570.550.480.480.430.390.440.440.440.420.410.400.390.370.360.350.360.270.260.250.250.250.090.090.090.040.030.040.080.070.040.080.150.150.270.290.300.290.290.300.260.260.270.280.310.290.280.330.380.42
5.095.124.882.561.991.721.581.371.280.930.940.940.900.810.800.790.740.710.680.650.580.580.550.560.370.380.340.340.330.100.100.100.050.040.040.090.070.070.080.180.180.380.410.430.420.420.430.360.360.380.390.450.400.390.490.640.78
26.4926.6418.4125.3923.7528.0026.9026.9327.8529.2728.3328.8628.8429.1828.6727.5927.5127.8926.8227.3628.0627.3028.1927.8428.1127.8627.3926.7626.3528.5327.3627.0026.6727.7726.4128.0127.1926.7527.9927.1428.2427.9230.2631.0631.1564.7228.7128.9328.7162.7230.0729.3629.2630.1430.2928.6227.25
-6.31-8.61-19.62-7.83-8.274.32-11.05-1.55-2.920.531.38-1.144.33-1.651.03-1.91-2.00-0.45-2.16-2.75-2.17-3.17-2.35-6.72-4.60-2.810.98-2.11-1.970.790.07-2.03-1.52-1.84-8.07-3.32-5.34-3.12-1.61-3.81-3.67-4.641.372.502.63-33.835.614.734.0212.676.775.123.965.065.824.883.41
-6.31-8.61-19.62-7.83-8.274.32-11.05-1.55-2.920.531.38-1.144.33-1.651.03-1.91-2.00-0.45-2.16-2.75-2.17-3.17-2.35-6.72-4.60-2.810.98-2.11-1.970.790.07-2.03-1.52-1.84-8.07-3.32-5.34-3.12-1.61-3.81-3.67-4.641.372.502.63-33.835.614.734.0212.676.775.123.965.065.824.883.41
---------------------------------------------------------
-24.32-11.40-19.62-11.12-11.381.57-9.33-4.24-6.20-2.76-2.47-8.081.30-7.17-2.01-4.51-5.34-0.22-3.36-5.51-4.96-6.23-6.03-9.14-6.12-5.08-0.22-3.50-2.640.21-0.28-2.27-1.74-2.64-8.23-3.54-5.54-3.24-1.78-4.02-3.98-4.920.831.842.05-36.563.761.772.33-3.054.780.561.323.234.102.561.12
-24.88-11.35-20.16-11.61-12.040.86-10.15-4.74-7.16-2.28-3.43-8.470.34-8.02-3.41-5.39-6.22-0.51-4.92-6.72-5.95-7.05-7.41-10.07-7.24-7.15-1.87-4.21-3.35-1.03-2.75-2.87-2.51-2.95-4.71-4.16-5.90-1.794.78-3.6110.61-2.230.79-0.532.32-26.742.802.291.744.713.57-0.140.773.933.101.860.60
0.220.240.220.230.230.250.240.230.210.240.220.220.250.270.280.270.250.280.250.240.220.230.240.230.270.270.280.280.260.340.330.320.330.330.310.300.280.290.310.310.290.260.290.300.270.100.330.340.330.120.350.350.320.330.320.300.31
1.171.181.151.021.041.131.081.141.071.371.040.941.311.371.371.381.241.381.261.311.291.491.251.101.151.311.331.371.321.601.401.361.401.481.451.431.341.511.451.441.271.281.141.181.140.271.611.761.670.331.681.781.641.821.651.631.60
2.002.052.122.071.881.931.931.871.962.061.942.081.971.982.031.951.882.022.091.961.841.971.961.851.862.102.111.841.812.181.971.811.752.051.851.721.621.691.741.661.651.621.431.451.370.601.741.701.670.601.701.701.591.681.651.531.49
45.1043.8142.4443.4447.7646.6946.6548.1745.8843.7746.3943.2245.5945.3744.3046.0647.8144.6442.9845.8448.8445.6446.0148.6448.2642.9242.5948.9649.8441.2345.7949.8651.3043.9148.7452.1855.7253.2051.6154.0954.6855.4062.8261.9165.8714951.7553.0153.8615053.0853.0456.4353.4954.5458.7260.48
-89.63-25.37-42.39-14.87-12.780.89-9.49-3.81-4.97-1.53-2.20-5.500.24-6.06-2.55-3.83-3.96-0.35-3.25-4.29-3.34-4.17-4.26-5.52-4.12-4.18-1.08-2.45-1.81-0.63-1.59-1.67-1.48-1.18-4.73-2.25-2.86-2.66-0.94-3.84-0.87-2.570.09-0.720.88-8.411.841.521.10-0.992.46-0.100.482.522.051.240.45
13.407.7113.3610.2012.79-1.1814.376.679.175.317.3516.79-0.7720.469.9317.8623.132.5624.2543.8978.35215-482.63-153.75-93.60-53.84-8.99-18.75-11.87-4.18-10.32-9.83-8.72-6.29-25.29-11.94-14.48-12.24-4.20-22.06-4.54-18.300.82-7.729.13-75.6037.2913.8210.31-8.7223.18-1.585.0129.4936.33110-9.85
-5.40-2.67-4.53-2.70-2.790.21-2.47-1.10-1.50-0.54-0.77-1.880.08-2.19-0.95-1.47-1.53-0.14-1.25-1.61-1.32-1.66-1.76-2.31-1.93-1.95-0.53-1.19-0.88-0.35-0.90-0.92-0.85-0.69-2.80-1.34-1.72-1.63-0.57-2.18-0.50-1.260.04-0.340.43-4.110.920.780.57-0.511.24-0.050.241.301.000.560.19
-17.09-4.17-7.28-4.22-4.310.33-3.72-1.65-2.21-0.80-1.15-3.130.15-3.37-1.42-2.15-2.29-0.20-1.94-2.62-2.12-2.66-2.75-3.55-3.03-3.10-0.81-1.84-1.37-0.58-1.45-1.52-1.42-1.14-4.55-2.07-2.67-2.54-0.87-3.26-0.74-1.880.07-0.500.62-5.941.291.120.81-0.731.77-0.070.341.811.380.770.26
1.212.132.144.145.406.246.848.028.129.709.608.788.849.179.379.8610.3710.8311.1411.5912.7612.8913.2712.9512.4313.0214.3414.5514.6214.2115.0815.1815.6717.6018.9220.0220.5220.9620.7919.9220.5319.4619.2618.7320.0219.6921.8322.0021.2420.1819.5818.1220.1821.6920.3519.2416.47
-0.80-1.51-1.24-0.75-0.78-0.41-1.04-1.01-0.390.640.02-0.10-0.290.08-0.14-0.59-0.68-1.38-1.47-1.39-0.73-0.78-1.60-1.52-0.93-1.74-1.51-1.65-1.19-0.16-1.09-1.08-0.700.280.00-0.43-0.220.31-0.04-0.94-1.111.950.840.24-0.033.062.071.120.273.742.291.670.314.872.691.22-0.08
-0.86-1.61-1.33-0.83-0.84-0.91-1.44-1.27-0.510.00-0.45-0.40-0.35-0.24-0.35-0.71-0.73-1.68-1.70-1.51-0.79-1.20-1.81-1.68-1.02-2.05-1.72-1.77-1.230.31-0.56-0.50-0.79-0.03-0.28-0.65-0.33-0.10-0.36-1.17-1.231.330.38-0.06-0.172.381.590.820.173.211.941.420.184.342.391.03-0.18