Jack Henry & Associates Financial Ratios for Analysis 2009-2024 | JKHY

Fifteen years of historical annual and quarterly financial ratios and margins for Jack Henry & Associates (JKHY).

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
2024202320222021202020192018201720162015201420132012201120102009
1.001.201.131.041.351.211.051.100.971.110.871.051.170.930.881.04
0.030.150.080.070.00--0.05-0.050.000.010.100.130.27-
0.080.170.080.080.00--0.050.000.050.010.020.130.180.500.10
41.3541.3341.9139.5240.5840.5541.9941.9542.8942.6642.0941.6641.1641.3041.2540.16
22.0923.1424.4322.6822.4322.3724.3124.6126.7025.3024.5722.6422.7622.3721.7921.18
22.0923.1424.4322.6822.4322.3724.3124.6126.7025.3024.5722.6422.7622.3721.7921.18
31.1132.3233.5732.6732.5532.7134.6434.6836.2734.7833.7631.7032.0531.7330.3329.78
22.4822.8424.3122.6222.4622.3624.2224.5626.6125.1924.5122.1322.3121.4621.6121.10
17.2317.6518.6817.7217.4817.5124.8216.5418.3716.8115.9215.1314.9414.2214.0913.83
0.760.750.790.750.700.710.720.730.750.680.700.660.630.640.540.71
----------------
6.535.635.375.225.274.744.614.675.035.065.064.674.494.303.883.82
55.8864.7867.9969.9269.2577.0879.1578.1072.6372.1072.1778.2381.3484.8093.9795.67
20.7222.7926.2723.6119.1419.0327.5922.2424.9821.3019.3016.5015.4715.6315.7116.46
10424019220074.5787.4415821830622620386.6894.55301-111.2653.71
13.0613.2214.7813.3312.2212.4417.9512.0313.7111.5011.1110.029.399.137.559.81
20.0719.4724.2521.9419.1419.0327.5921.2224.9820.2819.2316.3813.9613.6411.5216.46
25.2822.0718.9617.8320.2218.5617.1413.3312.6612.2611.7111.9211.4310.198.797.49
7.785.226.876.116.645.575.314.574.604.584.003.573.032.772.562.44
7.005.076.405.896.004.883.554.043.922.972.982.452.152.091.641.77

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
1.001.391.371.201.201.521.151.031.131.471.251.141.041.471.481.411.351.611.251.231.211.171.071.091.051.251.040.971.101.110.990.900.971.110.960.871.111.020.760.770.871.101.321.181.051.511.361.271.171.321.110.990.931.120.960.820.880.910.761.191.040.96
0.030.120.130.130.150.200.150.140.080.140.160.040.070.130.000.000.000.04-------0.080.08-0.050.050.05--0.100.10-0.050.070.000.000.000.000.000.010.010.080.090.090.100.100.110.120.130.210.220.230.27-----
0.080.140.150.150.170.240.180.170.080.170.190.050.080.150.000.000.000.04---0.02---0.090.09-0.050.050.05-0.000.110.110.000.050.080.090.010.010.010.010.020.020.120.120.130.130.140.160.170.180.290.300.320.500.100.090.000.100.11
41.5539.0641.1843.4742.2339.5639.7243.6440.5840.9742.7443.3238.9538.2738.9741.8037.9339.7840.5343.8839.0038.0641.1643.9340.8841.5842.0243.5639.5141.5643.1543.5544.0641.6942.7942.8943.8742.5642.0941.9943.1940.2842.5942.2339.3240.7043.8642.7840.2940.3441.9842.0541.8039.6742.3841.3241.7540.1442.2540.8041.3138.93
22.4420.8121.8023.2323.2321.3121.2526.5921.5023.3325.4427.3721.3921.0322.1726.0318.7121.4122.3626.9820.1820.1022.8326.3022.4624.2523.7426.8621.4025.0825.4226.5031.7523.9625.4725.0426.7824.9325.5923.7626.3022.1525.7023.9921.0323.3421.3224.9121.9722.0423.7623.2723.2921.0322.6622.4721.6320.2522.4623.0022.7320.55
22.4420.8121.8023.2323.2321.3121.2526.5921.5023.3325.4427.3721.3921.0322.1726.0318.7121.4122.3626.9820.1820.1022.8326.3022.4624.2523.7426.8621.4025.0825.4226.5031.7523.9625.4725.0426.7824.9325.5923.7626.3022.1525.7023.9921.0323.3421.3224.9121.9722.0423.7623.2723.2921.0322.6622.4721.6320.2522.4623.0022.7320.55
--------------------------------------------------------------
23.2921.2022.0323.3223.1820.8720.8226.3221.3023.1925.3527.3221.2520.9622.1526.0218.6821.4222.4027.0620.1220.0822.8626.3322.3024.0923.7126.8521.3025.0225.3926.4931.6423.8325.4225.0126.7024.7225.4923.6926.2222.0825.6623.9420.1023.0220.9424.4921.7721.5023.2322.7422.5620.3421.6521.2521.1620.1722.4022.9722.6520.45
18.0516.1716.8517.8018.2916.0415.9920.1316.6617.7119.3720.9217.0716.4617.0420.1914.9417.2017.2020.4015.5015.5817.6321.2817.9318.4745.1418.5114.2116.9716.8718.0422.9616.1717.8315.9718.1416.3717.3115.2916.6714.6216.7415.5613.9816.3414.5315.6715.7014.3015.0614.6914.6713.7714.8613.5313.1614.6814.2214.4114.4913.75
0.190.190.200.210.190.200.200.210.200.210.220.210.190.200.180.190.170.190.190.200.180.190.200.190.190.200.190.200.180.210.200.200.200.200.190.190.180.190.190.190.190.190.180.170.170.180.180.170.160.180.170.170.170.170.170.170.150.210.200.190.180.21
--------------------------------------------------------------
1.652.042.021.981.452.122.052.141.332.101.911.781.342.001.912.031.281.962.051.871.201.831.991.941.192.051.882.061.152.392.242.281.362.292.222.151.342.252.081.861.362.072.101.791.162.172.111.961.132.041.921.771.111.971.801.681.061.761.731.460.981.73
54.5244.0244.6245.4862.0842.5243.8842.1067.4842.8447.1950.5367.3245.0747.2244.4270.5945.9343.9648.1674.9949.2145.2546.4875.8943.8747.9943.7178.4237.6840.2639.5066.1139.3440.6141.8266.9239.9443.3748.2866.2443.5742.9150.3377.3241.4342.6846.0179.3744.1246.9550.7381.1145.6049.9653.5585.0851.1352.1161.5291.6652.14
5.494.895.336.136.085.305.357.295.826.387.527.325.835.434.665.913.964.884.856.054.274.164.896.115.135.6513.736.444.705.936.056.408.465.686.505.386.115.305.844.935.433.824.223.913.804.263.874.184.113.754.084.014.163.894.404.094.004.374.384.004.444.11
27.6228.2235.7051.5564.1293.3112041942.6559.2010345.0349.3446.2118.4223.4415.4220.4822.1428.0719.6219.0824.4830.1829.3451.3319368.4745.9670.34124115103453-379.3914364.8377.0214086.2657.1117.3015.5815.7119.9817.8717.9921.8225.1123.6132.2845.8780.05326-143.39-41.29-28.3018.9924.0211.7414.4814.77
3.463.143.343.723.523.133.134.133.283.734.194.483.293.233.153.912.533.313.304.012.792.963.454.113.343.638.413.722.543.563.423.594.643.163.473.003.303.133.322.843.132.813.062.682.312.942.582.652.492.542.632.462.432.392.582.241.923.022.892.682.652.84
5.314.294.655.345.194.264.526.255.375.456.336.995.424.714.665.913.964.714.856.054.274.164.896.115.135.2012.666.444.485.655.766.408.465.145.865.385.814.945.844.935.413.814.203.893.783.913.543.803.713.363.633.533.633.083.443.142.934.374.384.004.444.11
25.2824.4223.6722.7922.0721.1120.7020.0418.9618.2417.4718.8517.8317.7120.3120.2320.2219.7619.3819.2018.5618.4718.0417.7117.1415.8315.2013.4413.3313.0412.5112.4512.6612.0311.5711.9412.2611.8211.3911.4311.7113.1813.3812.9111.9212.5412.1511.7911.4311.2610.9010.5110.199.849.519.088.798.498.117.807.497.22
7.784.603.272.155.222.832.611.876.874.132.681.446.113.532.541.496.643.602.791.605.573.022.481.895.313.032.281.794.572.552.101.694.602.621.851.574.582.251.551.134.001.891.531.143.571.761.381.183.031.351.100.902.771.320.990.872.561.070.890.772.441.09
7.004.132.942.055.072.462.371.776.403.742.371.305.893.332.421.516.003.002.391.434.881.422.061.583.552.802.131.744.042.201.881.343.921.160.891.132.971.210.870.652.981.110.970.922.451.000.880.962.150.780.740.692.090.820.670.691.640.420.440.571.770.62