KVH Industries Financial Ratios for Analysis 2009-2024 | KVHI

Fifteen years of historical annual and quarterly financial ratios and margins for KVH Industries (KVHI).

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
4.763.502.592.482.851.392.262.752.642.373.684.064.115.346.31
---0.01-0.160.300.320.330.360.240.090.110.040.04
---0.05-0.300.450.550.550.610.330.100.130.040.05
28.6137.8434.2236.2934.0437.9543.6843.6244.6442.5640.4940.0939.9639.9236.28
-13.10-4.13-14.63-14.45-13.36-6.96-5.47-0.751.741.113.804.79-0.544.94-0.72
-13.10-4.13-14.63-14.45-13.36-6.96-5.47-0.751.741.113.804.79-0.544.94-0.72
1.575.99-3.73-0.49-6.091.441.426.388.636.907.498.153.358.362.26
-11.41-2.49-8.70-13.71-12.67-7.25-6.21-1.121.440.774.124.990.335.04-0.44
-11.6517.32-7.29-13.8221.06-5.38-6.89-4.271.220.022.792.610.767.37-0.15
0.770.710.790.860.790.820.820.880.820.730.881.000.880.970.91
4.963.795.564.104.444.143.974.794.735.695.295.073.634.574.24
5.165.064.824.714.805.355.655.654.214.325.894.964.345.985.64
70.7872.1575.6877.4676.0368.2064.5664.5686.7884.4661.9673.6284.1961.0464.77
-10.46-2.52-8.95-16.64-10.67-11.50-10.44-7.061.910.043.893.390.898.59-0.16
-10.55-2.62-9.53-17.83-12.35-14.52-19.47-13.114.120.105.453.600.959.24-0.16
-8.93-2.04-6.84-11.95-8.03-6.10-5.62-3.761.000.022.472.600.677.18-0.14
-10.46-2.52-8.95-16.40-10.67-9.62-7.34-4.801.280.022.953.080.798.27-0.16
7.518.256.827.168.335.616.176.357.547.527.627.096.646.565.77
0.130.480.16-0.17-0.810.300.701.180.530.661.061.000.120.650.07
-0.42-0.30-0.86-0.97-1.52-0.63-0.080.830.170.340.750.57-0.81-0.10-0.30

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
4.725.064.765.044.854.443.503.632.572.612.592.802.222.452.482.622.722.732.852.772.501.181.391.361.912.042.262.302.372.662.752.582.732.732.642.312.382.452.372.433.573.693.683.803.604.524.063.664.114.864.114.974.895.185.344.545.475.306.315.345.576.66
-------------0.010.010.020.03----0.160.160.170.270.280.300.300.300.310.320.320.330.330.330.350.350.360.360.360.240.240.240.240.250.110.090.090.100.100.110.100.040.040.040.040.040.040.040.050.05-
------------0.050.050.050.050.05---0.010.310.300.420.430.410.450.450.460.470.550.540.560.550.550.580.590.620.610.620.320.330.330.320.340.140.100.100.110.110.130.110.040.040.040.040.040.050.050.050.05-
31.0633.882.2437.5035.2337.3534.8237.0940.9738.6319.5435.2435.3937.0038.6738.4735.1932.1037.3634.2429.4534.9731.4339.2037.0343.3046.0843.2644.6540.7943.5146.3942.9041.4048.1044.3742.6842.5144.7542.4942.7339.4639.5141.1041.7339.4943.2239.9038.8937.2042.2240.6439.2437.2036.9341.5638.9742.1838.4139.4635.5930.08
-10.08-12.98-39.62-14.980.51-0.501.50-2.76-3.02-12.81-47.90-10.30-13.38-8.53-25.72-1.22-9.31-20.91-7.83-12.36-16.81-17.14-8.66-4.72-6.68-7.93-2.89-4.45-3.38-11.12-0.616.57-1.51-8.369.570.46-0.58-4.624.811.171.65-4.58-1.825.165.326.2710.068.092.90-5.533.54-1.191.93-8.28-0.114.576.588.435.722.030.44-14.79
-10.08-12.98-39.62-14.980.51-0.501.50-2.76-3.02-12.81-47.90-10.30-13.38-8.53-25.72-1.22-9.31-20.91-7.83-12.36-16.81-17.14-8.66-4.72-6.68-7.93-2.89-4.45-3.38-11.12-0.616.57-1.51-8.369.570.46-0.58-4.624.811.171.65-4.58-1.825.165.326.2710.068.092.90-5.533.54-1.191.93-8.28-0.114.576.588.435.722.030.44-14.79
--------------------------------------------------------------
-8.30-10.54-39.09-12.372.441.131.27-0.040.13-11.88-40.1210.72-12.90-9.89-26.97-1.57-9.16-15.96-8.88-9.67-14.85-17.98-8.98-4.89-6.00-9.26-3.56-5.33-4.13-11.75-0.455.96-1.71-9.228.60-0.920.32-4.154.340.071.64-4.24-1.555.715.496.5610.218.333.09-5.313.782.211.97-8.19-0.244.556.808.785.922.120.80-14.25
-8.29-10.81-39.60-12.662.301.071.4584.30-4.18-14.15-29.4211.68-13.08-9.52-26.37-1.31-9.62-16.99-8.20-11.05119-17.19-5.21-2.99-3.48-9.71-4.32-6.03-5.01-12.15-15.446.24-1.75-6.917.59-1.040.08-3.441.900.340.13-3.04-0.933.453.584.926.974.491.41-5.145.022.340.62-6.280.912.2918.057.387.031.700.87-13.99
0.170.170.180.180.180.180.180.180.210.200.080.200.250.240.240.220.190.190.210.190.180.180.190.190.190.190.200.200.210.210.220.210.220.190.240.190.190.180.210.190.220.200.210.220.240.270.290.290.250.220.250.210.260.210.230.240.270.270.270.240.230.21
0.871.011.600.790.900.901.030.930.660.790.700.901.261.171.101.030.980.971.131.021.160.911.050.971.060.970.921.060.961.091.201.161.211.021.301.171.311.271.601.241.171.201.291.311.451.431.391.311.140.960.990.781.070.901.151.071.271.071.210.931.020.89
1.051.131.211.191.251.291.311.271.030.970.501.081.311.411.311.311.291.261.291.311.341.261.221.361.291.401.381.391.491.491.411.441.411.271.231.171.181.221.261.341.341.311.411.561.601.361.431.361.441.461.231.331.501.351.441.621.621.521.661.831.711.54
85.7779.8574.2875.6272.2869.5468.8071.0887.0293.0818083.6368.4863.9168.7168.9569.6271.3069.6968.6467.0571.3473.5666.3369.5164.0865.3864.6660.2360.3563.8262.4663.8170.6673.1377.1776.1073.6271.2766.9567.4168.5663.6657.5856.2266.2562.9466.2962.5861.8173.1667.7060.1666.4862.5655.6155.7259.1454.1149.0652.5758.52
-1.66-2.18-8.36-2.700.480.230.35-0.06-0.15-3.41-4.282.78-4.47-3.09-8.82-0.38-2.56-4.38-1.94-2.18-2.14-6.80-3.23-1.90-2.35-3.64-1.59-2.31-1.92-4.70-6.372.56-0.73-2.433.47-0.410.03-1.280.820.130.05-0.97-0.311.201.391.812.611.730.46-1.421.660.630.19-1.590.260.685.822.432.260.500.25-3.36
-1.67-2.20-8.43-2.700.500.240.36-0.06-0.16-3.63-4.552.96-4.79-3.30-9.46-0.44-2.96-5.06-2.24-2.50-2.46-12.27-4.08-3.37-4.26-6.80-2.97-4.35-3.63-8.85-11.834.83-1.47-5.137.50-0.980.08-3.272.260.390.06-1.35-0.441.681.951.912.781.840.49-1.521.780.670.21-1.720.280.735.822.432.260.500.25-3.36
-1.41-1.88-7.13-2.270.400.190.28-0.05-0.12-2.63-3.272.15-3.21-2.26-6.34-0.28-1.87-3.28-1.46-1.62-1.49-3.29-1.71-0.94-1.18-1.84-0.86-1.23-1.03-2.56-3.401.34-0.39-1.281.81-0.200.02-0.630.410.060.03-0.61-0.200.770.871.352.001.300.36-1.131.250.500.16-1.330.210.554.801.981.890.410.20-2.98
-1.66-2.18-8.36-2.700.480.230.35-0.06-0.15-3.41-4.282.78-4.47-3.07-8.70-0.37-2.48-4.38-1.94-2.18-2.14-5.68-2.71-1.58-1.70-2.62-1.12-1.62-1.34-3.25-4.331.74-0.49-1.632.33-0.270.02-0.820.530.080.04-0.73-0.240.911.051.602.371.570.42-1.281.470.570.19-1.540.250.655.592.332.160.470.24-3.36
7.277.357.518.018.248.158.258.066.506.626.826.986.746.977.167.677.727.898.338.388.555.365.615.735.806.106.176.186.176.096.356.786.967.267.547.247.397.117.527.487.657.557.627.597.337.197.096.796.616.566.646.536.546.466.566.486.355.925.775.565.515.47
-0.80-0.040.13-0.14-0.17-0.360.48-0.08-0.17-0.190.160.100.260.28-0.17-0.17-0.16-0.17-0.81-0.65-0.38-0.060.300.10-0.07-0.070.700.570.410.271.181.190.560.550.530.680.310.210.660.680.08-0.041.061.110.770.161.000.630.460.350.12-0.05-0.06-0.080.650.640.430.100.070.110.02-0.18
-1.06-0.17-0.42-0.51-0.41-0.47-0.30-0.67-0.61-0.43-0.86-0.71-0.310.00-0.97-0.74-0.56-0.36-1.52-1.18-0.76-0.24-0.63-0.56-0.51-0.26-0.08-0.050.000.140.830.890.400.470.170.370.090.120.340.46-0.04-0.090.750.910.680.100.570.280.150.20-0.81-0.59-0.32-0.13-0.10-0.050.170.00-0.30-0.18-0.13-0.20