Lamar Advertising Financial Ratios for Analysis 2009-2024 | LAMR

Fifteen years of historical annual and quarterly financial ratios and margins for Lamar Advertising (LAMR).

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
0.520.500.590.690.460.801.291.131.191.211.151.371.592.011.40
0.720.720.700.700.700.700.700.680.650.660.670.710.720.750.75
2.762.792.492.422.522.552.322.201.851.942.082.512.572.943.22
66.9967.1667.7564.4566.3565.4764.9164.9764.9964.7864.9464.5263.8263.5262.34
32.0028.4429.1626.1429.5228.3029.5529.2628.3021.6517.9318.1816.2412.779.24
32.0028.4429.1626.1429.5228.3029.5529.2628.3021.6517.9318.1816.2412.779.24
46.2145.9444.6742.5344.0942.4543.5743.2842.7942.1043.2444.7944.3842.9542.97
24.0022.4422.2315.8120.9819.4221.2120.8121.0311.145.061.371.10-5.82-8.91
23.4721.5721.6915.4921.2018.7420.5919.8919.3719.673.190.640.57-3.70-5.53
0.320.310.300.270.300.360.370.380.400.390.370.340.330.300.27
---------------
7.017.136.626.516.886.917.647.907.767.597.707.387.677.747.41
52.0851.2055.1256.0453.0652.8447.7746.2147.0348.1047.3949.4547.5947.1749.26
40.8336.7031.8920.2431.5326.9728.7927.9425.7225.834.300.920.82-4.90-6.98
-24.97-21.43-21.99-14.99-21.58-17.92-22.16-23.09-28.28-28.22-4.05-0.72-0.643.414.60
7.576.776.424.206.266.727.547.667.817.641.180.220.20-1.10-1.47
11.4910.269.536.119.468.008.728.839.078.851.430.260.23-1.24-1.71
11.9211.7512.0211.9211.7411.3711.2310.9810.5610.279.849.189.028.849.04
7.677.697.255.656.295.705.155.344.964.754.174.013.423.503.20
6.006.206.075.144.944.584.104.363.923.663.122.972.413.122.93

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
0.410.380.520.550.580.510.500.630.640.710.590.610.640.560.690.621.131.460.460.510.500.520.801.431.481.591.291.551.481.421.131.371.351.511.191.381.371.501.211.401.411.691.150.770.721.691.371.511.171.671.591.621.821.852.011.912.081.441.401.341.882.59
0.700.710.720.730.730.730.720.700.710.710.700.680.690.700.700.710.740.750.700.710.710.720.700.700.700.710.700.690.690.690.680.690.700.700.650.660.660.660.660.690.680.670.670.650.660.710.710.700.710.720.720.730.740.740.750.750.760.760.750.750.770.77
2.812.892.762.882.912.922.792.542.632.572.492.302.282.422.422.602.813.122.522.622.612.732.552.322.392.532.322.252.232.302.202.252.302.391.851.961.971.991.942.292.182.072.082.302.362.452.512.412.612.662.572.692.782.922.943.033.153.203.223.203.383.49
67.5864.7467.3767.7168.2664.2667.5467.9667.8065.0568.1569.1168.4464.6267.8464.7061.4463.2366.6367.4967.3863.4666.8066.3866.4661.6965.1266.2065.9861.9365.7765.9965.7561.9865.4765.3066.3262.5765.8266.4565.4260.8765.6765.8666.2261.4964.8766.1065.5461.1563.8365.2264.8760.9963.5565.1965.1459.6362.0064.0863.8059.16
32.5925.0134.4934.6732.6725.2120.5534.3232.1526.6930.3227.9633.4823.9832.9627.4219.1123.7530.5630.9032.1123.6130.5230.6732.3318.2530.1232.9832.2821.7929.8330.9130.2125.6529.4431.8328.8622.2326.2725.6822.1010.9319.9320.9322.376.8920.0920.7421.149.6915.1218.6820.2610.0311.9116.2817.214.447.8014.4512.361.59
32.5925.0134.4934.6732.6725.2120.5534.3232.1526.6930.3227.9633.4823.9832.9627.4219.1123.7530.5630.9032.1123.6130.5230.6732.3318.2530.1232.9832.2821.7929.8330.9130.2125.6529.4431.8328.8622.2326.2725.6822.1010.9319.9320.9322.376.8920.0920.7421.149.6915.1218.6820.2610.0311.9116.2817.214.447.8014.4512.361.59
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24.8516.0627.0326.5924.7816.5513.9328.3026.5820.9625.6122.7627.5910.6125.8716.578.9710.3422.7522.5623.6313.8723.0023.1024.764.6821.8724.9524.2112.7021.7622.8822.1215.8422.5624.7921.6914.1219.0018.397.91-2.924.859.2210.83-6.373.687.568.49-16.540.474.345.51-7.05-4.250.43-5.04-15.84-12.11-4.09-6.91-13.05
24.2915.6826.8025.7924.1216.1112.3327.7025.9020.3924.9122.3826.8510.3125.3516.239.019.9422.1921.7626.3613.3122.3422.4523.904.1421.8524.1023.2512.0420.8021.9321.1115.1321.4724.4917.2213.4361.7110.444.64-1.733.155.297.03-3.741.723.724.54-8.601.611.313.86-5.22-2.620.24-3.15-10.21-7.54-1.79-4.34-8.83
0.090.080.080.080.080.070.080.080.080.070.080.080.080.070.070.070.060.060.080.080.080.070.090.100.100.090.090.100.100.090.100.100.100.090.110.100.100.090.100.100.100.080.090.090.090.080.090.090.090.080.080.080.080.070.080.080.080.060.070.070.070.06
--------------------------------------------------------------
1.781.671.851.751.681.821.881.791.711.771.831.821.731.701.781.711.501.621.811.731.801.761.821.841.841.731.981.791.811.832.041.871.871.872.041.871.881.791.991.861.791.761.981.791.841.751.891.861.911.841.941.841.771.771.951.811.781.741.841.721.751.62
50.7153.9348.7651.4553.5949.5447.9050.3252.7250.9749.1249.5752.0553.0550.5852.6260.1155.6049.5952.1150.0051.0649.5549.0248.9652.1645.5650.2849.6249.2444.2048.1948.1848.1444.0948.1747.9250.1445.3448.5250.2351.2545.4450.2948.8051.4647.5848.4147.1049.0046.4848.8150.8950.8246.0949.7450.6951.8048.9052.4251.4255.49
11.486.6312.2711.8311.186.565.5311.4710.827.5310.138.609.713.249.045.512.803.568.718.5410.394.628.468.579.361.457.908.838.633.977.538.057.885.037.508.556.044.1521.184.141.74-0.511.091.832.54-1.170.611.341.66-2.780.560.481.39-1.64-0.870.10-1.11-3.06-2.37-0.57-1.39-2.54
-7.03-3.92-7.50-6.87-6.45-3.71-3.23-7.87-7.16-5.19-6.99-6.70-7.67-2.37-6.69-3.69-1.80-2.32-5.96-5.68-6.98-2.94-5.62-6.65-7.08-1.03-6.08-7.31-7.27-3.20-6.22-6.69-6.35-3.83-8.24-9.20-6.51-4.53-23.14-3.37-1.560.51-1.03-1.69-2.270.98-0.48-1.14-1.362.15-0.44-0.36-1.011.130.60-0.060.721.971.560.380.921.66
2.091.202.282.142.011.181.022.332.141.512.041.842.090.681.881.090.530.631.731.682.040.882.112.282.440.372.072.412.341.062.072.182.091.322.282.521.761.216.261.040.46-0.140.300.470.65-0.290.150.340.40-0.670.140.110.32-0.37-0.200.02-0.24-0.65-0.50-0.12-0.29-0.51
3.471.963.453.223.021.771.553.393.152.203.032.723.060.992.731.580.740.902.612.493.031.302.512.602.780.412.392.732.681.222.382.502.401.492.642.912.041.407.251.260.55-0.170.360.640.86-0.340.180.400.48-0.770.160.130.37-0.42-0.220.02-0.27-0.75-0.58-0.14-0.33-0.58
11.7211.5811.9211.6411.4811.3911.7512.5312.2112.0612.0212.2712.1711.6911.9211.2911.1411.2911.7411.6311.3811.1011.3711.0610.8610.5711.2311.1210.9310.7610.9810.8510.6910.5210.5610.4110.1910.1910.278.889.309.909.849.869.629.349.189.198.998.819.028.898.848.688.848.838.758.799.049.199.289.32
3.581.087.675.183.011.077.695.283.081.007.254.812.820.825.653.582.090.626.294.062.370.615.703.732.180.415.153.261.980.355.343.452.160.534.963.251.950.574.753.171.810.664.173.101.600.554.012.701.430.393.422.391.190.283.502.051.010.083.202.091.270.21
3.100.826.003.952.140.686.204.152.350.736.074.172.450.685.143.201.780.414.943.111.780.364.582.961.690.184.102.531.520.174.362.731.700.373.922.501.430.313.662.321.260.433.122.341.080.292.971.930.950.202.411.610.700.043.121.810.880.012.931.901.130.17