Lifeward Financial Ratios for Analysis 2013-2024 | LFWD

Fifteen years of historical annual and quarterly financial ratios and margins for Lifeward (LFWD).

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
20232022202120202019201820172016201520142013
3.3315.1622.915.412.072.462.152.375.4713.15-
----0.120.780.710.56---
----0.654.474.142.18---
32.1434.5748.6649.8355.9443.1640.0012.545.71-15.72-27.02
-170.43-346.62-212.12-273.25-288.28-293.57-283.66-518.67-672.02-504.30-550.69
-170.43-346.62-212.12-273.25-288.28-293.57-283.66-518.67-672.02-504.30-550.69
-157.10-342.95-207.66-266.77-281.70-286.49-275.38-506.82-660.33-501.49-544.90
-159.85-346.62-211.90-294.22-318.98-331.25-317.27-553.76-677.04-547.28-765.43
-159.76-355.09-213.48-295.38-319.13-331.17-318.81-553.81-678.46-604.83-871.54
0.220.070.060.160.200.440.340.180.150.08-
1.661.231.020.620.691.661.281.571.395.88-
4.445.3210.206.426.148.637.034.681.752.02-
82.2068.6235.7956.8359.4742.2751.9377.99209181-
-47.59-28.71-14.25-59.59-144.26-1,114.40-666.77-393.50-121.49-49.41-
-83.69-28.71-14.25-59.59-144.26-1,114.40-666.77-393.50-121.49-49.41-
-35.03-26.36-13.44-46.23-63.81-144.87-108.11-102.33-99.38-45.46-
-47.59-28.71-14.25-59.59-126.36-243.27-195.89-173.09-121.49-49.41-
5.417.9410.016.0210.314.8421.6188.44299641-
-2.42-2.01-1.67-5.59-17.99-70.24-194.39-365.57-363.61-711.50-47.36
-2.43-2.01-1.68-5.62-18.02-70.30-194.58-371.37-372.05-719.35-48.37

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-30
2.652.973.253.333.4711.7317.2215.1618.7022.0524.2622.9121.9916.4717.885.413.052.232.122.072.663.411.842.460.911.371.472.152.021.871.792.371.752.253.945.476.297.2311.3913.1514.36----
----------------0.010.02-0.120.170.200.740.7824.411.241.240.710.880.720.720.560.520.440.32-----0.00----
--------0.01-------0.200.400.440.650.530.464.034.47-2.38-10.35-9.504.1411.694.705.052.182.231.280.64-----0.00----
36.2341.1126.4135.4919.6043.0846.4230.8924.9447.5230.2526.4957.8150.6353.7233.0052.4861.2749.0860.6352.5949.6058.5738.8947.1243.3343.1939.8040.8836.9241.98-8.3020.7110.4023.923.297.479.845.20100.0021.43100.00100.00-100.00
-51.80-66.24-123.07-89.15-180.38-385.79-355.69-229.69-613.21-278.73-489.50-308.45-134.99-218.73-229.56-228.33-410.84-153.00-473.95-271.55-245.62-482.90-226.12-251.62-254.98-298.08-369.98-370.83-309.01-267.41-226.29-505.03-528.79-1,051.16-311.26-562.50-541.20-957.87-869.45-893.59-504.55100.00100.00-100.00
-51.80-66.24-123.07-89.15-180.38-385.79-355.69-229.69-613.21-278.73-489.50-308.45-134.99-218.73-229.56-228.33-410.84-153.00-473.95-271.55-245.62-482.90-226.12-251.62-254.98-298.08-369.98-370.83-309.01-267.41-226.29-505.03-528.79-1,051.16-311.26-562.50-541.20-957.87-869.45100.00-504.55100.00100.00-100.00
---------------------------------------------
-49.85-64.10-118.68-83.05-171.04-344.05-349.35-226.53-613.32-281.53-492.24-306.28-136.36-218.11-229.26-244.58-443.24-167.09-506.32-302.46-274.80-523.15-252.56-318.37-280.02-327.57-400.70-400.53-336.66-314.55-255.54-539.28-565.07-1,114.44-334.98-562.05-546.78-949.67-896.06100.00-417.53100.00100.00-100.00
-50.33-64.17-118.80-81.91-171.04-347.20-351.30-243.83-616.25-283.18-496.58-310.63-135.65-218.73-232.67-241.79-446.59-171.16-505.26-302.71-274.64-523.03-253.00-317.80-280.33-327.51-400.70-406.73-337.53-314.35-256.10-537.02-565.71-1,115.91-335.86-561.90-548.84-952.13-898.58-374.42-418.05-1,079.60-1,135.06--802.70
0.130.130.100.110.060.020.020.030.010.020.010.010.020.020.020.040.030.070.030.050.040.030.090.110.140.100.090.070.080.080.100.050.070.030.070.050.040.020.010.030.03----
0.540.550.640.790.590.250.220.510.200.270.190.310.270.210.170.230.100.190.120.150.200.170.260.430.350.330.260.250.290.370.480.530.320.210.510.510.320.160.334.342.11----
1.051.271.512.211.251.732.312.101.981.811.552.121.551.842.641.781.041.581.051.492.162.101.452.081.390.951.011.371.371.801.781.271.480.690.840.620.570.400.370.751.23----
85.8170.7059.4740.7972.1352.1038.9342.7945.4149.6457.9542.3958.1948.8234.0650.5486.1456.8785.9760.5141.7242.7962.1643.2064.7394.4289.2665.5265.7349.9650.4670.9460.6913110714515722324112073.05----
-9.10-11.73-15.45-12.12-14.55-7.87-6.80-7.79-7.22-5.49-5.11-4.32-2.88-4.75-4.44-13.53-19.87-23.99-29.35-33.16-24.01-26.56-194.65-258.0086.82459422-166.23-436.27-185.40-191.50-103.44-168.44-113.25-43.50-35.88--17.27--12.52-----
-18.88-23.54-29.35-21.32-24.40-7.87-6.80-7.79-7.22-5.49-5.11-4.32-2.88-4.75-4.44-13.53-19.87-23.99-29.35-33.16-24.01-26.56-194.65-258.0086.82459422-166.23-436.27-185.40-191.50-103.44-168.44-113.25-43.50-35.88-23.06-17.27-14.71-12.52-13.06----
-6.74-8.44-11.37-8.92-10.88-7.05-6.26-7.16-6.76-5.18-4.83-4.07-2.71-4.38-4.11-10.49-12.72-12.57-15.23-14.67-11.92-14.35-23.48-33.54-38.18-34.05-35.71-26.95-27.21-25.94-25.32-26.90-38.04-37.00-22.26-29.35-19.40-14.85-13.37-11.52-12.11----
-9.10-11.73-15.45-12.12-14.55-7.87-6.80-7.79-7.22-5.49-5.11-4.32-2.88-4.75-4.44-13.53-19.69-23.56-29.35-29.05-19.82-21.20-51.59-56.32-2,032.74-107.83-100.48-48.84-51.54-52.84-54.08-45.50-80.15-63.34-29.54-35.88-23.06-17.28-14.71-12.52-13.01----
3.854.254.725.426.046.957.477.948.439.039.5410.0110.4210.0110.486.026.135.877.0810.3113.5316.583.894.84-25.62-6.23-8.6021.6110.7429.6135.0788.4462.89113225299---641-----
-2.03-1.54-0.89-2.42-1.89-1.03-0.62-2.01-1.56-1.05-0.64-1.67-1.34-0.96-0.61-5.59-3.75-4.02-2.93-17.99-10.77-10.68-9.27-70.24-60.04-48.41-29.26-194.39-137.64-113.76-64.10-365.57-276.95-190.59-98.48-361.78-259.76-173.69-89.78-223.83-852.700.000.000.000.00
-2.03-1.54-0.89-2.43-1.89-1.03-0.62-2.01-1.56-1.05-0.64-1.68-1.34-0.96-0.62-5.62-3.78-4.03-2.93-18.02-10.78-10.68-9.27-70.30-60.05-48.42-29.26-194.58-137.80-113.98-64.20-371.37-282.55-196.16-100.31-370.17-265.98-178.76-95.19-226.17-852.70----