Lions Gate Entertainment Financial Ratios for Analysis 2009-2024 | LGF.B

Fifteen years of historical annual and quarterly financial ratios and margins for Lions Gate Entertainment (LGF.B).

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
0.370.440.440.700.870.840.741.000.503.002.140.790.950.870.750.73
1.170.790.520.510.510.510.460.560.510.620.650.650.930.760.910.93
-14.235.141.431.191.201.220.971.441.861.632.014.0018.695.2814.5820.17
45.5040.0142.7347.2442.7744.8944.0740.5339.7145.1747.9448.6542.7849.7247.7745.87
-23.37-48.190.255.210.073.536.02-0.51-1.079.269.8810.082.113.953.35-9.63
-23.37-48.190.255.210.073.536.02-0.51-1.079.269.8810.082.113.953.35-9.63
37.9338.6250.0848.7149.4149.4949.9846.0343.7347.5745.8146.7441.3939.4439.8623.48
-29.41-51.82-4.91-0.53-5.22-8.373.60-4.20-1.448.897.035.77-2.17-1.65-1.95-11.98
-27.75-52.15-5.22-0.58-4.84-7.7211.470.462.147.585.788.57-2.46-1.92-2.03-12.17
0.570.520.400.390.490.440.460.350.610.730.920.980.571.010.980.88
----------------
5.336.628.158.537.455.694.363.534.122.692.973.442.024.795.096.46
68.4255.1244.7842.8148.9864.1883.6210488.6513612310618076.2571.7856.51
360-256.84-7.65-1.23-7.76-10.2514.830.585.0221.5826.0165.11-43.57-21.88-56.14-428.02
52.8211213.502.2310.9016.80-30.76-0.6514.0435.0358.2069916.5230.2616.3342.83
-15.74-27.18-2.28-0.42-2.60-3.565.220.161.115.525.338.41-1.40-1.94-1.98-10.70
-60.21-53.40-3.71-0.61-3.81-5.068.060.262.478.219.1422.92-3.16-5.27-5.06-28.43
-1.323.4311.9112.6312.1213.5314.9512.125.7911.588.295.251.352.210.910.71
1.70-0.50-2.950.002.822.001.753.24-0.120.643.273.70-3.240.65-2.30-1.75
1.55-0.72-3.10-0.162.681.801.543.10-0.240.523.163.66-3.270.60-2.36-1.89

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
0.300.370.480.350.380.440.460.510.440.440.470.550.550.700.740.710.720.870.850.910.800.840.890.710.740.741.021.011.161.001.181.641.920.503.163.734.363.001.541.381.462.141.321.060.840.790.600.710.650.950.710.630.650.870.680.670.550.750.760.840.780.73
1.031.171.131.100.790.790.780.800.550.520.530.530.520.510.500.500.500.510.500.510.510.510.500.460.450.460.450.470.500.560.610.590.590.510.630.650.610.620.620.670.650.650.650.660.630.650.750.850.940.930.930.930.740.760.830.851.000.910.850.770.800.93
-86.06-14.23-12.86-17.025.645.145.015.511.661.431.391.341.221.191.151.131.151.201.131.181.231.221.170.970.930.970.941.021.091.441.721.781.721.861.701.831.571.632.182.692.432.012.643.113.754.007.5510.3731.8618.6927.9724.645.825.2810.9310.71-573.1614.587.994.775.9420.17
48.5842.7347.6245.1447.0447.7041.5435.6133.2737.9641.5145.5746.0545.6045.0950.7748.0240.2740.4549.2241.0541.6646.2148.5943.1843.9643.1144.5644.8042.5642.9639.5033.8338.2639.7938.5843.6842.7346.6844.5846.8444.0952.6747.5146.2146.6545.9054.2847.9044.0937.4842.3846.6648.1951.6047.8051.7555.7641.5448.2344.4850.76
2.25-5.46-4.46-80.50-1.85-4.580.78-199.68-7.63-5.421.053.362.251.644.443.9910.99-1.28-3.965.86-0.33-3.739.304.344.104.657.023.238.925.68-0.98-9.10-3.97-2.64-1.34-8.2410.804.3015.465.5110.638.1316.885.225.8712.3111.0714.31-1.520.433.64-2.5310.7215.265.184.50-11.452.65-13.6012.1210.93-4.13
2.25-5.46-4.46-80.50-1.85-4.580.78-199.68-7.63-5.421.053.362.251.644.443.9910.99-1.28-3.965.86-0.33-3.739.304.344.104.657.023.238.925.68-0.98-9.10-3.97-2.64-1.34-8.2410.804.3015.465.5110.638.1316.885.225.8712.3111.0714.31-1.520.433.64-2.5310.7215.265.184.50-11.452.65-13.6012.1210.93-4.13
--------------------------------------------------------------
-6.35-11.36-10.53-87.63-6.79-8.602.08-206.62-13.04-10.87-4.450.98-5.02-3.59-1.22-3.115.84-5.53-9.590.45-6.17-15.432.72-19.46-1.84-2.38-1.15-3.6922.010.37-5.68-11.09-4.61-2.67-1.79-9.2710.643.1415.104.6312.027.6215.08-3.683.809.705.7111.27-8.90-3.24-0.25-6.774.4218.46-1.01-6.17-19.36-7.99-19.568.859.94-6.69
-7.12-4.59-10.93-87.27-7.78-8.911.66-206.94-13.31-11.26-5.150.84-5.04-4.30-1.66-2.476.28-4.76-9.130.18-5.60-16.982.45-15.99-0.858.7816.891.6517.294.90-4.07-2.740.231.346.11-8.829.953.0313.073.769.636.8110.570.102.3920.745.0910.68-9.37-3.53-0.43-7.073.9618.40-1.42-6.50-19.62-8.24-19.058.669.59-7.00
0.120.160.140.160.120.150.130.110.100.100.100.100.110.110.100.100.100.120.130.120.110.110.110.100.100.120.130.110.120.140.080.170.150.210.170.130.120.200.240.180.160.250.290.190.210.280.280.260.180.230.180.210.160.240.260.280.210.260.200.220.230.28
--------------------------------------------------------------
1.281.481.202.221.761.872.082.032.092.102.132.122.022.282.161.981.891.811.671.481.361.411.120.850.891.101.261.171.221.380.970.670.621.390.710.540.540.720.770.690.630.821.000.720.701.001.131.010.800.820.760.921.041.141.061.341.261.371.341.581.892.04
70.5760.6374.7840.5151.1448.2643.1844.4243.0942.8042.2042.5144.6639.4041.5845.5147.6349.7553.8760.7866.3763.7680.3510610181.8471.2976.8873.6765.0792.9513414664.8912716616812411713014411089.9312612990.1779.5089.2911210911898.0086.9278.9585.1367.0371.4665.6467.0957.0447.7244.11
12915.9433.18406-9.82-12.481.72-213.98-4.71-4.02-1.790.11-1.89-1.50-0.63-0.801.71-1.84-3.50-0.04-2.05-5.440.65-4.89-0.362.846.240.466.292.45-1.31-2.020.091.303.45-4.744.262.3214.703.758.078.4117.120.123.5945.7119.6551.66-92.30-25.33-3.69-67.517.3149.95-7.85-37.454,055-61.34-62.4918.5826.40-77.72
3.482.344.9942.783.915.44-0.8799.947.827.093.25-0.203.302.711.011.23-2.562.595.430.073.218.92-1.218.730.72-5.89-11.62-0.69-8.96-2.751.25-5.370.243.657.83-7.466.433.7728.499.0020.3618.8245.480.4924.12491-28.91-42.0115.879.600.7212.93-10.56-69.093.7018.5326.6017.8518.82-11.17-11.377.78
-0.87-0.70-1.50-14.37-0.96-1.320.20-23.61-1.35-1.20-0.560.04-0.63-0.50-0.21-0.280.60-0.62-1.23-0.01-0.69-1.890.23-1.65-0.131.002.190.152.020.67-0.33-0.460.020.290.86-1.181.170.593.130.681.541.723.050.020.505.901.422.79-1.72-0.82-0.08-1.480.654.42-0.37-1.81-4.02-2.17-3.841.882.16-1.94
-3.41-2.67-4.35-40.38-2.06-2.590.38-42.21-2.12-1.95-0.840.05-0.91-0.74-0.31-0.400.85-0.90-1.74-0.02-1.00-2.690.32-2.64-0.201.543.450.243.141.08-0.51-0.830.040.641.28-1.671.660.885.641.242.832.956.060.041.3116.094.947.85-5.19-1.84-0.24-4.991.9412.04-1.30-5.76-13.36-5.53-9.304.345.19-5.16
-0.21-1.32-1.38-0.933.153.433.873.7111.5411.9112.1612.2412.3112.6312.4412.3112.3312.1212.7113.0413.1213.5314.2514.2614.9714.9514.5713.5313.3412.1211.6211.5611.795.7912.7211.9513.1411.589.538.007.788.297.516.185.575.252.852.170.721.350.600.592.062.211.121.16-0.030.911.772.902.350.71
-0.671.701.711.410.13-0.50-0.56-0.610.00-2.95-2.18-1.46-1.570.000.720.920.372.821.990.990.172.001.161.260.531.751.671.530.313.242.581.320.96-0.12-0.70-2.27-0.390.64-2.15-2.84-0.173.271.881.57-0.423.702.911.912.27-3.24-3.35-2.10-0.650.65-1.69-1.43-1.06-2.30-2.35-2.44-2.26-1.75
-0.711.551.601.330.09-0.72-0.72-0.71-0.04-3.10-2.28-1.52-1.60-0.160.600.850.342.681.880.920.131.801.031.160.491.541.541.430.263.102.481.270.94-0.24-0.78-2.37-0.430.52-2.30-2.90-0.183.161.801.52-0.443.662.891.902.26-3.27-3.38-2.12-0.650.60-1.71-1.44-1.07-2.36-2.39-2.47-2.29-1.89