LogicMark Financial Ratios for Analysis 2012-2024 | LGMK

Fifteen years of historical annual and quarterly financial ratios and margins for LogicMark (LGMK).

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
202320222021202020192018201720162015201420132012
3.923.9510.760.910.590.661.120.841.123.780.150.94
---0.470.590.480.390.83----
---1.161.761.010.665.332.04--0.07-11.41
67.0760.6857.7267.0874.5171.9368.4342.67-195.67--80.72
-154.37-57.96-75.31-5.1215.043.43-13.41-86.73-1,770.97---77.16
-154.37-57.96-75.31-5.1215.043.43-13.41-86.73-1,770.97---77.16
-66.15-51.09-13.817.8425.0210.9311.78-61.51-1,558.24---77.12
-149.66-56.95-114.78-24.82-15.76-7.56-52.29-162.31-2,119.23---77.26
-158.93-60.87-140.18-32.54-69.67-42.01-56.07-178.81-2,119.93---77.26
0.580.460.330.420.680.450.330.220.12--1.83
2.782.683.424.913.355.527.170.831.03---
72829.6010185.5744569.2941.976.35----
0.5012.333.604.270.825.278.7057.50----
-113.80-33.85-44.91-31.28-35.27-9.02-44.69877-1,483.76-258.7184.342,953
-207.17-109.55-104.9724.7916.0417.7022160.88-1,483.76-258.7184.342,953
-85.51-27.01-38.87-10.63-9.46-3.49-17.72-36.03-257.33-193.15-480.85-141.04
-111.03-33.01-44.03-16.52-14.39-4.68-27.13-74.80-1,483.76-258.7184.342,953
6.1043.7158.0445.1044.6911716276.3939.67221-166.96-0.63
-3.19-7.54-18.75-1.9215.60-0.41-21.41-30.79-635.98-451.75-78.52-9.89
-4.20-10.27-18.75-1.9215.44-0.50-22.14-32.05-664.14-463.82-79.12-10.08

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-31
2.783.043.924.457.208.903.954.957.797.8510.764.540.801.640.910.620.490.600.590.590.550.720.661.161.461.071.120.610.580.890.840.801.131.131.121.121.272.033.7811.583.173.460.150.100.490.020.94---
-------------0.150.470.530.570.560.590.620.470.470.480.430.440.410.390.690.740.830.830.79------------0.32-0.51-0.73----
------------0.050.281.161.471.691.551.761.971.071.011.010.840.820.690.662.523.065.445.334.480.251.442.041.040.34------0.07-0.24-0.34-0.42-11.41---
66.5667.6865.9767.4768.7566.2961.4961.9459.4860.3662.0647.3261.3759.4346.1171.1773.0574.6871.1275.0875.9475.6269.5473.1672.7072.16-56.8469.8949.5552.5244.1543.50-66.30-77.66-1,246.97-35.27-18.3212.33--------80.00---
-88.64-69.16-386.97-75.18-97.83-67.12-109.94-77.70-33.42-35.15-250.47-20.85-7.61-32.10-38.65-19.95-4.1627.7619.3916.3512.5612.14-6.985.2310.194.48144-29.208.7015.97-13.21-47.62-5,992.61-5,501.59-4,079.17-718.32-2,187.18-90,196.13---------17.20---
-88.64-69.16-386.97-75.18-97.83-67.12-109.94-77.70-33.42-35.15-250.47-20.85-7.61-32.10-38.65-19.95-4.1627.7619.3916.3512.5612.14-6.985.2310.194.48144-29.208.7015.97-13.21-47.62-5,992.61-5,501.59-4,079.17-718.32-2,187.18-90,196.13---------17.20---
--------------------------------------------------
-87.27-66.81-384.00-61.02-97.46-65.25-107.06-76.08-33.03-35.15-251.63-26.93-19.97-173.13-59.47-40.86-26.8911.704.25-9.15-48.41-7.01-3.71-5.38-3.40-17.54169-90.66-14.45-9.53-48.07-78.96-6,519.57-12,793.00-4,839.04-847.42-3,049.61-90,178.55---------20.00---
-90.48-69.69-412.66-64.19-100.68-67.92-116.77-79.06-35.65-37.56-263.73-30.38-42.07-236.93-90.86-41.81-27.9011.0311.89-172.40-76.49-31.65-80.34-29.48-23.38-37.77119-112.61-19.52-15.61-63.20-93.31-6,889.99-12,793.00-4,844.21-847.42-3,049.61-90,178.55---------20.00---
0.170.170.140.090.090.100.080.100.120.120.080.060.110.080.100.110.100.150.160.180.120.110.110.100.100.09-0.040.080.160.190.130.090.010.010.020.140.050.00--------1.82---
1.150.950.700.680.740.830.470.972.191.650.741.381.441.271.810.870.831.000.890.740.890.831.410.870.420.40-4.350.230.730.610.480.370.030.040.630.390.120.00------------
19610.0617819414255.445.336.6013.0327.3924.4835.5422.3436.0419.2745.5722410410410051.9640.4816.3312.852.622.65-5.131.463.193.333.743.56---2.76--------------
0.468.950.510.460.631.6216.8813.636.913.293.682.534.032.504.671.980.400.860.860.901.732.225.517.0034.3634.01-17.5561.7228.1827.0724.0425.31---32.60--------------
-21.14-15.37-70.43-6.98-10.40-7.76-11.91-9.30-4.59-5.07-24.12-2.01-3.20-22.83-17.00-14.47-9.986.017.50-6.61-15.81-1.98-2.96-0.86-0.36-3.71-16.74-49.98-25.65879164182418-798.63-457.99-535.55-402.23-171.58-78.23-58.45-406.90-50.6525.6098.6549.46125760---
-47.82-30.18-128.21-20.81-28.88-19.33-38.54-25.59-11.46-12.10-56.38-5.4618.6520713.478.014.63-3.13-3.412.6226.724.055.803.180.383.9182.6911.663.883.5311.3819.69-152.00-798.63-457.99-535.55-402.23-171.58-78.23-58.45-406.90-50.6525.6098.6549.46125760---
-15.24-11.08-52.92-5.74-8.85-6.68-9.50-7.60-3.89-4.30-20.88-1.67-2.18-13.67-5.78-4.34-2.761.792.01-1.61-5.74-0.74-1.14-0.35-0.15-1.45-6.64-7.34-2.53-2.04-6.74-7.39-49.28-156.02-79.43-119.44-145.20-100.14-58.41-53.44-282.45-36.39-145.95-1,420.95-97.18-7,936.53-36.31---
-20.46-14.95-68.71-6.87-10.25-7.65-11.61-9.09-4.49-4.96-23.65-2.01-3.20-19.51-8.98-6.74-4.282.653.06-2.50-8.31-1.04-1.53-0.48-0.20-2.21-10.16-15.45-5.67-4.18-13.98-13.98-152.00-798.63-457.99-535.55-402.23-171.58-78.23-58.45-406.90-50.6525.6013074.57216760---
4.545.436.1014.8216.7019.6443.7147.9551.5453.8958.0472.2565.1369.3745.1042.5743.8848.0444.6941.2292.5611211714214814916285.0891.8667.5176.3910554.7823.5539.6746.6466.7495.1922137646.6524.84-166.96-44.23-29.56-33.65-0.63---
-1.20-0.51-3.19-2.60-2.49-1.39-7.54-3.98-0.950.62-18.75-11.02-6.65-4.16-1.920.094.023.4315.609.964.575.89-0.41-6.51-9.76-0.54-21.41-11.91-32.60-18.82-30.79-91.73-108.26-72.20-635.98-470.02-308.68-151.59-451.75-236.24-150.95-69.51-78.52-49.11-28.66-26.99-8.914.80-0.230.00
-1.45-0.59-4.20-3.35-2.91-1.53-10.27-5.48-1.870.54-18.75-11.02-6.65-4.16-1.920.094.023.4315.449.804.535.89-0.50-6.60-9.77-0.54-22.14-11.93-32.63-18.86-32.05-92.92-109.57-72.20-664.14-494.85-327.46-166.98-463.82-238.94-152.47-69.69-79.12-49.24-28.66-26.99-9.114.60-0.230.00