LeMaitre Vascular Financial Ratios for Analysis 2009-2024 | LMAT

Fifteen years of historical annual and quarterly financial ratios and margins for LeMaitre Vascular (LMAT).

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
6.516.396.413.754.424.766.095.635.614.844.084.666.074.136.04
---0.17----------0.00
---0.22----------0.00
65.6664.8965.6565.4168.1270.0470.0970.5969.1368.1269.8972.0369.7474.4273.28
18.9716.6023.5922.2518.0726.7220.9218.3214.698.927.007.476.407.163.83
18.9716.6023.5922.2518.0726.7220.9218.3214.698.927.007.476.407.163.83
23.8922.4330.7628.7422.6930.8224.9422.3519.0313.6111.3311.419.939.626.71
20.4017.0122.2021.1518.4926.9420.9218.2214.588.896.717.046.507.184.35
15.5612.7717.4216.4015.3021.7317.0311.889.905.514.964.533.7210.733.14
0.560.520.530.510.620.690.800.870.860.870.920.900.970.890.89
1.141.131.150.990.951.151.431.341.591.361.471.462.181.712.09
7.727.337.876.627.076.726.726.766.556.586.106.276.756.616.55
47.2849.7746.4055.1751.6054.3654.2854.0155.7755.4659.8858.2154.0455.1855.77
10.117.6910.5912.3012.1117.6215.6512.109.965.745.664.864.1111.483.31
15.8213.2519.8644.4721.5326.4722.1119.5514.438.949.057.575.7616.364.72
8.686.659.198.399.5214.9913.6010.398.554.804.544.083.599.502.81
10.117.6910.5910.2012.1117.6215.6512.109.965.745.664.864.1111.483.30
13.3412.1411.598.417.356.645.704.714.253.933.633.483.403.383.07
1.641.141.631.700.700.961.140.880.620.320.340.300.200.440.34
1.321.041.411.650.510.810.820.730.500.260.170.220.070.280.31

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
7.748.367.576.516.286.756.896.396.536.347.746.416.064.194.073.752.302.075.414.425.165.634.924.765.937.046.656.096.257.255.815.635.666.165.885.616.115.455.704.843.935.884.634.084.205.214.924.665.155.866.306.074.354.985.004.135.656.156.396.045.605.796.45
-------------0.090.140.170.180.20--------------------------------------0.000.000.000.000.000.000.00
-------------0.120.180.220.370.42--------------------------------------0.000.000.000.000.000.000.00
67.8268.8868.5668.0565.0064.0265.6063.6264.2466.0465.6365.7164.8165.8066.3264.9962.3568.5267.0565.9969.3068.9068.3567.7071.4070.2971.0769.7970.8168.0171.8969.5473.3168.6470.8770.3271.0465.9969.2368.6768.5868.1566.9966.7370.0470.4572.8570.5273.4073.4370.8671.0169.9268.6269.5471.7076.1475.2674.6974.8973.0072.2272.84
23.9825.7522.2020.8819.3618.8616.7317.0115.7613.7420.0421.0123.6527.3122.1425.4227.5119.6014.2516.3320.2920.0615.5725.3419.0942.7118.7024.1720.3621.4917.3716.7923.0216.9016.2915.0817.4614.0412.1914.6610.5810.90-1.386.545.079.077.306.287.3410.136.136.2013.675.94-0.21-8.9714.8814.189.199.059.697.86-13.80
23.9825.7522.2020.8819.3618.8616.7317.0115.7613.7420.0421.0123.6527.3122.1425.4227.5119.6014.2516.3320.2920.0615.5725.3419.0942.7118.7024.1720.3621.4917.3716.7923.0216.9016.2915.0817.4614.0412.1914.6610.5810.90-1.386.545.079.077.306.287.3410.136.136.2013.675.94-0.21-8.9714.8814.189.199.059.697.86-13.80
---------------------------------------------------------------
26.5427.7623.9323.1420.7320.5917.0319.0415.7513.1820.2120.0121.9825.7120.8823.7925.7519.1814.0117.2020.2420.6515.8525.5419.5742.7418.9124.2020.4421.2217.5616.4622.8617.1316.1215.3116.5014.1912.2814.4210.8511.01-1.636.135.138.626.965.787.739.894.765.8513.365.980.81-9.0215.1213.879.409.6610.968.82-14.75
20.3221.1818.4917.3215.8216.1612.8313.7413.988.3515.2615.6316.9520.4116.5218.7320.6314.0810.3915.2917.8115.6812.3421.2217.8532.3914.8216.3820.3117.9913.3411.1513.9111.6010.6912.3511.008.887.2310.265.347.00-1.244.164.715.575.504.724.865.742.772.588.343.430.4413.6111.1110.677.399.349.637.32-16.58
0.150.150.150.140.140.150.150.130.130.140.140.130.130.170.150.150.140.100.170.160.170.180.180.190.170.200.200.210.200.230.230.230.230.230.220.230.220.240.240.230.210.230.240.250.230.250.240.230.220.240.230.220.230.250.240.230.220.240.240.240.240.240.22
0.270.270.280.270.300.330.300.300.290.300.290.290.300.310.270.290.300.170.250.260.240.280.310.330.290.370.340.380.340.400.330.360.360.410.330.400.350.430.350.350.320.390.390.450.350.400.370.400.360.420.490.490.600.610.490.490.470.570.560.520.550.500.43
1.701.811.771.951.991.901.861.861.941.951.852.011.971.961.781.921.861.401.841.821.961.901.841.811.861.771.791.741.831.771.711.771.911.741.561.711.681.631.601.731.651.601.601.691.651.641.641.641.611.631.601.571.651.671.561.701.671.801.721.751.701.631.58
52.9849.6750.8946.1545.3447.4248.4948.4346.3446.0448.6544.7345.7445.9050.4846.8648.5064.0948.9949.4446.0147.4648.8649.8448.4750.7350.2451.6249.1450.9952.5350.9847.2051.6157.8352.6053.6455.3756.4252.0554.4656.3656.3753.2054.5554.8154.7555.0255.8955.1656.1557.3254.7153.9957.7752.8653.8249.9752.4751.5352.8655.3556.82
3.373.703.202.842.602.852.202.102.091.362.342.432.614.473.344.084.672.292.133.113.643.362.644.633.447.253.403.904.754.713.512.973.723.142.693.252.822.512.022.811.391.88-0.371.321.301.641.591.321.281.590.740.662.310.980.123.752.963.072.102.632.712.03-4.28
4.895.514.894.454.184.663.713.613.712.474.294.565.0512.9410.9314.7421.7815.013.735.545.554.873.906.955.269.754.715.516.857.065.514.795.164.443.884.714.203.883.104.382.222.68-0.582.112.112.502.442.061.762.201.030.933.241.390.175.344.044.272.963.753.912.99-6.43
2.963.262.792.442.252.481.921.811.811.172.062.112.253.372.402.782.871.371.722.453.052.842.193.942.996.382.983.394.164.133.022.553.192.722.322.792.422.121.722.351.121.58-0.301.061.081.401.341.111.081.370.650.581.930.840.103.102.472.601.792.232.281.72-3.70
3.373.703.202.842.602.852.202.102.091.362.342.432.614.042.883.383.811.852.133.113.643.362.644.633.447.253.403.904.754.713.512.973.723.142.693.252.822.512.022.811.391.88-0.371.321.301.641.591.321.281.590.740.662.310.980.123.752.953.062.102.622.702.02-4.27
14.7314.2213.7413.3412.9612.7512.3812.1411.8711.7511.7411.5911.408.998.628.417.387.567.387.357.126.966.776.646.406.245.885.705.515.204.904.714.674.494.404.254.113.993.883.933.863.923.603.633.593.553.503.483.443.433.423.403.413.413.393.383.283.163.113.073.022.912.81
1.270.650.221.641.160.630.101.140.960.630.211.631.370.760.291.701.010.320.060.700.420.20-0.010.960.640.430.191.140.800.400.130.880.660.330.070.620.410.18-0.030.320.160.00-0.110.340.260.10-0.020.300.280.160.020.200.220.07-0.150.440.380.220.050.340.220.02-0.15
1.050.500.161.320.890.410.011.040.870.560.191.411.170.640.241.651.020.260.020.510.310.12-0.050.810.550.370.160.820.560.270.040.730.560.270.030.500.320.14-0.050.260.12-0.04-0.140.170.10-0.03-0.070.220.220.120.010.070.130.02-0.180.280.310.180.030.310.190.01-0.15