Grand Canyon Education Financial Ratios for Analysis 2009-2024 | LOPE

Fifteen years of historical annual and quarterly financial ratios and margins for Grand Canyon Education (LOPE).

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
3.482.746.952.812.193.841.571.011.141.491.591.400.951.081.45
---0.050.070.020.060.080.110.140.200.290.110.150.22
---0.070.100.050.070.130.130.180.270.430.140.200.32
52.4253.4957.4858.4759.6670.6476.3575.4857.6458.2157.4856.8954.3553.6261.09
25.9426.0631.4732.8734.0530.5329.0327.1627.0326.1723.9522.3119.2515.0917.78
25.9426.0631.4732.8734.0530.5329.0327.1627.0326.1723.9522.3119.2515.0917.78
29.2729.4834.8736.3837.5134.7534.5932.3931.6230.4328.2026.6423.2618.2420.84
27.0226.3536.9539.4740.7833.9429.1127.0426.8626.0024.2222.1919.1014.9017.29
21.3320.2629.0430.4733.2927.0920.8717.0116.8916.1314.8313.5811.849.1310.43
1.031.090.730.460.460.640.750.800.870.910.971.031.341.401.50
---------------
11.9911.3612.5712.3213.8716.4274.9761.4063.5390.8655.3264.3018.0214.6118.98
30.4432.1229.0429.6226.3122.234.875.945.754.026.605.6820.2524.9919.24
28.5528.9624.9116.3417.9618.8720.6219.2021.5323.4125.7329.6730.9527.6131.74
52.7161.5537.2421.0823.9818.9220.6819.2721.6423.5525.9530.0531.5228.2632.86
22.0322.1821.2913.9415.3317.3015.6013.5914.7314.7514.4014.0315.9012.8015.63
28.5528.9624.9115.6016.7118.5119.4417.6719.2020.0320.5421.1927.4923.5424.63
23.9720.5327.7033.7530.0125.1820.4916.2713.0210.197.495.233.692.791.88
8.086.857.126.556.354.116.325.053.913.552.573.191.950.871.34
6.615.766.475.925.882.153.75-0.03-0.70-0.040.540.870.16-0.480.02

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
3.693.632.783.482.762.782.642.742.342.412.876.950.850.872.452.812.381.481.872.191.920.961.573.844.655.731.661.571.361.331.181.010.870.861.021.141.101.221.371.491.261.451.641.591.451.531.451.400.890.890.960.950.830.911.011.081.191.341.331.451.221.061.47
-------------0.040.040.050.050.060.060.070.130.140.140.020.050.050.050.060.060.070.070.080.090.090.100.110.120.120.130.140.160.170.180.200.220.240.260.290.080.090.100.110.130.130.140.150.170.180.210.220.270.330.33
------------0.060.080.060.070.080.080.090.100.190.190.200.050.050.060.060.070.070.080.090.130.120.150.120.130.140.150.170.180.200.220.240.270.300.340.380.430.100.110.120.140.160.170.190.200.230.250.290.320.410.550.52
50.0147.6455.5856.1749.0847.1255.6857.1349.7547.8357.4761.9652.7353.0560.6362.0955.1654.3860.9860.1058.3656.0563.6564.4759.9874.0277.7110976.0456.4758.6712356.4055.7758.2957.2056.9956.8759.4758.6559.0357.2257.7958.1657.5456.3557.7658.3757.0655.2256.6155.1955.0755.0551.9545.1853.8057.2058.9648.2864.4967.5567.60
20.2218.7830.7635.1418.7216.8329.7835.0517.0116.9431.7340.7421.9224.9435.5540.8325.7326.0136.4538.4430.9029.1736.7145.1418.9324.7032.6833.6625.2725.2330.8731.3522.3723.3930.2729.2425.3324.1828.8428.1826.2523.8925.9425.1624.4722.2623.6723.5323.3621.3020.6620.6318.9721.3515.90-0.4218.6921.0321.9423.0610.1320.6816.24
20.2218.7830.7635.1418.7216.8329.7835.0517.0116.9431.7340.7421.9224.9435.5540.8325.7326.0136.4538.4430.9029.1736.7145.1418.9324.7032.6833.6625.2725.2330.8731.3522.3723.3930.2729.2425.3324.1828.8428.1826.2523.8925.9425.1624.4722.2623.6723.5323.3621.3020.6620.6318.9721.3515.90-0.4218.6921.0321.9423.0610.1320.6816.24
---------------------------------------------------------------
21.9620.5932.1136.2119.9518.0630.6335.5717.3717.1131.8143.3128.9332.0141.4046.7632.8633.5742.4944.1937.9337.3242.9352.8327.3325.3432.9133.7425.6425.3530.6431.2321.1123.4631.0228.7225.2724.1728.7828.1625.9523.7925.7124.8525.1021.9924.7523.3623.2621.2520.5020.2718.8321.3515.82-0.6018.5420.9121.6222.819.7820.2015.24
17.4015.3324.7629.0016.1113.7623.8127.4614.3812.8023.7933.8623.0524.5532.9736.4126.2425.3132.2135.9530.0929.2437.1342.5421.7219.4426.7325.1516.6418.2522.5319.6113.9014.4419.2417.6517.2414.7517.6117.4216.5814.5515.7016.1014.7913.4814.7514.8013.8313.0812.3513.5611.8212.489.320.5910.8612.7112.8514.325.2812.159.15
0.240.230.270.300.260.250.290.310.270.250.270.210.120.110.130.130.110.100.130.130.110.100.120.130.120.170.200.210.180.190.210.220.200.190.240.240.210.210.240.250.230.230.260.260.260.260.270.290.320.320.330.360.360.360.360.360.350.410.400.440.360.500.35
---------------------------------------------------------------
2.026.512.003.472.056.252.373.231.995.762.393.522.039.502.433.482.028.352.643.802.1010.232.383.452.1875225.5320.8914.0714.1017.9117.2012.9210.8921.2717.6320.3621.4229.0224.9821.0618.6322.6815.0219.0512.6618.5617.7714.5814.2613.344.774.412.722.943.783.022.296.435.614.135.244.84
44.6513.8344.9725.9143.9014.4137.9727.9045.1715.6337.6025.5444.299.4837.0625.8744.4810.7834.1423.6942.908.7937.8026.1041.270.123.534.316.406.385.025.236.968.274.235.114.424.203.103.604.274.833.975.994.727.114.855.066.176.316.7518.8620.4233.0930.6023.8029.7639.3513.9916.0421.7817.1818.58
5.434.598.9611.245.494.499.0411.145.074.218.228.143.403.214.925.513.423.164.935.314.213.855.756.222.974.187.016.924.294.576.766.204.084.066.786.255.754.746.666.956.605.666.907.597.176.618.108.938.507.857.969.388.779.027.010.468.4510.9411.5812.904.7514.167.73
9.408.0315.7320.7511.199.2818.4023.6711.919.6516.0212.184.534.156.327.114.474.166.577.105.725.328.026.242.974.207.036.944.314.586.796.234.104.086.816.285.784.776.706.996.655.716.967.657.246.678.209.058.627.978.099.568.959.217.160.478.6511.2311.9313.354.9514.988.10
4.183.516.578.674.143.426.818.533.823.256.326.962.842.684.144.702.892.634.124.543.303.054.525.702.703.295.295.243.043.414.844.392.732.754.554.273.653.114.194.383.843.354.014.253.803.524.004.224.374.164.134.824.254.443.310.213.825.215.176.351.906.043.21
5.434.598.9611.245.494.499.0411.145.074.218.228.143.403.094.725.263.252.974.614.943.653.334.976.112.833.986.646.534.024.266.275.713.723.686.105.575.094.165.785.955.564.705.646.065.595.035.986.387.817.147.168.337.677.886.050.397.048.939.1810.013.479.475.20
26.1025.6925.4523.9721.6221.2321.3920.5318.8518.9821.2327.7032.5433.9834.2533.7532.3331.4830.5430.0128.6127.4626.3825.1823.6522.8021.8020.4919.0318.1517.2816.2715.1514.4313.8213.0212.3011.5310.9010.199.418.728.177.496.846.285.685.234.844.414.093.693.313.223.022.792.782.482.171.881.611.211.44
5.296.242.878.084.265.192.066.853.524.582.017.124.724.611.946.553.824.691.796.354.043.921.584.111.992.972.466.325.592.772.285.054.522.391.853.913.571.731.443.553.331.901.152.572.190.960.703.192.751.761.131.951.460.840.510.871.740.651.061.341.480.600.80
4.345.632.566.613.114.611.785.762.684.111.826.478.524.271.755.924.954.431.675.884.963.721.492.150.131.331.733.753.811.531.66-0.030.29-0.590.63-0.70-0.01-0.640.48-0.040.330.160.560.540.68-0.020.340.871.110.640.750.160.08-0.010.19-0.480.880.170.810.020.28-0.440.70