Lightbridge Financial Ratios for Analysis 2009-2024 | LTBR

Fifteen years of historical annual and quarterly financial ratios and margins for Lightbridge (LTBR).

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
59.2382.821454.7452.5452.004.423.831.067.9910.4014.345.847.093.09
---------------
---------------
------38.9639.9723.7542.2841.6338.3637.2034.8340.72
-------3,760.50-1,003.83-726.85-367.55-255.26-122.23-99.56-100.66-68.79
-------3,760.50-1,003.83-726.85-367.55-255.26-122.23-99.56-100.66-68.79
-------3,480.52-978.67-726.85-367.55-254.35-121.46-99.13-100.40-68.60
-------4,049.62-834.26-474.25-278.91-241.26-110.32-92.33-99.74-68.79
-------4,207.26-921.28-474.25-278.91-241.26-110.32-92.33-99.74-68.79
------0.030.110.410.220.340.600.600.501.47
---------------
------16.871.966.512.794.466.1122.937.664.34
------21.6418656.0413181.7659.7315.9247.6784.04
-27.36-25.75-31.61-83.80-55.62-60.61-122.63-114.19288-476.91-132.21-70.45-66.40-57.64-145.53
-27.46-25.85-31.74-84.20-59.13-64.53-160.49-144.301765,430-165.57-78.66-70.70-57.60-145.53
-26.90-25.44-31.39-66.17-54.61-59.50-102.29-93.28-195.62-60.37-81.08-66.04-55.80-49.40-101.44
-27.36-25.75-31.61-83.78-55.61-60.60-122.61-114.17288-476.91-132.21-70.45-66.40-57.64-145.53
2.112.452.542.625.909.455.469.38-4.832.5413.8327.5942.69--
-0.54-0.62-1.57-2.03-2.15-3.34-5.76-15.17-12.01-16.75-18.07-24.28-19.64-12.72-15.33
-0.54-0.62-1.57-2.03-2.15-3.34-5.76-15.17-12.01-16.75-18.07-24.28-19.65-12.73-15.39

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
29.3431.2459.2333.6848.1849.3982.8226.5461.4963.5714514.8912.3825.044.749.6819.3634.3452.5412.6446.1635.0152.0018.7018.6617.504.423.714.735.243.834.121.260.971.063.896.967.057.993.732.705.8410.407.128.0611.1114.346.168.156.465.848.208.547.447.099.852.783.803.093.582.792.86
--------------------------------------------------------------
-------------------------------0.010.06-0.43----------------------------
--------------------------22.4638.1370.1936.9927.3347.2249.2259.044.7349.207.5553.6838.8150.5533.8450.8040.6023.8744.4944.8938.7837.3638.0538.7944.4248.6831.2730.7422.9838.5435.1737.1038.9335.8244.9040.42
---------------------------17,938.23-10,588.91-10,445.82-1,197.57-790.43-1,812.93-1,202.71-951.11-1,102.72-535.90-496.72-870.07-223.48-276.43-474.24-564.45-223.08-781.68-150.90-250.69-87.92-237.48-141.83-75.88-251.74-74.15-56.82-110.37-192.77-82.93-101.33-69.65-98.41-113.43-39.07-51.15
---------------------------17,938.23-10,588.91-10,445.82-1,197.57-790.43-1,812.93-1,202.71-951.11-1,102.72-535.90-496.72-870.07-223.48-276.43-474.24-564.45-223.08-781.68-150.90-250.69-87.92-237.48-141.83-75.88-251.74-74.15-56.82-110.37-192.77-82.93-101.33-69.65-98.41-113.43-39.07-51.15
--------------------------------------------------------------
---------------------------19,118.99-11,453.15-11,352.95-1,288.19-826.33-1,806.70-1,060.01-200.97-1,274.10-74.42-342.5594.9732634.89-501.57-1,341.27-173.15-779.92-155.40-247.88-82.34-210.98-134.04-63.34-229.29-70.73-50.68-103.84-188.09-81.46-101.94-70.03-98.03-113.43-39.07-51.63
---------------------------20,364.93-11,776.88-11,692.64-1,324.36-838.66-2,544.47-1,060.01-200.97-1,274.10-74.42-342.5594.9732634.89-501.57-1,341.27-173.15-779.92-155.40-247.88-82.34-210.98-134.04-63.34-228.09-70.73-50.68-103.84-187.57-81.51-102.14-70.20-97.42-113.78-39.27-51.70
--------------------------0.000.000.000.020.060.010.040.060.120.070.070.020.070.120.110.060.100.060.160.100.140.080.120.130.080.140.170.110.080.120.370.370.300.250.320.28
--------------------------------------------------------------
--------------------------1.001.001.321.551.001.001.761.081.820.921.210.390.921.990.860.501.310.270.991.231.411.411.481.363.001.991.781.751.191.611.740.910.880.970.880.68
--------------------------90.0090.0067.9458.2090.0090.0051.2683.0149.4798.0274.6023197.7745.1510518068.7733590.6072.9363.8964.0060.9566.2229.9545.2050.6451.3375.8355.7651.8399.0410292.69102132
-8.79-10.06-8.20-6.30-5.85-7.16-6.55-6.68-5.13-7.21-9.28-12.35-11.57-13.13-40.44-17.42-11.73-12.58-9.47-11.44-14.42-12.40-12.46-15.73-12.24-17.51-34.32-31.31-28.49-25.02-57.76-29.50-117.59133216-22.86-169.1412.191845.15-78.98-89.53-27.82-54.93-27.93-27.64-12.12-19.77-17.87-9.49-21.50-11.27-10.47-13.79-16.80-11.21-56.13-34.72-41.79-39.09-19.35-21.56
-8.82-10.10-8.23-6.32-5.88-7.18-6.58-6.70-5.15-7.23-9.32-12.43-11.65-13.20-40.64-19.44-12.99-13.98-10.07-12.44-15.57-13.30-13.27-16.69-12.91-18.51-44.91-41.10-36.60-30.23-73.00-37.82-2,373.5726.48132133365104-2,093.609.04-120.55-110.61-34.84-76.28-34.22-32.04-13.53-21.77-19.39-10.18-22.89-11.27-10.46-13.78-16.79-11.20-55.98-34.72-41.79-39.16-19.35-21.56
-8.49-9.75-8.06-6.12-5.74-7.01-6.48-6.43-5.04-7.09-9.22-11.52-10.64-12.61-31.93-15.79-11.18-12.25-9.30-10.60-14.13-12.07-12.23-14.95-11.66-16.71-28.63-25.25-24.25-21.45-47.19-24.00-45.89-12.31-146.79-5.34-25.332.3623.284.26-57.00-76.70-17.06-49.15-25.04-25.48-11.36-16.85-15.87-8.12-18.06-9.97-8.83-11.13-14.40-10.10-37.60-26.23-29.13-28.88-12.72-14.36
-8.79-10.06-8.20-6.30-5.85-7.16-6.55-6.68-5.13-7.21-9.28-12.35-11.57-13.13-40.44-17.42-11.73-12.58-9.47-11.43-14.42-12.40-12.46-15.73-12.23-17.51-34.31-31.30-28.48-25.02-57.75-29.49-117.59133216-22.86-169.1412.191845.15-78.98-89.53-27.82-54.93-27.93-27.64-12.12-19.77-17.87-9.49-21.50-11.27-10.47-13.78-16.80-11.21-56.13-34.72-41.79-39.16-19.38-21.59
1.851.982.112.262.292.342.452.642.662.692.542.152.112.332.623.984.775.355.906.577.328.339.4510.5512.0613.535.465.826.968.629.3811.812.76-0.73-4.832.472.003.212.547.368.8315.1713.8311.4817.5722.1327.5930.2535.3240.4142.69-----------
-0.27-0.14-0.54-0.34-0.26-0.14-0.62-0.37-0.29-0.19-1.57-1.30-1.16-0.96-2.03-1.38-1.01-0.61-2.15-1.28-0.95-0.54-3.34-2.15-1.50-1.16-5.76-3.97-3.03-1.50-15.17-9.77-6.72-4.01-12.01-8.39-5.83-3.42-16.75-13.64-10.43-5.86-18.07-15.72-9.58-5.09-24.28-17.72-14.22-7.30-19.19-17.23-14.40-6.25-11.57-8.92-1.81-6.02-15.12-9.88-3.76-7.05
-0.27-0.14-0.54-0.34-0.26-0.14-0.62-0.37-0.29-0.19-1.57-1.30-1.16-0.96-2.03-1.38-1.01-0.61-2.15-1.28-0.95-0.54-3.34-2.15-1.50-1.16-5.76-3.97-3.03-1.50-15.17-9.77-6.72-4.01-12.01-8.39-5.83-3.42-16.75-13.64-10.43-5.86-18.07-15.72-9.58-5.09-24.28-17.81-14.32-7.30-19.20-17.24-14.41-6.25-11.58-8.92-1.81-6.02-15.18-9.94-3.82-7.05