Manhattan Associates Financial Ratios for Analysis 2009-2024 | MANH

Fifteen years of historical annual and quarterly financial ratios and margins for Manhattan Associates (MANH).

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
1.311.321.641.701.281.481.841.761.861.872.101.991.982.192.38
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53.6353.3055.1253.9753.8956.9258.6758.6757.6956.8056.3057.0157.7556.6556.43
22.6019.9120.2419.4518.7623.9431.2232.1429.0225.8324.4321.2818.6414.118.57
22.6019.9120.2419.4518.7623.9431.2232.1429.0225.8324.4321.2818.6414.118.57
23.2220.7821.4320.9820.0525.4832.7533.6430.4127.1325.8422.7820.8517.1913.20
23.0120.6120.2019.4018.7824.3631.0932.4429.2726.0124.8721.5419.2014.068.26
19.0116.8116.6514.8813.8818.7219.5920.5518.6016.6616.2313.7813.649.446.71
1.381.351.231.261.661.821.892.031.671.551.391.441.271.060.93
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5.094.585.225.286.045.546.456.035.715.675.836.065.395.966.50
71.7479.6669.8669.1460.4165.8556.6260.5563.8864.4062.6460.2567.7661.2656.15
63.4556.8644.0839.8560.2871.1566.5873.3552.9345.0537.0632.1127.7115.279.03
81.7378.3658.6455.6910712310311677.6568.4656.4052.2544.9923.3214.08
26.2222.6220.4718.7423.0434.0836.9841.8131.1425.7722.6019.8117.3010.016.26
63.4556.8644.0839.8560.2871.1566.5873.3552.9345.0537.0632.1127.7115.279.03
4.523.653.973.452.242.272.582.412.692.462.382.061.982.112.04
3.932.832.882.192.262.072.361.931.621.241.150.930.650.560.65
3.862.732.822.152.021.962.271.841.471.121.090.830.590.490.62

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
1.251.171.201.311.181.091.151.321.291.381.471.641.661.601.601.701.561.371.231.281.321.421.401.481.491.381.531.841.951.671.541.761.861.821.761.861.942.051.971.872.032.072.112.102.092.102.051.992.012.012.041.981.882.052.182.192.122.242.232.382.282.132.20
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55.5054.7653.1455.2053.2652.9053.1154.5751.4653.8153.3852.4057.7457.4852.7854.5656.4653.5351.3853.0254.1753.6254.7456.4957.0258.3655.7459.2458.7459.5757.0658.7659.4859.6456.7557.3459.1757.7656.3855.0757.1257.1058.1354.4658.1757.0655.4554.5757.0957.9458.5358.2058.0159.5754.6855.0255.1157.8558.5158.9359.1054.5852.81
28.1625.7022.6424.7122.4221.8521.3022.5718.5619.4118.9815.8325.0723.6916.2119.1723.3619.6815.7216.3921.5717.8719.0523.7425.3625.1521.3130.2433.4231.9629.0830.7335.2033.7428.7627.9530.6929.7427.6122.2928.2626.5226.4622.9328.5425.5420.3520.0422.6222.8119.6119.4022.6620.6010.5312.3312.9915.4815.5315.9116.93-0.731.03
28.1625.7022.6424.7122.4221.8521.3022.5718.5619.4118.9815.8325.0723.6916.2119.1723.3619.6815.7216.3921.5717.8719.0523.7425.3625.1521.3130.2433.4231.9629.0830.7335.2033.7428.7627.9530.6929.7427.6122.2928.2626.5226.4622.9228.5425.5420.3520.0422.6222.8119.6119.4022.6620.6010.5312.3312.9915.4815.5315.9116.93-0.731.03
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28.6526.0523.0325.0723.1422.3021.3722.9819.3820.5819.4015.6925.0423.8816.0218.7222.7619.5616.6416.2522.0717.8218.8023.1226.4425.8521.8729.8433.5631.9128.8231.0135.3434.1729.1128.0731.1230.0027.8122.9528.2226.7826.2622.8229.0526.7620.5120.6022.3623.6719.4820.1723.6620.9810.5612.6612.7315.8714.8515.3117.32-1.420.65
23.9219.8921.1420.4620.7317.1517.5519.1214.9816.0617.0912.0021.6718.4214.4413.9716.6714.1614.6410.9616.7013.5614.1317.9519.9919.5017.3517.0121.3220.2019.6720.2722.0121.5318.3418.6419.6018.6917.3815.6117.7916.8116.4815.6618.2616.9813.8213.0814.4115.1512.4612.6017.3813.969.999.018.4210.559.739.4516.82-0.950.43
0.380.400.380.350.420.440.420.350.380.370.350.320.330.350.340.320.360.360.440.410.430.410.410.470.490.490.430.460.470.540.500.500.480.530.490.430.440.460.440.410.410.420.390.360.380.380.370.360.350.360.350.320.330.330.260.260.270.290.270.230.260.240.24
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1.341.391.241.321.301.291.381.181.381.431.361.351.471.461.481.321.421.251.371.501.501.541.381.431.531.431.531.561.581.601.711.471.541.671.781.451.551.681.611.501.431.391.701.511.581.501.621.541.311.451.451.371.511.621.501.431.521.621.741.641.561.451.32
67.4164.8772.7368.4469.2269.5265.3976.0665.2062.7766.4066.6661.3661.7460.9867.9763.3171.7365.7760.1960.1258.4865.1062.8958.7862.8758.7957.6157.1156.2252.7361.1558.4754.0450.5261.9758.2153.6655.9959.9363.0564.9252.9259.5056.9660.1155.5258.6168.7861.9861.9665.8559.6655.5959.9662.7659.3055.3951.8054.9657.6562.0268.35
22.9521.9322.4517.5123.5223.2321.4216.7014.9814.7714.098.2115.3614.4011.069.3813.2812.5717.9011.7817.8713.5314.4217.6120.3721.4115.3114.0116.7719.7519.0917.6617.9119.0515.7113.4914.6514.1412.9811.1812.1111.6810.539.2811.1310.408.197.728.148.686.986.499.227.234.013.513.524.523.973.206.23-0.340.15
29.5729.5830.3322.5633.4236.5832.6423.0121.8321.0419.7510.9220.7820.3715.9013.1119.8621.2135.4120.9430.3222.6325.2230.5236.7541.3026.4321.7524.6832.6332.9627.9226.8429.5724.3819.7921.7721.3719.9116.9918.7218.0616.2114.1217.1816.5613.2512.5712.8714.0211.2810.5415.0311.416.205.365.527.016.204.999.99-0.580.26
9.147.937.977.248.637.527.316.645.775.995.983.817.136.444.944.415.995.056.474.507.135.625.838.449.789.467.377.789.9910.949.8210.0710.6011.359.067.948.648.667.736.407.337.146.445.666.856.475.054.765.015.414.414.055.664.612.642.302.313.022.662.224.29-0.230.10
22.9521.9322.4517.5123.5223.2321.4216.7014.9814.7714.098.2115.3614.4011.069.3813.2812.5717.9011.7817.8713.5314.4217.6120.3721.4115.3114.0116.7719.7519.0917.6617.9119.0515.7113.4914.6514.1412.9811.1812.1111.6810.539.2811.1310.408.197.728.148.686.986.499.227.234.013.513.524.523.973.206.23-0.340.15
4.553.933.894.523.412.772.923.653.183.333.443.973.773.353.223.452.962.411.982.242.372.402.252.272.141.972.212.582.822.292.132.412.632.442.432.692.612.502.422.462.472.352.342.382.302.172.092.062.132.042.011.981.972.022.072.112.042.042.032.041.961.811.85
3.072.060.883.932.531.590.942.831.971.330.502.882.261.330.622.191.600.940.182.261.731.110.542.071.571.020.762.361.691.050.871.931.410.820.551.621.140.580.201.240.710.280.251.150.860.430.260.930.640.420.160.650.490.280.090.560.400.260.150.650.440.260.14
2.981.990.843.862.491.560.922.731.901.300.482.822.221.310.612.151.570.910.162.021.551.060.531.961.480.960.732.271.631.010.861.841.340.770.531.471.010.500.161.120.620.230.231.090.810.410.250.830.580.380.140.590.440.250.080.490.350.230.140.620.420.250.13