Marcus Financial Ratios for Analysis 2009-2024 | MCS

Fifteen years of historical annual and quarterly financial ratios and margins for Marcus (MCS).

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
2023202220212020201920182017201620152015201420132012201120102009
0.620.410.470.310.450.460.480.28-0.360.360.400.200.390.350.37
0.270.290.330.300.270.340.420.43-0.420.440.450.290.370.370.42
0.390.430.620.630.390.540.760.81-0.780.810.870.700.630.700.78
44.4042.9644.1928.7544.6748.3547.8949.70-46.7846.8847.6348.2146.8345.8747.80
4.651.23-9.05-75.078.3111.7611.8312.44-10.3810.919.2511.248.899.5511.32
4.651.23-9.05-75.078.3111.7611.8312.44-10.3810.919.2511.248.899.5511.32
14.0811.377.17-42.5517.1520.5319.8419.84-18.4018.5417.5519.6917.9018.1919.84
2.97-0.29-12.87-82.386.639.4210.4210.54-8.068.428.409.055.796.657.14
2.03-1.77-9.45-52.525.127.559.956.60-4.925.584.245.493.604.254.49
0.690.640.390.190.600.710.640.63-0.600.580.550.560.540.540.54
----------------
37.0331.578.236.0623.2022.3315.3534.95-23.9736.0446.7936.2535.1923.4830.85
9.8611.5644.3460.2115.7316.3523.7710.44-15.2310.137.8010.0710.3715.5411.83
3.14-1.99-9.54-25.046.7810.9114.499.58-6.836.337.376.613.994.805.25
3.73-2.38-11.44-29.487.7111.9616.0610.79-7.827.308.567.594.595.536.08
1.39-0.86-3.64-9.963.105.406.344.12-2.922.723.123.101.952.292.42
2.30-1.42-6.41-17.554.967.218.455.45-3.983.564.054.722.533.033.03
14.8514.4914.4316.0520.0817.2915.9814.15-12.5712.0911.7011.9011.4211.2310.98
2.502.961.47-2.214.544.783.842.960.002.912.452.272.362.071.762.33
1.661.941.64-2.752.492.75-0.040.02-0.210.431.621.411.530.951.18

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-11-302015-09-302015-08-312015-06-302015-05-312015-03-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
0.540.510.430.620.590.560.380.410.430.520.350.470.450.430.300.310.420.771.250.450.360.390.390.460.470.490.440.480.470.460.290.280.330.320.32-0.41-0.56---0.370.440.40-0.270.340.36-0.420.430.22-0.300.380.34-0.320.320.33-0.340.500.41-0.34
0.270.280.270.270.270.280.300.290.330.330.330.330.370.410.350.300.290.330.380.270.290.300.320.340.370.390.410.420.450.450.430.430.350.370.37-0.39-0.41---0.420.430.43-0.410.410.41-0.460.420.28-0.380.390.34-0.350.350.35-0.370.420.41-0.41
0.400.420.400.390.390.430.460.430.530.620.640.620.720.800.750.630.600.650.630.390.430.450.500.540.630.680.750.760.860.860.800.810.650.690.71-0.71-0.75---0.770.780.78-0.810.810.82-0.910.780.67-0.700.700.57-0.660.670.65-0.700.750.73-0.77
48.0444.9739.9943.4747.1544.7841.1341.3745.2144.4839.5346.2346.7841.8834.2318.1321.22-57.4237.0743.7545.5645.6143.3748.1850.3348.4846.3845.7450.8848.4846.5356.1649.3447.1844.12-47.6548.7448.6146.72-43.8843.1947.9250.63-41.9348.4251.18-42.8650.3750.22-44.1349.7050.27-41.7247.6849.31-43.1945.1848.22-43.46
14.091.27-12.030.7210.0310.05-5.90-1.684.879.52-12.708.314.30-28.21-70.22-150.32-142.86-668.88-13.926.4710.5911.822.918.3713.1415.0610.1210.7613.4611.9711.1510.1617.0613.539.04-9.1214.8017.3312.79-6.416.0810.0117.22-5.158.7618.87--0.249.6617.34-4.436.9518.84-0.116.2317.05-8.342.3617.23-6.79
14.091.27-12.030.7210.0310.05-5.90-1.684.879.52-12.708.314.30-28.21-70.22-150.32-142.86-668.88-13.926.4710.5911.822.918.3713.1415.0610.1210.7613.4611.9711.1510.1617.0613.539.04-9.1214.8017.3312.79-6.416.0810.0117.22-5.158.7618.87--0.249.6617.34-4.436.9518.84-0.116.2317.05-8.342.3617.23-6.79
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12.34-8.24-13.88-1.068.678.49-8.080.602.616.91-16.225.721.31-34.24-76.57-160.67-160.60-716.12-16.354.699.0210.261.065.4811.0512.897.8611.7610.9210.048.967.9315.8711.367.02-6.9213.0815.8410.78-4.053.807.5715.38-2.835.4816.96-3.177.3915.59-1.014.4716.86--4.003.3014.70-5.28-0.4514.60-2.96
10.02-11.49-8.56-0.895.866.51-6.22-5.721.794.51-11.273.811.21-25.25-55.39-106.32-117.41-340.72-12.143.776.767.771.094.989.519.635.8420.806.766.325.715.179.936.924.35-4.278.129.826.54-2.732.574.509.43-3.713.2310.41--1.464.699.05-0.803.1410.07--2.422.408.79-3.31-0.399.28-1.83
0.220.170.140.150.200.190.150.150.160.170.120.140.120.080.040.030.030.010.110.150.160.170.130.180.170.190.170.160.170.170.180.190.180.170.16-0.14-0.19---0.150.150.17-0.150.130.17-0.130.130.16-0.130.120.18-0.120.120.16-0.140.120.16-0.13
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8.226.2810.328.209.7410.057.787.597.037.566.183.043.482.561.620.940.550.136.335.858.978.166.495.535.785.625.453.894.694.8612.1210.307.486.9811.66-8.62-7.52---10.897.9510.77-10.309.7611.02-8.3510.2611.18-12.168.5612.60-8.689.2111.20-6.235.428.85-7.11
10.9514.348.7210.989.248.9511.5711.8512.8011.9114.5729.6425.8335.1855.7196.1416466814.2215.3910.0311.0213.8716.2815.5816.0116.5223.1419.1918.547.428.7412.0312.897.72-10.44-11.96---8.2711.338.35-8.749.238.17-10.778.778.05-7.4010.517.14-10.369.788.04-14.4416.5910.17-12.66
5.04-4.50-2.58-0.312.592.92-2.11-1.410.721.98-3.371.420.40-5.34-6.14-7.82-7.32-4.70-3.261.262.292.980.301.783.364.012.187.732.602.482.282.213.702.511.45-1.41-4.04---0.821.573.61-0.081.063.93-1.361.403.03-0.210.813.60--0.600.612.94-0.95-0.103.04-0.51
6.02-5.40-3.09-0.363.073.48-2.54-1.690.862.37-4.061.700.48-6.45-7.35-9.21-8.50-5.41-3.731.442.603.390.341.953.694.422.418.572.902.782.562.494.182.851.65-1.61-4.60---0.941.804.14-0.101.224.54-1.581.613.46-0.240.934.13--0.690.703.38-1.10-0.113.51-0.59
2.23-1.92-1.17-0.141.161.26-0.91-0.610.290.76-1.310.540.15-1.91-2.29-3.11-3.00-1.91-1.350.581.061.350.130.881.641.870.993.381.101.050.980.951.751.150.65-0.64-1.80---0.360.691.60-0.040.461.71-0.570.631.46-0.100.391.82--0.290.301.44-0.46-0.051.44-0.24
3.67-3.23-1.88-0.221.892.09-1.48-1.000.481.33-2.250.950.25-3.16-3.99-5.48-5.20-3.16-2.020.931.622.090.201.182.112.441.284.511.431.371.301.262.401.590.92-0.86-2.39---0.470.902.06-0.050.632.31-0.730.812.18-0.130.492.38--0.390.391.91-0.60-0.061.80-0.30
14.6813.9714.2814.8514.9214.5714.1614.4914.5114.3714.0314.4314.0813.9314.5916.0517.2818.5219.3520.0820.1319.8119.3617.2917.0516.6616.0715.9814.9514.6714.3914.1513.9413.5213.26-13.07-12.98---12.5612.5412.43-12.0612.1312.06-11.5512.5212.20-11.8211.8611.81-11.3711.5012.14-11.2111.1711.25-10.98
1.600.65-0.472.501.681.16-0.252.961.481.360.211.470.07-0.31-0.42-2.21-2.60-1.77-0.544.542.741.900.264.782.671.940.423.841.800.930.912.961.601.040.380.001.651.480.631.140.00-0.052.021.280.600.001.751.390.800.001.551.290.520.001.861.210.920.001.571.160.800.001.590.660.680.002.00
-0.07-0.45-0.961.661.050.77-0.531.940.931.080.111.640.07-0.37-0.33-2.75-3.15-2.24-0.862.491.140.93-0.192.751.110.81-0.14-0.04-1.12-0.850.130.02-0.45-0.46-0.22-0.94-0.600.14-0.50--0.800.330.300.13-0.590.650.48-1.020.920.34-0.920.750.79-0.900.630.72-1.120.330.45-1.31