Mistras Group Inc Financial Ratios for Analysis 2009-2024 | MG

Fifteen years of historical annual and quarterly financial ratios and margins for Mistras Group Inc (MG).

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
20232022202120202019201820172016201620152014201320122011201020092009
1.551.621.331.481.642.022.16-1.941.832.021.942.082.112.15-1.36
0.500.490.490.530.480.520.39-0.230.300.250.230.200.130.10-0.59
1.091.031.081.190.951.120.67-0.380.540.400.370.310.220.21-1.86
28.8928.8329.1230.1329.0328.0026.78-28.2325.9727.7428.0329.6930.5430.55-33.12
-0.272.882.68-17.083.222.990.59-6.004.276.145.218.268.757.68-7.09
-0.272.882.68-17.083.222.990.59-6.004.276.145.218.268.757.68-7.09
4.567.727.84-11.068.377.635.07-10.528.9510.7010.2413.3014.2913.33-13.22
-2.651.351.08-19.271.391.92-0.03-5.343.625.634.587.707.936.24-4.88
-2.470.950.57-16.780.810.92-0.31-3.432.263.612.204.894.856.22--10.35
1.321.291.201.021.041.071.26-1.491.511.401.401.321.361.43-1.36
32.8336.0937.8431.5239.6140.9548.87-52.0448.5739.6030.4624.5923.9321.63-16.35
5.315.566.185.515.505.005.08-5.215.344.524.884.184.344.97-5.29
68.7365.6659.0366.2966.3172.9371.90-69.9968.3780.6974.8687.3284.1273.40-68.96
-9.163.311.94-50.432.132.53-0.80-8.926.539.315.5411.059.758.01-11,957.50-11.86
42.71-13.17-6.09128-5.74-5.72-59.97-38.7758.5341.8027.3334.4521.4814.9015.31-77.70
-3.261.230.69-17.050.840.99-0.39-5.113.395.083.086.476.575.507.573.68
-4.551.670.99-23.801.111.21-0.49-6.834.556.954.258.878.527.19-11,957.505.40
6.236.656.806.759.889.499.57-9.558.548.527.456.906.054.90-3.33
0.880.871.402.332.041.421.960.002.281.681.261.491.090.940.780.000.97
0.240.500.841.831.340.761.33-1.821.210.731.100.830.580.70-0.58

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-11-302016-09-302016-08-312016-06-302016-05-312016-03-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-12-312009-11-302009-08-312009-06-302009-05-312009-03-312009-02-28
1.691.631.551.651.561.611.621.621.361.361.331.431.341.471.481.581.531.661.641.731.721.842.022.092.142.432.162.212.342.37-2.37-2.19---2.062.051.97-2.122.221.80-2.212.231.98-2.121.932.10-2.102.481.95-2.182.102.17-2.07-2.021.49----
0.510.520.500.520.480.500.490.520.490.500.490.510.500.540.530.560.580.610.480.490.490.520.520.360.360.400.390.290.280.28-0.27-0.22---0.240.270.28-0.340.380.34-0.270.260.21-0.260.240.14-0.200.200.11-0.110.130.10-0.12-0.130.64----
1.111.141.091.141.001.051.031.151.101.131.081.141.121.231.191.361.451.600.951.011.011.121.120.590.600.680.670.440.430.42-0.40-0.32---0.390.450.49-0.600.700.64-0.440.420.33-0.420.380.22-0.320.320.20-0.200.240.20-0.23-0.262.18----
29.5727.7029.4530.3228.2527.4230.2830.1429.9224.6828.9729.9131.1426.0230.6932.0433.0825.4928.2630.0629.9427.6528.9428.7328.7225.6626.8226.6727.1926.42-29.4830.0029.7228.90-26.2626.7029.2228.51-23.7528.5425.21-25.9030.6128.91-25.5930.4329.74-28.4130.8329.98-28.5331.3030.37-27.39-32.0130.58100.00--27.88
6.303.010.39-2.612.21-1.093.455.115.35-2.911.355.296.40-3.092.893.88-0.31-69.751.305.617.69-2.491.381.665.373.413.35-5.782.941.99-7.087.186.622.71-3.373.5910.057.19-2.378.792.20-1.989.737.05-3.7311.436.80-5.2112.326.53-5.9211.484.85-2.54-10.664.97100.00---0.64
6.303.010.39-2.612.21-1.093.455.115.35-2.911.355.296.40-3.092.893.88-0.31-69.751.305.617.69-2.491.381.665.373.413.35-5.782.941.99-7.087.186.622.71-3.373.5910.057.19-2.378.792.20-1.989.737.05-3.7311.436.80-5.2112.326.53-5.9211.484.85-2.54-10.664.97100.00---0.64
---------------------------------------------------------------------
3.980.61-2.17-4.930.02-3.511.243.574.17-4.100.073.964.63-5.180.691.42-2.70-71.50-0.734.075.90-4.480.070.624.382.462.67-6.382.341.37-6.566.726.142.52-2.712.899.366.12-1.668.141.66-1.469.246.50-3.0710.846.13-4.4411.325.81-5.1710.723.84-1.38-8.952.77100.00---2.99
3.360.54-1.38-5.740.19-2.971.692.452.59-3.32-0.061.943.34-3.490.111.03-2.13-61.770.461.613.70-2.99-0.59-0.563.131.550.47-3.881.301.04-4.124.293.921.55-2.062.245.873.82-1.115.041.00-0.795.914.15-2.066.653.78-2.926.973.53-3.086.392.33-1.20-13.991.452.69--42.57
0.350.340.340.330.330.320.310.330.320.280.300.300.300.260.280.250.220.270.250.260.270.240.260.330.350.330.340.370.350.35-0.36-0.36---0.350.410.39-0.340.390.33-0.360.380.36-0.340.360.37-0.350.400.37-0.380.430.36-0.35-0.380.331.41---
8.948.848.407.927.868.268.659.409.689.679.5810.059.538.658.486.745.848.809.5710.0210.279.439.8411.6611.8112.6713.0711.7211.3311.35-11.98-11.78---11.9014.2511.88-10.1212.1310.80-8.988.487.44-8.208.306.77-5.667.186.26-5.505.995.30-3.54-3.853.12----
1.271.311.371.321.481.401.361.361.381.271.561.371.451.371.491.301.201.271.321.301.291.281.221.171.331.351.361.281.321.31-1.25-1.26---1.251.311.34-1.301.251.17-1.201.281.28-1.231.301.29-1.091.111.26-1.271.401.32-1.31-1.431.441.41---
71.1268.5165.6768.4360.7364.5166.1666.2665.1470.7557.5865.8462.2565.5460.2569.4375.0070.6268.3869.3269.5670.5173.8576.8867.6766.6166.2370.2668.2368.45-72.03-71.67---72.1868.9267.09-69.2871.7377.07-74.9270.2970.40-73.1869.2069.55-82.3480.9971.56-70.7764.1868.25-68.94-63.1162.3963.64---
3.290.54-1.31-5.560.19-2.541.442.352.40-2.72-0.041.692.95-2.790.090.84-1.51-57.360.291.112.65-1.96-0.39-0.362.161.060.32-2.600.810.63-2.62-2.35---1.354.322.72-0.734.170.69-0.534.042.60-1.284.392.18-1.664.371.86-1.674.071.18-0.61-2.87-1.87----
-19.18-2.456.1323.39-0.809.73-5.75-7.24-7.398.010.14-5.12-8.366.63-0.22-1.822.85102-0.79-2.76-6.804.380.89-4.5631.5324.7424.04-11.643.923.10-11.22-9.40---6.4522.8918.13-9.1154.5641.45-2.6115.0011.07-8.1627.156.26-4.309.714.31-3.388.342.33-1.20-5.76-4.763.80---
1.160.19-0.47-1.930.07-0.940.540.810.84-0.94-0.020.581.01-0.920.030.27-0.47-16.880.120.421.01-0.73-0.15-0.181.100.520.16-1.440.460.36-1.48-1.41---0.782.381.47-0.371.960.33-0.292.231.51-0.692.411.41-1.022.751.29-1.162.760.83-0.41-1.890.503.80---
1.620.26-0.65-2.690.10-1.280.731.131.22-1.36-0.020.831.47-1.290.040.37-0.64-22.650.150.561.34-0.95-0.19-0.231.380.640.20-1.840.580.45-1.92-1.83---1.023.151.94-0.492.600.45-0.382.982.06-0.943.351.89-1.323.481.67-1.483.521.06-0.54-2.490.691.65---
6.256.066.236.126.626.496.656.276.526.636.806.826.856.546.756.366.065.919.889.639.819.409.499.779.799.769.579.469.649.44-9.66-9.63---9.239.158.72-8.438.728.51-8.138.107.64-7.657.436.99-6.626.496.18-5.405.264.98-4.72-4.693.47----
0.160.020.880.350.600.150.870.350.26-0.181.400.750.600.112.331.431.200.212.041.390.730.291.420.850.690.201.961.250.780.450.000.871.720.571.250.000.971.870.900.550.001.170.110.300.000.770.540.400.000.950.940.740.000.730.010.450.000.690.340.350.000.440.000.340.270.000.000.000.34
-0.12-0.130.24-0.090.300.010.500.070.06-0.270.840.280.29-0.011.831.080.960.071.340.840.360.110.760.350.340.041.330.780.470.34-0.661.390.461.04-0.851.520.650.40-0.80-0.140.18-0.400.280.31-0.680.780.66-0.52-0.110.35-0.470.200.28-0.39-0.330.21---0.17