M/I Homes Financial Ratios for Analysis 2009-2024 | MHO

Fifteen years of historical annual and quarterly financial ratios and margins for M/I Homes (MHO).

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
6.845.665.125.476.285.996.325.656.266.205.997.257.378.326.27
0.250.310.370.410.430.490.520.490.510.470.480.520.520.480.41
0.340.450.590.690.750.961.080.981.030.900.931.091.090.910.70
25.2625.2724.2622.4819.7719.6620.4419.7021.4121.0820.4719.8717.5317.0313.15
14.5615.4313.8410.487.487.147.076.437.886.815.663.78-3.34-1.56-14.66
14.5615.4313.8410.487.487.147.076.437.886.815.663.78-3.34-1.56-14.66
14.9915.8514.2911.068.127.777.797.238.657.566.465.06-2.00-0.30-13.28
15.0615.3813.5910.186.646.186.135.436.135.743.991.67-5.99-4.45-16.32
11.5411.8810.597.875.104.713.373.063.313.7814.041.75-5.98-4.26-10.90
1.001.111.161.151.191.131.051.091.001.010.930.920.850.930.86
1.081.091.161.231.131.101.101.121.001.041.191.101.001.131.18
--------------18.91
--------------19.30
18.4923.7024.4319.0612.7112.599.659.349.4410.2434.065.58-19.14-12.68-26.95
18.6123.8824.6819.3112.9312.839.658.658.689.3330.733.98-12.39-8.66-19.01
11.5713.2112.259.086.065.333.873.663.664.2113.641.61-5.10-3.97-9.36
13.7816.3115.3511.267.266.424.644.384.284.9115.901.91-5.94-4.53-11.16
90.6675.4656.9943.6835.3531.0826.8326.5124.2022.2020.2315.4714.5916.3817.64
19.236.47-0.565.772.30-0.09-1.731.14-2.74-4.43-2.57-2.36-1.82-2.014.09
19.036.14-1.125.372.37-0.37-2.020.70-2.86-4.53-2.65-2.41-1.89-2.104.32

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
6.816.626.916.846.386.116.175.664.844.624.735.125.345.255.395.475.475.546.386.285.936.106.805.996.236.156.736.326.466.146.725.655.856.177.156.266.596.487.096.205.355.726.145.995.496.687.757.256.006.316.707.376.316.897.648.325.786.015.926.275.425.976.01
0.250.250.260.250.270.280.300.310.310.330.340.370.370.360.380.410.400.420.440.430.470.480.500.490.510.500.510.520.500.490.500.490.500.500.520.510.510.500.500.470.470.460.460.480.480.550.560.520.520.510.510.520.500.500.480.480.420.430.420.410.420.400.43
0.330.330.350.340.370.380.420.450.460.490.530.590.590.560.610.690.670.720.770.750.890.921.000.961.051.011.041.081.000.970.990.980.990.981.071.031.050.980.980.900.880.850.850.930.911.221.261.091.071.031.061.091.000.990.940.910.730.760.720.700.730.660.74
27.0727.8727.0725.1326.9225.4623.4522.5626.8427.3224.7623.1624.5225.1224.4023.9622.9421.9020.2019.9120.5419.2119.2618.8020.4019.4920.3619.8221.3619.5421.3020.7517.8220.3219.7921.0021.4721.7621.6520.6020.9021.4521.6620.4020.7320.2220.5619.6321.2719.8218.1518.4117.9017.0316.2816.1219.8715.9616.8215.0613.9612.538.56
15.9216.8316.5613.3516.4514.8613.4513.5116.5217.5714.2813.3213.8514.7513.4311.3511.3310.397.967.528.367.416.326.877.726.907.116.248.246.337.787.244.977.276.077.708.297.947.586.337.516.417.075.666.785.034.843.745.963.950.180.59-1.02-4.05-11.69-0.420.20-1.36-5.46-10.75-12.87-15.56-24.78
15.9216.8316.5613.3516.4514.8613.4513.5116.5217.5714.2813.3213.8514.7513.4311.3511.3310.397.967.528.367.416.326.877.726.907.116.248.246.337.787.244.977.276.077.708.297.947.586.337.516.417.075.666.785.034.843.745.963.950.180.59-1.02-4.05-11.69-0.420.20-1.36-5.46-10.75-12.87-15.56-24.78
---------------------------------------------------------------
16.5117.4917.2214.1917.0115.3213.5913.4916.4517.5114.2013.4412.8514.7013.3111.2411.2210.047.166.917.666.614.886.156.956.015.455.497.285.516.476.444.176.224.544.877.296.785.965.376.715.435.324.555.003.152.562.154.051.93-3.34-1.74-3.41-6.57-15.34-7.46-1.24-2.42-7.26-11.81-13.72-17.12-29.08
12.7313.2213.1910.8213.2911.6410.3010.7112.9913.1510.6710.7810.0611.2010.248.848.677.635.505.635.794.853.684.495.165.004.132.553.963.453.853.702.203.662.462.573.953.763.172.653.754.384.863.8845.092.581.262.003.981.87-2.43-1.68-3.33-6.65-15.41-6.70-1.53-2.45-6.983.41-13.80-17.14-29.26
0.260.260.250.240.260.260.270.330.280.300.260.320.300.340.310.340.350.310.260.350.300.300.230.360.280.280.230.330.270.280.260.340.300.280.230.330.260.250.210.310.280.250.220.300.250.260.200.300.260.250.200.270.210.210.170.250.210.300.180.310.230.170.15
0.270.270.280.260.280.280.290.330.250.270.250.330.290.350.320.360.350.300.250.340.280.290.220.350.260.270.220.350.260.270.250.340.300.270.230.330.250.240.220.320.290.270.250.390.320.300.260.360.300.260.220.310.240.250.210.310.220.380.220.410.270.200.18
------------------------------------------------------95.15-31.5544.1426.836.80-37.8731.35
------------------------------------------------------0.95-2.852.043.3513.24-2.382.87
5.115.355.234.185.735.134.726.306.797.535.396.985.897.346.276.366.264.983.064.163.963.342.033.793.513.422.302.133.092.632.713.391.882.781.652.422.912.571.892.212.812.872.763.2129.052.371.552.103.611.79-1.82-1.68-2.63-4.98-8.85-5.34-0.95-2.20-3.743.04-9.47-8.20-13.44
5.145.395.264.215.775.174.766.356.857.595.447.055.967.426.356.456.355.063.114.234.033.412.073.863.583.492.352.133.092.452.513.141.732.571.522.232.672.351.732.022.552.612.492.8926.132.051.331.502.551.16-1.18-1.09-1.71-3.27-5.90-3.64-0.66-1.52-2.612.14-6.61-5.87-9.20
3.263.383.282.623.473.062.743.513.673.922.783.502.993.763.133.033.042.341.441.981.731.450.861.601.421.420.950.851.251.041.071.330.731.100.640.941.111.020.770.911.141.201.161.2811.570.790.470.601.020.48-0.48-0.45-0.71-1.40-2.64-1.67-0.32-0.72-1.261.05-3.11-2.92-4.39
3.854.013.883.124.193.713.334.334.675.063.534.383.714.723.903.763.762.901.732.382.101.751.021.931.711.701.131.021.541.251.261.590.871.300.731.101.301.190.871.061.361.411.351.5013.690.920.590.721.230.57-0.57-0.52-0.85-1.64-3.05-1.91-0.38-0.87-1.521.26-3.82-3.53-5.29
10510095.0890.6687.1082.7378.7775.4670.6565.5060.2256.9953.0750.0246.3743.6840.8738.3436.3835.3533.9232.7431.6131.0829.6928.5627.5226.8326.2727.6227.0926.5125.6025.1524.5124.2023.6723.1022.5822.2021.7921.2520.7120.2319.6914.5614.2715.4715.2314.5914.4114.5914.7314.9715.4316.3816.9517.0217.2317.6417.2218.3221.78
2.645.004.0119.2317.2414.598.896.47-0.502.752.38-0.56-1.145.782.535.776.732.87-0.842.300.030.38-0.81-0.09-2.60-0.72-1.06-1.73-2.15-1.28-0.771.140.881.360.05-2.74-3.17-1.54-0.98-4.43-3.57-2.23-0.07-2.57-1.36-1.020.38-2.36-0.81-1.24-0.41-1.82-1.31-0.460.14-2.01-2.32-0.97-0.254.091.352.593.82
2.424.804.2419.0317.0814.528.816.14-0.642.652.34-1.12-1.235.742.525.376.452.80-0.852.37-0.060.32-0.83-0.37-2.80-0.88-1.07-2.02-2.35-1.35-0.800.700.490.99-0.31-2.86-3.23-1.59-0.98-4.53-3.64-2.28-0.08-2.65-1.42-1.060.37-2.41-0.85-1.25-0.41-1.89-1.39-0.490.12-2.10-2.40-1.02-0.284.321.582.894.18