Maximus Financial Ratios for Analysis 2009-2024 | MMS

Fifteen years of historical annual and quarterly financial ratios and margins for Maximus (MMS).

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
1.461.331.371.662.172.912.081.821.582.011.872.402.392.162.29
0.410.450.490.010.00--0.180.250.00-0.000.000.00-
0.750.881.020.020.010.00-0.220.340.00-0.000.000.00-
20.9720.2922.2620.5423.2524.8524.9723.3924.4226.5829.0027.4227.2926.5526.57
6.017.049.608.3310.9812.3512.7911.9312.3713.2513.9112.1313.1712.9112.30
6.017.049.608.3310.9812.3512.7911.9312.3713.2513.9112.1313.1712.9112.30
9.119.9711.9611.2213.9514.9515.5614.9115.0516.1116.6014.6515.6215.1214.00
4.295.989.028.2910.9912.5112.8211.9012.3713.3714.2012.5213.5413.0212.32
3.304.406.846.208.349.238.547.427.518.558.777.258.738.476.46
1.231.161.031.711.651.641.811.781.651.891.551.511.641.581.66
---------------
5.825.725.064.394.656.055.634.834.835.874.545.736.035.424.71
62.7763.7872.0983.1278.5760.2964.8375.6475.5162.1480.3263.6960.4967.3677.55
9.7013.1619.6717.2719.2720.3322.4323.9225.9926.1422.1516.8121.9420.4818.12
-19.85-19.69-24.8242.6649.6436.8947.7973.0711741.9837.1524.1727.6126.7223.04
4.065.117.0710.5913.7815.1015.7113.3612.5916.1413.6810.9114.5313.1512.43
5.727.1710.0117.0319.2620.3322.4319.6219.3726.0922.1516.7521.8420.4018.12
27.3425.4923.8920.1919.5116.8814.5211.559.418.357.736.645.544.934.22
5.124.688.303.865.504.805.092.723.073.091.731.651.361.930.43
3.644.047.713.224.474.404.732.021.502.411.111.391.101.730.16

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
1.591.531.691.461.461.401.681.331.471.451.621.371.521.571.801.661.951.971.952.172.072.312.322.913.032.722.572.082.072.072.031.821.871.951.751.581.592.092.062.012.122.092.071.872.222.352.322.402.252.502.512.392.482.462.382.162.332.372.162.292.382.26
0.380.390.420.410.430.430.480.450.480.470.500.490.530.150.010.010.110.12-0.000.000.060.10---0.01-0.020.120.160.180.230.300.290.250.21--0.000.000.000.00-0.000.000.000.000.000.000.000.000.000.000.000.000.000.01----
0.630.680.760.750.800.810.990.880.970.931.041.021.170.200.030.020.130.140.010.010.000.070.110.00--0.01-0.020.140.200.220.300.430.400.340.26--0.000.000.000.00-0.000.000.000.000.000.000.000.000.000.000.000.000.000.01----
25.2723.5522.6123.0922.2418.9419.5923.1918.6719.4019.8219.7523.4724.0421.7921.3120.5918.7121.4422.2923.8523.0023.9624.8825.8724.2824.3926.1825.3524.4923.8424.5424.5324.3519.8021.6525.1325.8125.5425.9426.8227.4926.0530.5728.2829.8626.7328.1429.5526.6024.9827.2827.8627.7726.1428.7526.9524.7325.6625.1727.4126.27
10.789.468.107.874.915.185.999.734.856.397.086.1611.2311.809.269.159.694.569.6710.2811.4411.1111.1511.0913.8111.6412.7912.5013.6312.9112.1413.0513.7112.857.6910.6312.4212.8713.9711.9013.1514.8013.1114.5713.2815.5511.8813.2112.5011.2511.2313.9312.9212.9912.7514.2111.9913.6011.8311.4214.8310.98
10.789.468.107.874.915.185.999.734.856.397.086.1611.2311.809.269.159.694.569.6710.2811.4411.1111.1511.0913.8111.6412.7912.5013.6312.9112.1413.0513.7112.857.6910.6312.4212.8713.9711.9013.1514.8013.1114.5713.2815.5511.8813.2112.5011.2511.2313.9312.9212.9912.7514.2111.9913.6011.8311.4214.8310.98
--------------------------------------------------------------
9.158.016.446.203.063.514.288.303.675.656.225.1510.3111.679.169.129.544.579.7010.2511.4610.9511.3711.1214.1711.8412.8112.6213.7712.8612.0512.9313.5513.007.7110.5512.3012.9214.1612.0713.2714.9113.1914.9413.4915.7412.2713.5712.9411.5911.6914.3813.3213.3912.9814.2912.2013.6911.8811.3614.9111.00
6.835.974.834.692.602.633.205.872.784.264.634.707.608.406.786.897.153.387.187.968.618.418.418.2910.019.069.488.599.488.447.688.148.468.044.786.127.288.058.968.328.139.398.339.278.419.717.457.877.695.867.3910.238.358.028.1610.228.199.176.214.358.496.22
0.330.330.330.320.300.310.300.290.280.290.280.270.280.390.460.460.440.420.410.430.430.440.400.380.430.430.440.460.470.470.470.460.480.450.440.460.450.500.520.480.460.490.480.450.440.440.410.430.410.400.410.440.400.400.400.400.430.430.440.450.430.46
--------------------------------------------------------------
1.531.451.511.491.431.601.231.451.271.311.351.321.101.261.201.171.081.201.281.221.181.141.071.411.361.341.321.431.391.321.301.251.331.241.221.331.411.311.581.501.441.331.361.311.411.461.361.641.571.651.521.621.481.351.511.381.491.301.431.291.141.19
58.8662.0959.4360.2563.0756.2773.3861.8870.6468.8366.6568.3781.7771.5074.7576.7983.6875.2470.5274.0876.4578.6483.7463.6866.2967.2568.1763.1064.7968.3969.1171.9467.4672.7474.0367.5663.7468.8157.0959.8562.4967.6766.2368.6063.9861.8066.1354.8457.5054.6859.1755.4460.9166.6959.6665.0160.5169.0862.7469.9579.0875.61
4.934.503.733.551.891.982.534.462.063.223.493.516.505.884.945.135.392.434.524.815.185.294.994.195.715.175.955.816.496.456.086.807.487.444.395.916.606.637.586.505.857.256.196.765.716.434.725.214.773.464.516.835.044.984.926.104.955.644.824.615.624.51
-14.59-12.05-8.63-7.26-3.52-3.42-4.06-6.67-2.87-4.65-4.76-4.43-7.9035.1011.4012.6614.107.0610.8512.3914.1416.0717.047.6110.689.7211.8012.3814.7016.2517.5420.7627.2434.1321.3326.5727.469.9611.9210.449.2811.6610.2411.347.798.846.697.496.874.275.628.596.316.296.347.966.467.466.125.867.255.88
2.241.991.601.480.780.820.941.730.771.221.281.262.163.303.103.143.121.412.953.443.723.663.343.114.303.854.284.074.504.033.573.794.063.672.112.863.314.094.754.013.734.623.954.173.694.263.093.383.142.313.024.523.383.323.283.923.263.793.173.163.853.04
3.072.772.182.091.081.131.302.431.061.701.751.793.064.974.875.054.812.154.524.815.184.974.504.195.715.175.885.816.385.655.085.575.765.203.134.415.246.637.586.495.847.246.176.765.696.414.705.194.753.454.496.805.024.954.906.084.945.574.824.615.624.51
30.1029.3128.1527.3426.8626.3526.0125.4924.9825.2324.6823.8923.6422.2921.1320.1919.4918.5720.3119.5119.0418.3017.5416.8816.4316.3415.4714.5213.7212.7011.7911.5510.8710.229.449.419.718.938.488.358.748.427.927.737.227.236.776.646.316.055.815.545.735.525.204.934.694.574.344.224.043.75
5.732.470.355.122.762.85-2.204.682.751.79-0.050.143.954.491.583.861.551.701.355.504.071.970.914.802.861.760.575.093.812.081.082.721.630.330.023.072.700.930.853.092.391.100.601.731.270.560.141.651.220.990.401.360.970.500.421.931.640.970.760.430.330.16
4.391.70-0.013.641.802.30-2.464.042.201.43-0.15-0.453.444.111.433.221.091.411.194.473.471.680.764.402.531.560.484.733.531.880.962.021.120.03-0.141.501.610.220.662.412.130.970.541.110.910.370.041.391.050.900.361.100.820.410.381.731.500.890.710.160.180.10