ModivCare Financial Ratios for Analysis 2009-2024 | MODV

Fifteen years of historical annual and quarterly financial ratios and margins for ModivCare (MODV).

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
0.780.700.781.321.711.481.311.261.081.101.221.331.481.511.43
0.860.730.720.54-0.000.000.010.420.690.330.490.560.650.75
7.032.762.611.180.000.000.010.010.822.600.821.101.382.053.28
16.2518.8620.6621.187.219.489.188.266.559.547.778.6010.5213.2313.81
-5.092.284.488.921.641.752.843.900.133.933.402.193.896.516.71
-5.092.284.488.921.641.752.843.900.133.933.402.193.896.516.71
5.556.497.4710.902.773.794.907.914.217.145.383.655.518.238.68
-7.60-0.192.027.631.601.654.183.64-0.683.002.471.512.854.694.16
-7.43-1.27-0.332.37-0.23-1.823.236.244.601.862.430.771.802.692.64
1.561.290.980.962.532.431.871.801.410.931.882.822.492.272.09
---------------
7.338.448.406.728.219.0811.377.068.539.688.4210.4910.2210.248.70
49.7743.2643.4854.2844.4340.2232.1151.7042.7837.7043.3834.7935.7335.6341.95
-130.90-8.97-1.7621.58-1.565.8615.209.03-8.5111.078.707.1515.5426.6233.89
20.653.020.63-23.44-3.0512.1822.5413.02-14.67-5.51-214.77-18.90-26.39-25.83-16.86
-11.57-1.64-0.326.23-0.833.207.263.92-2.352.103.092.174.476.115.51
-17.94-2.38-0.499.90-1.565.8515.187.13-3.883.475.803.616.799.348.48
11.0025.0526.6228.8224.4624.2725.1727.1224.0513.9611.149.238.396.854.83
-5.85-0.7413.2925.464.700.614.032.831.013.684.003.182.332.944.62
-8.84-3.0911.7824.583.86-0.742.570.11-1.192.133.262.471.482.264.34

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
0.800.800.750.780.750.740.700.700.720.720.830.780.821.051.111.321.401.221.411.711.541.471.401.480.991.131.221.311.261.201.161.260.541.051.081.081.311.311.431.101.361.361.251.221.201.041.371.331.371.411.501.481.431.541.471.511.421.431.411.431.541.571.60
1.020.990.880.860.860.860.740.730.730.720.720.720.710.540.540.540.110.07--0.000.000.000.000.000.000.000.000.000.000.000.01-0.450.440.420.590.590.610.690.520.520.320.330.340.310.470.490.530.540.550.560.580.610.620.650.670.690.710.750.790.810.83
-71.741238.147.036.716.862.842.762.762.562.602.612.411.191.161.180.120.070.490.000.000.000.000.000.100.010.010.010.010.010.010.011.030.920.880.821.541.521.652.601.091.080.780.820.850.891.001.101.221.261.311.381.501.671.802.052.232.392.713.284.074.605.35
14.8315.7814.7416.1415.7516.0317.1017.7717.5820.1620.1122.3319.0220.0021.0221.0826.5330.529.436.869.434.947.4311.518.807.569.9728.157.697.597.5310.788.197.608.73-12.317.6411.1512.699.539.3810.1210.188.008.239.8810.409.368.417.808.839.249.3510.9112.6811.9311.2914.3515.3113.3911.8814.1416.08
0.75-14.17-0.502.251.75-25.051.221.021.923.672.593.522.635.796.304.9713.5217.302.731.964.32-0.890.94-0.192.741.003.5918.171.541.471.7056.372.381.692.17-14.060.683.624.953.310.793.934.192.202.883.984.662.881.781.572.532.892.524.226.025.124.237.649.016.924.737.288.06
0.75-14.17-0.502.251.75-25.051.221.021.923.672.593.522.635.796.304.9713.5217.302.731.964.32-0.890.94-0.192.741.003.5918.171.541.471.7056.372.381.692.17-14.060.683.624.953.310.793.934.192.202.883.984.662.881.781.572.532.892.524.226.025.124.237.649.016.924.737.288.06
---------------------------------------------------------------
-4.99-17.02-3.23-0.38-0.84-27.46-1.18-1.37-0.481.22-0.090.96-0.964.044.46-1.9716.6218.341.983.573.48-1.320.42-1.034.120.882.8025.654.381.651.1161.922.041.411.35-12.40-0.442.653.041.020.593.553.631.632.013.394.032.251.080.901.822.111.614.403.333.372.445.847.064.722.244.505.27
-3.79-18.46-3.26-0.75-0.63-27.21-0.60-1.07-4.400.530.06-5.50-1.542.884.13-0.7711.02-4.543.54-1.611.55-0.77-0.15-6.001.52-3.581.0433.302.920.60-1.37178-0.180.780.2625.12-1.761.001.211.550.091.942.171.211.272.042.371.000.410.511.171.210.833.221.961.981.343.274.122.572.152.743.15
0.430.420.390.400.390.390.340.330.330.310.270.280.230.300.300.280.410.430.460.640.630.600.600.630.490.510.470.140.580.600.570.060.400.380.370.250.320.340.350.390.470.520.670.650.650.680.690.730.700.700.670.640.620.600.590.570.550.560.560.560.520.510.50
---------------------------------------------------------------
1.871.731.891.862.022.032.222.192.382.262.052.411.631.982.041.961.861.592.092.091.952.262.372.361.861.811.890.872.272.262.310.242.292.052.261.501.931.842.044.022.342.442.732.922.912.883.002.722.862.822.582.652.732.742.482.552.412.332.222.342.222.082.00
48.1952.0247.7248.3544.6144.3840.5441.1437.7939.7743.9737.3555.1645.4744.1045.9748.3556.5643.0642.9946.1439.8137.9538.0748.3549.6647.5010339.7239.8738.9838039.3143.8039.7559.8846.5448.8244.0322.4038.4036.9232.9330.8630.9831.2029.9633.1131.4831.8834.8234.0033.0332.8536.3435.2537.3438.6040.5038.4240.5343.2245.00
157-1,354.54-16.42-3.36-2.71-118.27-1.13-1.96-8.050.870.08-8.45-1.873.344.50-0.899.4910.354.96-3.602.68-1.070.42-0.473.430.672.319.034.921.350.696.771.580.630.51-10.76-1.771.992.563.180.713.773.992.232.424.245.252.411.011.222.682.711.917.564.744.883.499.1612.638.907.9710.4713.41
2.6612.992.250.530.4318.640.380.662.65-0.31-0.033.030.74-3.73-5.200.9720.7628.049.33-7.043.57-1.440.85-0.976.270.943.1813.396.981.971.029.752.86-0.61-0.52-18.561.28-1.35-1.56-1.58-1.19-6.01259-55.01-29.96-28.30-19.29-6.38-2.29-2.64-5.22-4.60-2.71-9.90-5.30-4.74-2.94-6.97-8.00-4.43-3.33-3.72-3.95
-1.61-7.69-1.26-0.30-0.24-10.70-0.20-0.36-1.430.160.02-1.55-0.350.871.23-0.264.925.702.04-1.911.38-0.560.21-0.261.460.291.034.312.110.570.272.940.370.160.13-2.97-0.350.400.490.600.191.011.450.790.831.401.640.730.290.350.780.780.521.941.161.120.731.852.311.451.131.391.58
-2.75-12.95-1.99-0.46-0.38-16.71-0.30-0.52-2.140.240.02-2.34-0.551.522.08-0.418.469.654.96-3.602.16-0.860.42-0.472.730.531.869.023.911.060.545.341.190.270.22-4.91-0.540.620.751.000.341.822.711.491.592.942.791.220.480.571.211.180.802.941.811.711.152.883.642.231.682.002.23
-1.190.679.5511.0011.1911.3724.7725.0525.1927.1826.7726.6228.8229.2229.4128.8221.0625.8025.3424.4630.8030.4124.2624.2729.4528.8430.6725.1728.2726.9326.3727.1222.0222.8123.4324.0519.4318.7817.9313.9611.7911.9311.5911.1410.8210.399.759.238.988.868.718.397.897.356.946.856.135.865.334.834.143.723.25
-2.56-3.220.67-5.85-4.04-7.82-0.19-0.743.243.635.0613.2912.4811.939.3725.4620.3211.252.984.703.081.783.000.611.74-0.601.944.032.700.682.632.833.092.512.281.011.601.450.953.542.261.260.513.913.252.202.053.182.991.270.682.332.401.480.952.943.181.651.034.623.261.440.52
-4.12-4.240.12-8.84-6.24-9.40-1.13-3.091.422.504.4511.7811.4911.368.9924.5819.9811.082.863.862.521.452.87-0.740.72-1.281.562.571.58-0.112.210.110.770.941.64-1.190.120.640.562.051.500.690.343.192.791.941.962.472.430.800.371.481.751.030.812.262.551.370.864.343.051.300.48