Movado Group Financial Ratios for Analysis 2009-2024 | MOV

Fifteen years of historical annual and quarterly financial ratios and margins for Movado Group (MOV).

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
2024202320222021202020192018201720162015201420132012201120102009
4.813.983.663.934.254.154.807.076.267.275.815.914.945.966.523.29
---0.050.090.09-0.050.07-----0.03-
---0.050.100.10-0.050.08-----0.030.06
55.0757.7157.2253.4253.4854.3552.4853.3453.2752.8153.5354.9754.7647.8847.3661.74
8.1316.0116.04-28.076.139.157.619.7711.7812.1811.889.767.17-3.17-6.164.83
8.1316.0116.04-28.076.139.157.619.7711.7812.1811.889.767.17-3.17-6.164.83
9.5717.4417.745.518.4711.249.9811.8514.0014.3014.0211.869.610.42-1.757.98
8.9516.2116.02-28.128.209.087.429.3111.6212.1212.099.707.10-3.67-7.434.81
6.9412.5712.51-22.026.099.07-2.686.347.588.828.9211.296.83-12.34-15.630.54
0.870.950.960.700.830.890.880.911.021.010.990.960.920.860.750.76
2.041.711.951.551.901.881.781.681.711.621.461.361.291.100.900.71
5.817.157.364.988.738.096.838.278.387.928.308.237.466.395.165.55
62.8651.0649.5973.3641.8045.1353.4044.1443.5846.0843.9644.3348.9357.0870.7565.74
9.1619.0019.50-26.028.0412.40-3.247.4110.3710.7211.0613.598.28-6.40-10.643.34
9.3019.3720.07-27.1012.1619.71-3.937.4410.3710.7211.0613.598.28-6.40-10.643.34
6.1812.3212.16-15.465.008.10-2.365.787.828.908.9110.996.43-5.14-8.422.37
9.1619.0019.50-24.797.3211.26-3.247.049.6110.7211.0613.598.28-6.40-10.363.34
23.4223.0620.7418.4222.9021.5720.5020.6519.2319.6018.3916.7315.7814.3715.1016.42
3.392.375.522.941.383.652.372.503.142.332.111.513.421.631.41-0.82
3.032.065.292.870.843.202.122.242.801.891.550.893.141.341.22-1.69

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
4.414.844.814.264.394.533.983.413.453.793.663.703.734.223.933.543.964.734.253.523.643.994.153.535.175.804.804.805.267.377.076.287.267.526.265.966.915.367.275.496.017.045.814.835.796.985.914.495.925.764.945.316.446.485.965.955.986.706.526.817.493.333.29
-------------0.020.050.090.110.180.090.090.090.090.090.09---0.050.050.050.050.070.070.070.070.080.08-------------------0.030.030.030.060.09--
-------------0.020.050.100.130.220.100.100.100.100.100.10---0.050.050.050.050.070.080.080.080.090.09-------------------0.030.030.030.060.100.060.06
54.2155.2553.8854.5255.6756.5956.2457.2558.4959.1658.6757.6756.6255.0556.5254.4351.2345.7852.6853.5354.0853.8255.4954.2554.0253.1152.7754.5751.3549.5049.4654.8154.8653.7652.6053.9254.3051.8450.3252.9554.0553.8852.3653.3954.1054.4750.7156.4455.7156.9453.7156.8253.8254.1130.9056.0152.0152.8834.1745.9157.1152.8249.72
1.902.427.5011.026.027.5213.4518.1016.7715.4818.5519.0114.179.8314.5213.58-10.07-261.483.4611.015.563.398.5711.548.926.408.9413.216.46-3.685.6917.287.884.718.0618.0212.535.717.5217.6811.969.035.0017.9712.329.094.1415.609.118.196.4113.414.431.76-23.0215.03-2.57-7.06-26.265.115.38-18.42-11.53
1.902.427.5011.026.027.5213.4518.1016.7715.4818.5519.0114.179.8314.5213.58-10.07-261.483.4611.015.563.398.5711.548.926.408.9413.216.46-3.685.6917.287.884.718.0618.0212.535.717.5217.6811.969.035.0017.9712.329.094.1415.609.118.196.4113.414.431.76-23.0215.03-2.57-7.06-26.265.115.38-18.42-11.53
---------------------------------------------------------------
3.013.938.4211.826.908.1514.0718.2416.8215.4618.5418.9914.219.7014.4413.23-9.24-261.854.2510.9014.073.268.4811.548.856.278.7913.036.26-3.915.4316.417.654.447.8117.8612.375.637.4117.6611.898.984.9217.9212.2510.444.0715.609.058.066.2813.224.821.36-23.3614.80-3.33-7.95-27.204.252.79-19.15-11.20
2.342.126.769.265.026.3011.7013.8513.1311.3315.2314.4211.166.9816.978.73-7.47-215.301.838.6411.092.688.7512.886.346.38-22.729.104.26-4.194.0011.244.922.905.5111.608.283.017.5111.788.466.095.4412.149.017.466.4121.526.836.408.7311.503.890.55-30.6913.94-24.49-17.03-31.17-16.91-0.28-14.74-38.72
0.210.180.230.250.210.200.250.270.240.220.270.290.240.190.250.240.130.100.230.240.190.180.260.270.230.210.230.290.200.170.220.290.210.190.240.300.250.210.230.310.240.210.230.320.250.210.230.280.250.210.240.290.230.200.230.260.190.160.160.240.160.120.10
0.410.380.560.500.390.320.460.420.350.370.530.540.410.360.510.440.250.210.530.480.360.380.540.520.390.370.460.510.350.310.430.480.310.300.420.480.350.320.390.490.340.300.350.490.350.290.360.410.310.260.350.350.270.220.380.260.200.170.240.290.140.130.13
1.301.241.551.281.471.371.851.471.661.702.071.521.771.311.751.581.451.392.381.511.681.712.371.661.721.591.801.431.581.491.961.381.761.512.021.491.801.641.811.471.571.561.931.581.851.652.011.501.981.661.951.491.631.481.691.331.401.231.121.171.081.020.77
69.4172.4858.0470.3361.0665.8948.7361.1154.3552.9643.4859.3050.8968.7051.3756.9761.8964.9637.8359.6553.4452.6437.9354.3252.3556.6050.1262.7456.9760.2546.0065.1051.1159.7944.6260.3349.9754.8949.8161.4057.1757.6046.7456.9648.5254.5544.7160.1945.5354.0646.1460.2155.3860.7153.2667.4864.3073.2280.6276.9083.1488.05117
0.760.612.393.511.621.874.576.265.144.176.666.964.442.277.153.83-1.77-40.500.673.353.490.803.505.601.971.76-7.213.561.15-0.901.104.301.380.731.884.842.680.792.044.702.551.561.575.062.891.921.908.082.131.722.734.261.140.14-8.644.62-0.93-1.74-3.20-4.750.35-2.50-2.97
0.770.622.433.571.651.914.666.395.264.286.857.184.602.367.454.00-1.86-42.611.015.115.381.285.578.922.362.13-8.764.251.37-0.901.114.321.390.731.884.842.680.792.044.702.551.561.575.062.891.921.908.082.131.722.734.261.140.14-8.644.62-0.93-1.74-3.20-4.750.35-2.50-2.97
0.510.411.612.311.091.252.963.883.182.604.154.292.731.404.252.13-0.97-21.510.422.012.080.472.293.521.461.33-5.252.630.86-0.700.863.241.060.561.423.572.020.621.703.732.061.291.263.942.331.591.546.201.701.372.123.360.930.11-6.943.72-0.72-1.37-2.53-3.710.27-1.79-2.11
0.760.612.393.511.621.874.576.265.144.176.666.964.442.226.823.49-1.57-33.130.613.063.170.733.185.071.971.76-7.213.391.09-0.851.054.001.280.671.744.452.460.792.044.702.551.561.575.062.891.921.908.082.131.722.734.261.140.14-8.644.62-0.90-1.69-3.12-4.480.32-2.50-2.97
22.8022.6823.4222.7822.7522.3523.0621.6621.1320.4320.7419.9418.9418.3618.4216.8416.1616.0222.9022.6221.7521.2321.5720.8220.0219.9420.5021.2520.8220.2020.6520.5020.0319.9519.2319.6619.1019.2719.6018.9218.8418.7918.3918.2117.1916.7116.7317.0415.2515.6615.7815.8216.2515.0414.3715.2514.0014.4815.1012.6912.2616.2316.42
-1.58-0.803.390.320.41-0.952.37-1.04-1.11-0.895.521.640.96-0.652.94-0.29-0.49-1.111.38-1.92-1.40-1.093.651.130.17-0.112.37-0.41-0.43-0.722.50-0.47-0.62-0.903.140.440.11-0.452.330.05-0.22-0.472.110.64-0.01-0.691.510.23-0.08-0.963.421.300.490.141.630.20-0.51-0.241.41-0.07-0.76-0.47-0.82
-1.76-0.873.030.030.20-1.052.06-1.24-1.24-0.955.291.490.88-0.662.87-0.33-0.51-1.150.84-2.34-1.70-1.193.200.79-0.04-0.182.12-0.56-0.52-0.732.24-0.63-0.70-0.932.800.19-0.05-0.511.89-0.24-0.39-0.531.550.27-0.32-0.850.89-0.03-0.18-0.993.141.170.410.081.340.00-0.64-0.301.22-0.21-0.88-0.52-1.69