Marine Products Financial Ratios for Analysis 2009-2024 | MPX

Fifteen years of historical annual and quarterly financial ratios and margins for Marine Products (MPX).

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
6.175.305.153.724.163.562.803.003.823.273.112.724.034.605.31
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23.5524.6022.9122.3522.3822.2122.0820.9121.1519.1017.7118.2618.3317.54-16.63
12.8213.5912.2110.1611.6811.8511.139.559.937.025.655.885.053.68-48.59
12.8213.5912.2110.1611.6811.8511.139.559.937.025.655.885.053.68-48.59
13.4514.0912.8210.9712.4012.5311.8610.6010.938.146.716.405.894.75-45.16
13.5713.6812.2210.2011.8011.9411.229.7010.137.325.966.537.894.84-44.37
10.6110.369.557.939.449.547.226.726.915.054.474.696.323.81-27.11
1.982.332.242.012.792.962.792.731.871.651.641.530.960.980.40
4.763.933.144.405.464.975.484.495.004.804.804.323.493.812.36
13570.9891.0850.9638.8869.0671.0021699.7468.6462.0368.0848.1860.895.21
2.705.144.017.169.395.295.141.693.665.325.885.367.585.9970.05
27.5132.4429.4623.0136.5737.8827.7325.5915.8610.689.248.987.214.46-13.12
28.2133.4530.6324.0838.4539.8829.3227.1516.5511.189.699.437.514.67-13.76
21.5124.6421.8516.2826.9528.2420.1318.9212.938.597.347.176.073.75-10.88
27.5132.4429.4623.0136.5737.8827.7325.5915.8610.689.248.987.214.46-13.12
4.403.642.902.502.282.192.011.882.372.192.142.062.502.332.21
1.691.480.010.901.020.680.880.420.450.300.290.220.090.30-0.25
1.461.40-0.020.840.950.610.810.370.340.310.280.210.080.29-0.25

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
4.694.794.706.175.135.024.185.304.064.244.205.153.343.213.333.723.273.323.294.163.133.152.783.562.722.332.362.802.682.352.393.003.082.972.673.823.112.822.853.272.992.782.583.112.672.532.342.722.732.713.174.032.933.463.304.603.543.453.835.315.114.783.93
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18.4218.9420.1719.0024.7324.6724.4125.1824.9924.0024.0125.0321.1521.7223.5624.5123.6119.1920.4821.8421.8123.0322.5120.9722.4722.3822.7621.9022.7422.7820.9821.3221.2621.2219.9322.2920.9921.1820.1519.8618.3719.6618.5319.2418.4117.3216.0616.2219.1618.9718.4819.7120.8216.8616.4317.2716.9620.8314.07-12.65-8.34-48.46-4.63
7.208.277.568.2115.9614.1912.1813.6814.6713.6911.9513.9311.0010.9512.7912.7712.145.088.218.6713.4512.8310.689.6912.7612.8211.6511.3911.2712.209.719.149.8610.328.8710.879.4710.808.406.786.798.605.806.936.665.883.323.447.207.185.427.376.714.192.221.994.907.99-1.65-43.28-47.64-77.06-35.90
7.208.277.568.2115.9614.1912.1813.6814.6713.6911.9513.9311.0010.9512.7912.7712.145.088.218.6713.4512.8310.689.6912.7612.8211.6511.3911.2712.209.719.149.8610.328.8710.879.4710.808.406.786.798.605.806.936.665.883.323.447.207.185.427.376.714.192.221.994.907.99-1.65-43.28-47.64-77.06-35.90
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8.479.538.799.3317.0614.8112.5913.9514.7513.6811.9313.9211.0110.9612.8012.7912.165.128.318.8613.5612.9410.759.7712.9012.9111.6911.4511.4012.289.789.1310.0810.559.0111.069.6910.978.637.217.108.856.067.216.866.303.664.247.717.846.0615.547.765.123.093.416.068.91-0.39-39.58-41.65-72.40-32.47
6.837.006.636.7213.3712.039.7110.1411.4710.399.2210.828.648.4510.139.539.304.047.126.8110.8810.318.778.369.9410.059.545.637.488.287.415.577.747.406.167.716.607.445.784.704.966.284.155.384.774.583.273.125.485.654.3113.025.394.222.452.254.167.78-0.33-25.15-22.94-46.84-18.76
0.280.400.340.370.400.610.650.660.620.640.540.580.540.490.600.600.590.370.540.460.610.780.750.620.630.760.730.680.590.700.720.650.450.540.530.450.410.520.460.360.350.450.440.390.400.410.430.350.320.320.320.250.200.270.250.200.230.300.240.110.070.080.12
0.771.061.000.930.841.421.341.110.910.930.740.780.780.921.301.271.230.761.020.911.251.341.351.051.121.501.361.351.101.341.461.061.161.481.611.191.151.561.331.041.261.531.461.111.241.191.401.021.101.071.200.900.761.151.060.790.890.970.900.640.470.960.71
8.8011.678.9424.997.119.2310.7220.218.6310.177.4623.397.088.169.4715.117.884.205.976.414.765.968.0314.359.639.968.6817.427.0211.027.5051.298.4413.518.9124.0310.0612.998.7715.029.8610.9813.9614.6710.578.8610.7915.6112.0412.1510.2912.6510.659.878.3812.5519.9712.963.021.450.841.392.22
10.227.7110.063.6012.669.758.404.4510.428.8512.063.8512.7111.039.515.9611.4121.4415.0814.0418.9015.0911.216.279.349.0410.375.1712.828.1711.991.7510.666.6610.103.758.946.9310.265.999.138.206.456.148.5110.168.345.777.477.418.757.128.459.1210.747.174.516.9529.7761.9810764.7540.63
2.644.323.043.586.939.978.699.539.879.216.968.577.106.369.128.288.122.235.474.599.5611.8510.066.298.9011.6510.664.826.288.607.785.694.395.054.244.263.495.093.462.442.213.592.412.632.492.451.861.372.162.271.733.891.331.390.770.541.172.92-0.10-3.39-1.92-4.52-2.82
2.724.453.113.677.1110.238.959.8310.209.547.238.927.396.649.538.668.522.345.754.8210.0212.4510.606.629.3312.2511.265.106.629.098.246.044.565.264.424.453.645.323.622.562.323.762.522.762.612.571.951.442.242.361.804.061.391.450.800.571.223.06-0.10-3.56-2.01-4.73-2.95
1.933.182.252.805.297.536.277.247.106.654.996.364.784.256.225.865.561.543.833.386.608.236.744.696.287.827.133.504.515.975.364.203.474.033.283.472.713.892.641.971.742.851.842.091.931.871.421.091.731.841.403.281.071.150.620.460.942.33-0.08-2.81-1.61-3.79-2.31
2.644.323.043.586.939.978.699.539.879.216.968.577.106.369.128.288.122.235.474.599.5611.8510.066.298.9011.6510.664.826.288.607.785.694.395.054.244.263.495.093.462.442.213.592.412.632.492.451.861.372.162.271.733.891.331.390.770.541.172.92-0.10-3.39-1.92-4.52-2.82
3.713.724.364.404.364.173.863.643.403.162.972.902.772.682.612.502.382.252.272.282.422.322.182.192.332.232.062.012.092.041.931.882.552.492.412.372.332.282.212.192.232.202.152.142.112.072.052.062.592.542.502.502.412.372.332.332.312.272.202.212.272.302.39
0.740.580.471.691.191.210.801.480.810.510.140.01-0.260.180.240.900.680.350.181.020.850.370.360.680.540.540.220.880.550.530.300.420.370.290.260.450.380.350.160.300.350.240.250.290.260.150.180.220.280.160.160.090.180.120.100.300.330.230.06-0.25-0.070.130.13
0.630.530.451.460.981.000.751.400.770.490.13-0.02-0.280.170.240.840.640.320.160.950.790.320.330.610.480.520.210.810.500.500.290.370.330.270.250.340.280.270.140.310.350.230.250.280.250.140.180.210.270.150.160.080.180.120.100.290.330.230.06-0.25-0.070.130.13