Marin Software Financial Ratios for Analysis 2011-2024 | MRIN

Fifteen years of historical annual and quarterly financial ratios and margins for Marin Software (MRIN).

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
2023202220212020201920182017201620152014201320122011
3.925.594.751.421.702.183.064.624.034.496.863.54-
--0.020.08--0.030.030.020.010.030.22-
--0.070.21--0.050.040.030.030.050.33-
34.3836.0947.2440.1553.4253.6956.6364.7563.0264.1559.7658.4248.25
-128.62-109.90-57.58-54.35-40.47-72.06-40.36-15.96-29.90-34.21-44.41-42.45-46.17
-128.62-109.90-57.58-54.35-40.47-72.06-40.36-15.96-29.90-34.21-44.41-42.45-46.17
-108.24-82.72-43.20-34.75-17.84-28.14-21.60-3.85-18.22-25.44-36.81-37.14-41.19
-124.45-89.53-53.55-49.23-25.55-69.35-40.65-15.09-29.80-34.85-45.74-44.09-47.85
-123.61-91.05-53.01-46.86-25.30-70.35-41.99-16.50-30.73-33.39-46.37-44.46-48.24
0.920.480.410.811.161.250.900.930.930.770.561.04-
-------------
4.594.435.275.925.494.546.135.325.005.315.184.54-
79.5482.4369.2561.6366.5480.3459.5668.5673.0468.7970.4480.49-
-160.69-55.72-27.98-88.85-58.92-140.42-50.16-18.81-35.43-31.26-31.0836.42-
-160.69-55.72-27.98-88.85-59.18-161.80-75.81-27.04-51.86-38.04-31.08-80.24-
-113.47-43.31-21.63-37.97-29.34-88.14-37.77-15.39-28.70-25.87-26.10-46.28-
-160.69-55.72-27.34-81.31-58.92-140.42-48.85-18.32-34.85-31.08-30.30-62.68-
4.5311.3917.879.7418.5529.6765.7494.84106127147297-
-4.95-6.85-3.71-4.64-1.16-13.46-5.186.66-7.47-29.93-37.33-181.48-170.59
-5.57-7.51-4.31-6.17-3.67-16.27-7.860.18-23.72-40.31-50.47-250.38-205.34

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-31
3.083.493.563.923.784.324.805.595.506.157.464.754.781.711.751.421.011.261.321.701.381.441.392.182.302.653.153.063.624.274.554.624.444.124.054.033.273.803.494.494.785.707.146.867.017.277.493.54----
-----------0.020.020.090.070.080.110.12------0.020.020.020.030.020.030.020.030.020.020.010.020.010.000.000.010.010.010.020.030.030.020.030.22----
-----------0.070.070.230.200.210.310.23------0.070.050.050.050.040.040.040.040.030.020.020.030.030.020.030.030.040.040.050.050.060.050.050.33----
60.2358.2256.7650.9430.4427.2029.3040.2636.0932.1435.5243.8248.4247.9048.6249.0836.3936.9838.2851.3752.5352.4856.7961.0750.8951.1450.8456.2954.7056.2159.0663.1363.9065.4666.2067.4260.5960.4163.2465.4764.3963.2663.2662.9160.5057.7657.03100.0058.1657.32100.00-
-49.79-51.59-62.69-132.14-115.14-137.34-130.05-101.61-116.96-118.56-103.47-90.89-53.21-49.41-38.79-42.55-62.61-62.39-50.98-54.29-34.74-35.88-38.02-18.86-165.24-59.29-58.97-42.23-39.80-51.02-29.42-18.02-13.49-17.43-15.03-7.33-33.91-43.84-36.56-29.23-35.64-37.24-35.31-36.24-39.10-48.07-57.14100.00-41.44-39.72100.00-
-49.79-51.59-62.69-132.14-115.14-137.34-130.05-101.61-116.96-118.56-103.47-90.89-53.21-49.41-38.79-42.55-62.61-62.39-50.98-54.29-34.74-35.88-38.02-18.86-165.24-59.29-58.97-42.23-39.80-51.02-29.42-18.02-13.49-17.43-15.03-7.33-33.91-43.84-36.56-29.23-35.64-37.24-35.31-36.24-39.10-48.07-57.14100.00-41.44-39.72100.00-
----------------------------------------------------
-53.90-48.18-60.11-128.90-111.58-132.41-125.14-97.93-113.14-112.27-37.55-88.54-48.37-45.78-33.61-36.82-60.98-55.01-45.57-5.06-29.28-31.62-34.01-15.17-162.69-56.64-57.06-40.92-40.59-54.03-28.13-16.59-12.87-15.96-14.98-6.23-34.96-44.48-35.68-30.71-34.98-38.70-35.58-36.90-39.59-49.12-60.59100.00-42.48-41.11100.00-
-54.32-49.89-59.81-120.99-111.63-135.71-126.18-99.17-115.25-113.86-38.73-87.00-50.85-41.04-35.07-34.85-59.92-47.85-45.85-4.62-27.91-32.09-34.25-14.93-163.42-58.07-59.16-41.10-41.42-56.26-30.13-20.05-12.71-17.16-16.23-7.37-36.10-44.99-36.57-32.70-35.99-28.47-36.41-36.93-40.73-49.93-61.21-42.55-42.89-41.51-50.67-
0.350.280.240.230.180.140.120.120.110.090.100.100.090.200.190.200.200.190.210.270.260.250.260.340.270.210.200.210.210.200.200.210.210.230.230.250.230.220.210.210.190.170.180.160.140.120.120.30----
----------------------------------------------------
1.171.141.181.131.101.091.131.141.171.181.191.271.331.391.411.431.251.211.221.271.271.251.281.231.521.461.401.451.431.441.281.221.171.121.141.341.161.321.331.441.281.411.551.461.451.471.421.30----
76.9579.0176.4079.9481.6482.4079.6178.8476.6976.0475.4071.1267.4564.6663.9662.8371.9474.2373.5970.6771.0572.0270.5073.4059.3061.6964.2862.2562.7562.4370.5173.6677.1580.2578.9867.3777.5768.3967.9162.4270.3563.8458.2361.5262.1461.0363.5369.32----
-30.29-20.47-20.81-38.59-26.75-25.45-20.66-15.64-16.14-13.25-4.43-11.03-6.17-17.04-13.14-15.98-37.67-23.89-22.57-2.50-15.68-16.99-18.19-8.04-69.60-16.04-15.37-11.58-10.95-14.06-7.35-5.25-3.34-4.77-4.69-2.27-10.30-12.29-9.30-8.32-8.32-5.77-7.57-6.99-6.81-7.18-8.779.98----
-30.29-20.47-20.81-38.59-26.75-25.45-20.66-15.64-16.14-13.25-4.43-11.03-6.17-17.04-13.14-15.98-37.67-23.89-22.57-2.51-17.65-19.36-20.93-9.27-81.49-26.06-23.55-17.50-16.05-20.10-10.66-7.54-4.77-6.87-6.79-3.32-15.42-18.16-13.51-10.13-10.10-6.95-7.57-6.99-6.81-7.18-8.77-21.99----
-19.10-13.98-14.52-27.25-19.55-19.05-15.63-12.16-12.47-10.42-3.80-8.53-4.81-8.26-6.56-6.83-12.11-8.99-9.76-1.24-7.18-8.10-8.77-5.05-44.84-12.02-11.76-8.72-8.54-11.26-6.00-4.29-2.73-3.88-3.80-1.84-8.12-9.99-7.50-6.89-6.88-4.89-6.43-5.87-5.70-6.06-7.38-12.68----
-30.29-20.47-20.81-38.59-26.75-25.45-20.66-15.64-16.14-13.25-4.43-10.77-6.04-15.49-12.21-14.62-33.66-20.97-22.57-2.50-15.68-16.99-18.19-8.04-67.97-15.73-15.03-11.28-10.69-13.69-7.16-5.11-3.26-4.69-4.62-2.23-10.15-12.29-9.29-8.27-8.23-5.69-7.42-6.81-6.60-7.01-8.53-17.18----
2.443.153.784.536.167.879.7411.3913.2415.3117.4117.8719.647.909.239.749.1112.5615.4618.5518.8621.3425.5129.6731.9953.5361.8765.7473.1679.6588.8294.8499.46101104106105112121127134142138147155164-297----
-1.80-1.06-0.57-4.95-4.23-2.67-1.29-6.85-4.97-3.18-1.77-3.71-2.18-1.51-1.31-4.64-3.84-1.85-1.55-1.160.31-0.40-1.73-13.46-11.17-9.77-5.15-5.18-4.52-1.33-0.676.665.242.340.67-7.47-15.45-11.25-4.44-29.93-24.25-17.70-9.27-37.33-23.36-13.85-35.28-175.78-131.33-81.580.000.00
-1.80-1.06-0.57-5.57-4.74-3.07-1.49-7.51-5.48-3.53-1.96-4.31-2.58-1.86-1.55-6.17-5.08-2.68-2.02-3.67-1.46-1.32-2.26-16.27-13.52-11.33-5.98-7.86-6.36-2.63-1.430.18-0.43-1.51-1.29-23.72-29.45-20.34-8.16-40.31-30.40-21.12-11.04-50.47-31.65-19.68-44.54-226.43-188.25-117.93--