Match Group Financial Ratios for Analysis 2009-2024 | MTCH

Fifteen years of historical annual and quarterly financial ratios and margins for Match Group (MTCH).

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
2.391.591.042.043.673.132.662.582.532.282.511.852.174.336.89
1.011.101.051.580.430.390.400.440.440.350.380.250.050.040.03
-201.45-10.69-20.06-2.720.740.640.680.800.800.540.620.350.050.050.03
71.6469.9071.8773.4174.3076.3080.3275.9375.9272.3467.6764.5963.3963.7268.08
27.2516.1528.5531.1831.4731.765.70-1.045.5612.1814.1011.559.603.04-77.08
27.2516.1528.5531.1831.4731.765.70-1.045.5612.1814.1011.559.603.04-77.08
30.5129.0030.8933.2333.5733.859.2212.5412.2516.0118.0314.7013.4310.348.40
23.0911.848.5926.3925.9626.732.02-2.584.428.6813.7710.328.331.39-70.32
19.3711.359.316.7922.1236.249.22-1.313.7013.349.455.698.466.07-72.68
0.750.760.590.780.250.250.560.680.620.730.710.740.600.490.34
---------------
11.2716.6115.8317.4517.616.2010.8814.2612.9213.1714.5812.1911.6313.6914.41
32.4021.9723.0620.9220.7258.9133.5525.5928.2527.7125.0429.9531.3826.6725.33
-3,415.76-100.91-140.95-41.5813.2712.7012.15-0.805.1211.7716.299.958.96-0.46-30.58
-24.42-11.82-8.17-20.1621.29233-129.726.01-24.10-92.45-72.02-43.3978.55-1.15-50.36
14.458.665.4519.296.186.566.10-0.352.195.516.654.465.15-0.28-23.82
17.0410.427.6024.217.627.787.27-0.452.887.6310.037.428.54-0.44-29.67
-0.07-1.28-0.69-5.2946.0442.4135.6725.6526.6923.6921.0420.2723.6423.2025.86
3.061.782.993.083.213.104.884.304.604.794.743.813.953.212.51
2.831.612.732.913.022.944.003.333.894.143.813.263.522.832.27

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
2.512.412.391.962.111.721.591.171.281.151.041.411.102.562.041.510.983.323.673.564.113.123.132.772.782.682.662.072.942.782.582.562.592.432.531.911.852.072.282.232.512.452.511.881.751.781.851.582.102.052.172.282.833.874.335.135.285.846.897.817.227.42
1.041.031.011.081.051.101.101.221.131.031.051.021.041.461.581.691.940.510.430.450.450.400.390.370.380.390.400.360.420.440.440.450.470.440.440.350.360.380.350.350.390.390.380.240.260.260.250.040.040.040.050.040.040.040.040.030.030.030.030.020.020.02
-29.56-35.70-201.45-12.84-21.63-11.47-10.69-5.55-8.61-32.15-20.06-66.68-28.47-3.17-2.72-2.44-2.071.050.740.820.820.660.640.600.620.650.680.570.720.780.800.830.900.810.800.540.590.620.540.550.640.630.620.320.340.340.350.050.050.050.050.040.040.040.050.040.030.030.030.020.020.02
71.6570.1375.9771.0169.8369.5169.9969.4969.6970.4270.9071.0472.7273.1273.4073.4673.2073.5874.0474.4774.5676.4877.0278.5279.4079.7078.9979.9381.8880.8273.8176.5677.1476.3574.7876.2276.9275.8374.0571.2872.1471.7372.4267.1265.8765.5364.9163.2965.1365.1064.6463.5062.6162.4761.4364.1864.3365.3269.1868.5068.6265.99
23.6721.4930.0427.6325.8925.1913.5626.02-1.2726.0228.7727.5129.6628.3532.6331.2935.2125.2233.1432.3634.407.2212.1315.6515.909.049.93-2.249.864.8713.9111.20-33.872.61-0.6410.398.144.5513.2912.9112.659.6915.5916.1213.3511.3911.1510.9214.329.809.299.0412.008.11-4.759.136.252.36-300.502.121.15-9.98
23.6721.4930.0427.6325.8925.1913.5626.02-1.2726.0228.7727.5129.6628.3532.6331.2935.2125.2233.1432.3634.407.2212.1315.6515.909.049.93-2.249.864.8713.9111.20-33.872.61-0.6410.398.144.5513.2912.9112.659.6915.5916.1213.3511.3911.1510.9214.329.809.299.0412.008.11-4.759.136.252.36-300.502.121.15-9.98
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20.2517.9025.9623.9421.5220.628.6521.76-5.0921.75-28.1418.6525.0623.3825.4525.9832.0920.0724.6625.6828.174.4721.4813.8829.485.915.80-6.507.970.6015.609.18-38.541.15-4.3112.595.953.6313.4711.561.577.5215.4716.8912.2510.5710.4910.3311.279.107.406.9611.367.87-6.109.195.26-2.23-306.8217.2619.04-9.81
15.4314.3326.5118.5716.5615.3510.7615.90-4.0122.61-20.9216.3619.9126.1021.5822.0713.49-37.2418.3523.7422.798.0217.3713.2020.627.143.4521.688.643.4412.585.65-26.131.01-3.757.827.693.428.4541.78-2.384.8510.6212.817.297.235.325.706.375.388.1712.578.743.9319.264.243.45-4.95-299.636.4412.00-8.55
0.200.200.190.210.190.190.190.210.190.160.160.160.160.210.210.240.240.060.070.070.060.150.160.170.170.170.160.150.160.160.170.160.160.160.160.210.190.200.200.180.180.180.170.200.210.200.200.200.190.190.180.150.140.130.140.110.110.100.080.060.060.06
--------------------------------------------------------------
2.663.822.903.063.053.064.104.644.364.424.282.092.733.174.753.202.981.454.701.521.363.203.953.183.083.063.133.053.493.483.683.833.933.493.393.403.463.323.523.333.383.073.493.613.393.163.333.243.323.523.373.353.833.493.783.653.763.463.623.683.773.62
33.7823.5731.0329.4129.5429.3721.9719.3920.6520.3521.0442.9832.9828.4018.9328.0930.2162.1119.1659.1666.0628.1322.7628.2929.2029.4228.7829.4625.8025.8524.4223.4822.8825.7726.5226.5126.0427.0825.5827.0426.5929.3025.7724.9726.5628.5227.0327.8127.1325.5426.6926.8823.5325.7623.8424.6823.9626.0424.8824.4923.8724.87
-102.47-114.45-1,204.24-54.77-77.37-36.08-23.86-18.367.16-148.3186.15-215.24-103.65-14.33-9.92-9.71-8.284.563.083.623.103.166.125.158.682.850.797.763.711.415.682.66-10.030.37-1.423.523.191.253.417.60-1.072.004.565.133.483.132.602.312.411.632.132.831.850.81-1.590.850.56-0.51-31.750.550.97-0.66
-5.01-4.60-8.61-5.69-4.89-4.03-2.79-3.851.01-5.564.99-3.99-4.20-6.45-4.81-4.80-4.46-60.884.9439.4737.0051.961121301,259-51.06-8.46-89.19-90.21-12.81-42.45-14.7643.90-1.596.68-16.94-13.29-4.99-26.80-45.013.49-7.20-20.15-26.73-13.07-11.30-11.35-96.8617.2217.5918.7010.223.971.75-4.001.671.07-0.92-52.291.181.96-1.35
3.052.805.103.853.172.872.053.28-0.773.58-3.332.673.165.414.605.256.061.871.431.661.441.583.162.694.501.460.404.071.680.622.461.12-4.090.16-0.611.611.420.551.603.55-0.430.811.862.411.541.391.171.291.360.931.231.921.300.57-0.980.620.42-0.39-24.730.460.81-0.56
3.593.306.014.623.753.452.464.09-0.964.87-4.643.383.776.615.776.747.772.231.771.991.711.913.753.235.381.730.474.952.150.793.181.45-5.360.21-0.802.292.060.772.214.92-0.651.232.813.872.592.331.942.222.321.572.032.721.780.78-1.520.820.54-0.49-30.800.540.95-0.65
-0.50-0.41-0.07-1.10-0.64-1.20-1.28-2.50-1.60-0.43-0.69-0.22-0.49-4.49-5.29-5.47-7.0740.6746.0445.0145.6342.4842.4139.8738.6936.9635.6735.5327.3625.6825.6524.8723.8726.4526.6922.2421.9621.4023.6923.5920.0920.6321.0421.4720.2920.1520.2722.6222.4423.1823.6429.2926.5527.5723.2026.4226.0225.8425.8632.0032.0330.02
1.560.993.062.121.190.411.781.000.070.762.992.101.130.332.671.701.330.193.322.421.061.141.567.304.181.714.883.421.880.824.302.381.050.464.602.070.98-0.044.793.321.790.494.743.772.641.063.813.422.240.643.952.881.620.583.211.961.170.492.511.080.710.33
1.450.932.831.951.050.341.610.87-0.030.702.731.941.020.302.531.591.240.143.122.270.950.851.486.653.741.544.002.771.380.693.331.610.600.273.891.570.68-0.194.142.881.470.383.813.022.080.673.263.082.010.543.522.581.420.492.831.660.960.392.270.870.580.27