Matador Resources Financial Ratios for Analysis 2009-2024 | MTDR

Fifteen years of historical annual and quarterly financial ratios and margins for Matador Resources (MTDR).

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
1.041.860.800.900.700.930.911.650.930.790.430.400.491.4015.26
0.350.260.420.550.450.420.310.450.440.280.260.280.240.08-
0.530.350.721.200.800.730.460.830.800.390.350.400.420.09-
81.3781.8080.9080.5679.8288.0686.9081.6887.6992.0091.9692.9392.0895.3395.57
43.0957.5347.69-60.4923.9440.3829.55-67.00-253.6441.7223.17-20.24-19.3222.98-101.91
43.0957.5347.69-60.4923.9440.3829.55-67.00-253.6441.7223.17-20.24-19.3222.98-101.91
68.8772.7668.65-18.1959.8370.0162.25-20.41-197.1472.8960.8828.4720.7559.69-57.68
39.0655.1243.02-69.5016.1132.4723.86-37.10-260.0040.5221.00-21.01-19.9823.30-100.25
30.1439.7135.18-68.818.9230.4823.13-36.84-213.7525.6317.28-20.14-13.0115.01-59.39
0.360.550.390.230.240.260.250.180.280.300.290.260.180.120.09
12.5036.6626.0615.8318.476.1111.9015.9119.3628.5326.7213.314.671.390.59
5.936.746.896.295.196.163.854.517.169.618.245.606.023.652.16
61.5054.1752.9958.0670.2859.3094.7080.9850.9737.9944.3165.2360.67100169
22.0538.7830.11-36.596.2416.8410.97-14.04-138.9712.787.93-8.77-3.802.26-5.46
22.0538.7830.11-36.596.2416.8410.97-14.04-138.9712.787.93-8.77-3.802.26-5.46
11.7823.1615.03-15.013.028.676.43-6.63-59.567.725.06-5.26-2.351.84-5.20
14.3728.7317.53-16.633.469.747.53-7.67-77.209.195.86-6.29-2.872.08-5.46
34.5527.8918.0512.9516.8815.3011.596.955.7111.818.676.826.356.626.38
15.5716.478.844.114.725.352.921.472.563.553.052.301.450.660.04
4.349.764.72-1.94-2.57-2.23-5.07-3.45-1.83-4.49-3.19-3.41-2.32-3.24-1.31

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312009-12-31
0.880.860.891.040.980.921.671.861.481.311.000.800.840.790.680.900.830.660.990.700.670.810.700.930.691.220.680.910.601.161.851.650.530.701.450.930.830.870.450.790.390.450.440.430.510.420.510.400.450.700.670.49-----
0.410.290.300.350.360.380.250.260.280.330.390.420.440.490.520.550.540.490.440.450.440.450.440.420.380.250.300.310.370.370.390.450.510.480.430.440.350.290.310.280.230.160.320.260.210.390.360.280.210.130.040.24-----
0.710.410.430.530.560.610.340.350.390.480.640.720.800.961.091.201.170.960.770.800.790.810.780.730.620.340.420.460.580.600.630.831.040.930.750.800.550.410.460.390.310.190.460.350.260.630.560.400.270.150.040.42-----
83.5982.3781.0682.3181.8581.2379.4881.9080.0082.6182.9882.4978.7281.1981.0081.2877.2037.2289.3175.5782.0484.2277.2288.9386.7287.8088.4985.2985.1487.8089.5183.4684.4174.8079.9984.0289.0186.8690.2793.0192.3289.9791.8891.4690.8193.2592.5492.1790.0695.3292.5293.1391.5092.5390.64--
43.5742.9240.4943.7344.0339.5444.8852.5457.4763.0354.6857.4148.7340.6034.73-26.12-108.73-691.8552.0822.5330.8231.774.3451.0832.7535.0138.3726.7121.0230.0840.269.6718.99-218.27-227.75-324.17-271.43-308.59-103.3049.2941.4733.0736.8433.7234.5240.79-25.97-39.43-34.18-18.5324.5226.3028.8832.49-248.31--
43.5742.9240.4943.7344.0339.5444.8852.5457.4763.0354.6857.4148.7340.6034.73-26.12-108.73-691.8552.0822.5330.8231.774.3451.0832.7535.0138.3726.7121.0230.0840.269.6718.99-218.27-227.75-324.17-271.43-308.59-103.3049.2941.4733.0736.8433.7234.5240.79-25.97-39.43-34.18-18.5324.5226.3028.8832.49-248.31--
---------------------------------------------------------
39.7938.4335.5439.8737.9436.7442.0549.8755.6560.6151.7453.7644.7535.5827.11-35.15-117.81-724.3647.1115.1924.0723.97-6.0447.0512.1231.0533.9622.3214.2424.4534.0512312.29-229.42-241.28-333.53-278.16-315.47-105.7747.8541.1031.7535.0132.6731.7638.13-28.17-41.18-34.49-18.5823.7125.0728.4832.08-248.57--
27.5927.0124.5930.4434.1525.8129.1235.8740.1444.0436.6137.9243.1129.6322.73-39.89-135.73-561.6933.848.3215.7315.21-9.7547.168.5928.2931.3324.9611.9122.0032.6312313.45-229.65-241.25-336.13-244.56-201.15-69.3730.0126.4020.0522.1222.3928.1738.08-28.25-40.82-32.40-11.9413.1315.9228.4832.29-198.81--
0.080.100.100.110.100.090.100.130.160.190.120.130.120.090.070.060.050.020.090.070.070.060.050.080.070.080.080.070.070.070.080.060.080.040.040.060.080.050.040.110.090.080.070.080.090.090.080.080.050.100.060.05-----
4.333.923.743.543.953.885.748.4311.6912.457.738.138.285.774.593.973.933.313.416.563.421.882.111.831.472.052.503.773.915.354.834.614.353.874.635.425.165.084.108.946.749.566.517.479.557.464.244.641.911.901.611.11-----
1.481.601.491.771.471.381.361.562.012.061.542.352.181.651.511.641.470.442.421.521.511.641.151.981.411.401.391.091.161.541.791.451.700.981.201.542.131.291.563.452.532.021.922.172.352.381.981.761.303.511.341.63-----
60.6356.1060.3850.9161.4064.9966.3357.7344.7443.7058.4938.3641.2454.4059.6355.0461.1020537.2559.0559.6554.8077.9945.3863.8064.1064.9482.7677.6958.5450.3762.1452.9492.0874.8358.3142.3169.9457.6526.1035.5244.5646.9841.5138.3337.8745.5251.1769.4025.6567.2255.23-----
5.355.104.606.697.184.905.188.2011.5515.919.5910.8711.437.164.40-5.06-16.87-19.026.271.712.812.45-0.538.101.463.914.763.371.813.295.0115.092.75-25.03-20.50-47.10-33.77-16.42-5.445.373.622.322.792.703.646.44-4.26-5.59-2.30-1.640.921.26-----
5.355.104.606.697.184.905.188.2011.5515.919.5910.8711.437.164.40-5.06-16.87-19.026.271.712.812.45-0.538.101.463.914.763.371.813.295.0115.092.75-25.03-20.50-47.10-33.77-16.42-5.445.373.622.322.792.703.646.44-4.26-5.59-2.30-1.640.921.26-----
2.572.912.593.573.742.483.094.906.678.794.915.435.473.181.86-2.08-7.03-8.653.120.831.371.20-0.264.170.802.572.851.980.971.782.727.121.02-9.74-9.25-20.19-18.90-10.06-2.973.242.321.611.601.732.533.42-2.38-3.35-1.56-1.240.760.78-----
3.143.623.234.364.593.043.876.078.3110.745.856.336.363.652.11-2.30-7.78-9.713.540.951.571.36-0.304.680.902.913.352.321.152.063.088.241.35-12.99-11.75-26.16-21.85-11.66-3.773.862.771.941.912.002.883.96-2.72-4.00-1.82-1.430.890.95-----
40.8338.9037.1534.5532.5330.3628.9927.8925.9523.2119.8018.0516.2914.5513.5312.9513.5015.5618.4816.8816.4015.7815.3915.3014.8014.4412.4711.599.889.599.146.954.684.535.635.718.3811.2012.0211.8111.1610.748.918.678.426.986.526.827.197.357.356.35-----
13.388.503.9015.5710.416.582.8416.4712.788.132.758.846.033.591.434.112.751.810.944.723.021.660.515.353.592.251.242.922.211.210.611.471.030.540.222.562.201.371.263.552.441.640.483.052.191.500.582.301.450.930.101.480.800.460.300.000.00
4.352.341.064.342.631.790.839.768.195.031.014.723.061.610.57-1.94-2.37-1.69-0.84-2.57-2.44-1.71-1.35-2.23-6.85-2.12-0.77-5.07-3.72-2.48-1.63-3.45-2.60-1.74-0.98-1.83-2.31-1.89-0.65-4.49-3.10-1.77-0.94-3.19-2.29-1.65-0.95-3.41-2.49-1.56-0.96-2.37-1.72-1.68-0.53--