Meritage Homes Financial Ratios for Analysis 2009-2024 | MTH

Fifteen years of historical annual and quarterly financial ratios and margins for Meritage Homes (MTH).

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
1.771.721.441.821.131.320.870.851.340.951.521.541.861.342.80
0.180.230.280.300.340.430.450.440.470.460.520.510.550.550.55
0.220.290.380.430.520.760.810.790.890.841.091.041.241.211.25
24.9628.7427.9821.7418.9818.2617.9217.8819.3921.2322.1018.3316.3817.810.42
14.7020.4518.8411.758.387.737.497.048.019.5210.665.481.003.30-13.82
14.7020.4518.8411.758.387.737.497.048.019.5210.665.481.003.30-13.82
15.1120.8419.3512.449.148.508.017.578.5710.0511.216.161.834.15-12.91
15.4720.4918.5711.858.268.037.647.177.359.569.762.42-2.370.26-15.95
12.0415.7714.349.416.816.444.424.924.996.536.848.80-2.450.76-6.85
0.971.091.071.161.081.051.001.050.960.940.910.760.710.770.78
---------------
22.9929.2634.8545.6641.4445.6640.8643.2345.0238.4046.7058.8757.6845.208.41
15.8812.4710.487.998.817.998.938.448.119.507.826.206.338.0843.43
16.0225.1224.2218.0412.6513.219.0910.5210.2312.8214.7915.15-4.321.43-13.69
16.0225.1224.2218.0412.6513.219.0910.5210.2312.8214.7915.75-4.321.44-13.79
11.6317.1915.3410.967.356.754.415.184.806.146.216.67-1.730.58-5.35
13.1419.4517.5412.578.347.505.015.875.426.967.067.42-1.930.65-6.09
12710881.5362.5951.6845.2039.1035.5131.7428.3423.2119.4915.0515.5615.26
9.5910.92-3.9813.788.926.44-2.06-2.43-0.08-5.08-2.01-6.28-2.291.015.87
8.5710.21-4.6313.288.305.62-2.48-2.81-0.46-5.57-2.41-6.58-2.510.815.76

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
1.931.661.771.822.181.891.720.790.741.071.441.361.671.631.821.651.422.301.131.301.481.321.320.860.810.840.870.701.070.760.850.750.901.041.341.231.340.910.950.721.291.531.521.151.572.401.542.310.991.201.861.701.851.381.341.501.582.172.803.283.313.62
0.210.180.180.190.210.220.230.240.250.270.280.290.310.290.300.320.330.430.340.410.420.430.430.430.440.450.450.460.480.450.440.450.460.470.470.490.490.460.460.460.470.480.520.500.520.550.510.550.550.550.550.550.550.550.550.550.550.550.550.580.570.55
0.270.210.220.230.270.280.290.310.340.370.380.410.440.410.430.460.490.760.520.700.730.750.760.770.780.810.810.850.910.810.790.830.840.870.890.950.970.850.840.860.890.921.091.011.061.241.041.211.201.251.241.221.221.221.211.211.221.231.251.371.331.21
26.3126.0625.4726.9224.3622.5425.3728.8731.7830.4429.1329.8527.3224.9822.8421.7921.5620.1819.6320.1418.5916.8819.0618.2718.4616.9218.4418.3117.9416.6818.1917.8617.6717.7119.7719.2119.5618.8320.4220.2922.1322.7823.3623.2621.3819.3819.0418.2818.2817.2413.4917.4417.9817.1115.8318.2018.1518.961.079.88-17.717.49
16.8315.2614.8116.8814.4012.1816.9420.8023.4322.1620.6220.5918.1215.1813.5611.7611.229.539.859.637.894.989.257.737.885.508.627.747.725.348.096.897.315.349.888.177.675.409.538.1510.4210.2412.4412.0710.106.527.635.935.001.530.450.812.61-0.031.383.105.003.14-13.14-4.21-32.09-6.79
16.8315.2614.8116.8814.4012.1816.9420.8023.4322.1620.6220.5918.1215.1813.5611.7611.229.539.859.637.894.989.257.737.885.508.627.747.725.348.096.897.315.349.888.177.675.409.538.1510.4210.2412.4412.0710.106.527.635.935.001.530.450.812.61-0.031.383.105.003.14-13.14-4.21-32.09-6.79
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17.4715.8715.5917.6515.2212.8617.1220.8023.4022.1320.7120.6916.8015.2513.8011.8611.179.609.689.777.794.559.068.048.086.568.857.847.855.448.637.127.374.819.706.936.904.859.468.4110.879.6912.2411.508.544.886.462.041.01-2.24-4.72-1.410.34-3.63-2.520.311.511.38-16.44-7.61-32.45-7.90
13.6012.6111.9813.7011.8710.2213.1316.5717.6416.8215.7815.8713.0412.1110.779.558.747.869.087.395.853.577.456.096.115.883.745.265.163.495.864.884.983.496.744.504.853.157.015.826.906.198.567.736.233.5726.051.982.84-2.33-4.79-1.490.26-3.75-0.420.521.431.3215.14-7.67-33.22-7.94
0.250.230.260.260.260.220.350.280.270.260.310.280.300.270.370.310.290.230.340.260.250.210.300.260.260.220.290.250.250.230.310.260.290.220.290.250.230.220.300.250.230.190.270.260.260.190.230.230.230.170.200.180.180.150.180.190.230.160.230.200.180.18
--------------------------------------------------------------
6.596.066.227.087.496.149.308.208.278.3110.208.519.7910.5814.3611.8211.0511.0112.9011.0010.598.8913.1111.1611.2410.0211.9810.2511.027.8412.579.9011.649.9213.7011.299.298.4712.379.9610.027.5713.8113.8314.9214.1217.9920.5617.8813.7316.4711.0913.699.1010.3011.257.828.592.487.947.917.49
13.6514.8514.4712.7212.0114.669.6810.9810.8810.838.8310.589.198.506.277.618.148.176.988.198.5010.126.878.068.018.987.518.788.1711.497.169.097.739.076.577.979.6910.627.289.048.9811.886.526.516.036.375.004.385.036.565.468.126.579.898.748.0011.5110.4736.3511.3311.3812.02
4.743.944.315.024.403.236.647.137.336.867.807.116.375.326.504.964.353.575.253.732.831.464.393.163.202.702.252.762.791.633.642.703.011.634.202.522.491.444.443.083.442.585.484.823.751.6913.701.141.61-0.98-2.41-0.650.11-1.34-0.180.240.840.548.92-4.04-16.19-3.57
4.743.944.315.024.403.236.647.137.336.867.807.116.375.326.504.964.353.575.253.732.831.464.393.163.202.702.252.762.791.633.642.703.011.634.202.522.491.444.443.083.592.695.484.823.751.6914.251.141.62-0.98-2.41-0.650.11-1.35-0.180.250.840.558.98-4.07-16.35-3.61
3.342.873.133.593.082.244.554.714.714.304.944.403.873.263.952.962.561.823.051.921.470.752.241.571.591.321.091.311.300.801.791.281.440.771.971.141.130.692.121.431.601.192.302.041.590.686.040.460.64-0.39-0.96-0.260.05-0.55-0.070.100.330.213.48-1.50-6.13-1.45
3.743.253.544.093.462.525.145.435.475.015.655.044.423.774.533.392.922.033.462.191.640.832.491.791.801.491.241.501.460.902.031.471.630.872.231.291.260.782.411.661.821.342.622.401.820.766.710.510.73-0.43-1.07-0.290.05-0.60-0.080.110.380.243.97-1.70-6.95-1.62
13413012712111611110810193.3286.3481.5375.2369.8165.4462.5958.4955.4452.9551.6848.9246.9945.5545.2042.8541.4040.0039.1038.1737.0135.9335.5134.1633.1632.1231.7430.3229.4628.6628.3427.0126.0825.1223.2121.8720.7319.7619.4916.7515.1614.8715.0515.3515.3915.3315.5615.5515.4715.3015.2613.8614.3516.58
-0.982.239.5912.419.573.3510.92-4.60-5.600.32-3.98-6.51-3.74-0.3613.789.716.221.138.924.282.910.836.441.80-0.25-0.42-2.06-4.15-3.06-1.98-2.43-3.48-2.60-1.93-0.08-1.26-1.83-0.91-5.08-5.51-4.10-3.14-2.01-1.02-0.500.00-6.28-3.70-3.17-1.70-2.29-1.58-1.00-0.761.011.181.821.365.874.965.744.50
-1.342.068.5711.589.013.1210.21-5.12-5.940.16-4.63-6.96-4.02-0.4913.289.345.961.008.303.822.610.705.621.22-0.63-0.58-2.48-4.43-3.25-2.05-2.81-3.77-2.78-2.02-0.46-1.55-2.01-1.02-5.57-5.90-4.38-3.30-2.41-1.27-0.65-0.07-6.58-3.90-3.29-1.76-2.51-1.75-1.12-0.810.811.031.701.305.764.905.694.49