Navios Maritime Partners LP Financial Ratios for Analysis 2009-2024 | NMM

Fifteen years of historical annual and quarterly financial ratios and margins for Navios Maritime Partners LP (NMM).

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
0.870.500.570.240.952.121.110.570.963.833.491.161.121.226.93
0.360.400.380.300.370.380.380.400.440.430.430.310.340.370.48
0.670.830.770.740.670.650.640.770.820.770.750.480.580.650.94
57.0559.4163.9949.2591.2093.0094.6593.6794.9792.9092.4693.6992.7691.5484.52
35.7443.3857.5713.9426.2730.0420.36-2.5732.2225.1531.9140.7039.6746.0045.48
35.7443.3857.5713.9426.2730.0420.36-2.5732.2225.1531.9140.7039.6746.0045.48
56.9663.2076.1244.5858.8561.0662.5251.3669.6468.9973.0675.9676.3375.1063.80
33.1847.8571.69-30.22-28.32-5.65-7.02-27.5818.6932.9229.7846.6834.9542.2537.05
32.5246.8972.38-30.22-28.32-5.54-6.99-27.0317.8031.3329.7846.6834.9542.2537.05
0.250.250.200.190.180.180.160.150.170.170.160.220.210.170.21
---------------
30.9416.1330.0013.3619.4316.0314.9919.0155.9317.1212.1626.4138.67153154
11.8022.6212.1727.3118.7922.7724.3519.206.5321.3230.0213.829.442.392.37
15.6524.7228.89-10.47-8.53-1.68-1.93-7.735.719.998.3515.5011.6712.3116.50
16.0025.5830.63-10.50-8.57-1.69-1.96-7.956.1811.0910.0520.9317.0618.8320.48
8.4211.8314.11-5.68-4.96-1.00-1.14-4.143.105.594.7210.047.187.207.86
9.9814.8617.78-7.29-5.37-1.04-1.20-4.653.205.724.7810.727.707.728.52
91.7977.6258.6157.7266.2667.5477.88122132145149154179176128
18.5616.7912.238.586.506.316.0510.2022.4233.6023.7046.2842.0842.7070.33
21.0811.848.002.725.102.651.037.43-4.473.02-53.4323.4116.92-86.9749.66

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
0.690.890.870.830.830.650.500.400.940.640.570.551.680.640.240.240.480.820.950.802.362.082.121.651.921.531.111.391.953.020.571.180.600.750.960.901.283.803.835.419.8611.003.495.753.282.331.161.011.131.191.121.191.211.201.223.342.051.446.933.981.711.59
0.330.350.360.380.390.390.400.410.350.370.380.410.350.380.300.300.360.370.370.340.390.380.380.380.370.360.380.370.360.330.400.430.420.430.440.440.430.390.430.410.400.400.430.320.340.260.310.330.310.340.340.350.350.370.370.420.420.450.480.570.630.72
0.670.680.670.730.750.770.830.860.650.710.770.860.630.700.740.720.690.670.670.600.650.660.650.650.640.600.640.630.600.530.770.810.780.790.820.810.790.670.770.720.670.670.750.470.520.360.480.540.470.530.580.590.600.650.650.730.730.820.941.331.732.53
57.8554.6756.3157.0958.9955.6059.1559.7561.3057.1062.5866.5466.0456.03-42.6890.1690.7187.8590.5893.0591.5989.0891.6394.0392.6193.6894.9594.0196.7492.6693.9795.5192.2392.7494.7296.1796.0492.9493.1293.0793.1492.2791.5991.8792.5693.8194.2795.0191.9993.2892.4492.7292.8793.0692.3892.1191.2089.9784.8383.7884.3185.20
36.3031.7034.1435.2739.0334.2440.0744.2147.6642.3350.9163.9072.3428.37-11.8160.91-0.761.8440.0639.9215.670.5325.5637.6928.6027.4429.7618.5318.7511.7120.70-53.1211.7013.8428.1532.4933.8334.1736.7835.8136.45-7.9531.3130.9228.1737.1139.3144.1139.2239.7842.3639.7633.1243.3946.4647.1943.7346.3650.2452.5625.1053.11
36.3031.7034.1435.2739.0334.2440.0744.2147.6642.3350.9163.9072.3428.37-11.8160.91-0.761.8440.0639.9215.670.5325.5637.6928.6027.4429.7618.5318.7511.7120.70-53.1211.7013.8428.1532.4933.8334.1736.7835.8136.45-7.9531.3130.9228.1737.1139.3144.1139.2239.7842.3639.7633.1243.3946.4647.1943.7346.3650.2452.5625.1053.11
--------------------------------------------------------------
29.6623.0340.4627.7832.3732.0431.8979.7742.1036.2043.4469.4065.73210-107.3448.28-31.45-23.07-102.7426.53-13.66-20.340.9016.71-50.7510.33-38.4915.308.89-13.33-4.20-67.27-37.450.4614.6420.6020.1119.1622.6723.5954.3431.9319.4228.1739.6932.3176.0439.8733.9635.3036.9834.5029.5838.7843.3042.9339.6542.7942.8745.4916.2142.35
29.0622.5739.6527.2331.7231.4031.2578.1741.2635.4846.0669.6765.73206-72.5710.62-31.45-22.61-102.1926.00-13.66-20.341.3516.71-50.7510.33-37.9815.498.18-13.33-2.09-67.27-37.450.4610.9320.6020.1119.1616.5623.5954.3431.9319.4228.1739.6932.3176.0439.8733.9635.3036.9834.5029.5838.7843.3042.9339.6542.7942.8745.4916.2142.35
0.060.060.060.060.070.060.080.070.080.070.070.060.070.030.060.050.040.040.050.050.040.040.040.050.040.040.050.040.040.030.040.040.030.030.040.040.040.040.040.040.040.040.040.040.050.050.060.060.050.060.060.050.050.050.050.060.050.050.060.060.060.07
--------------------------------------------------------------
8.377.387.758.4311.037.114.946.436.726.0411.287.827.273.204.085.563.893.935.438.474.584.833.995.805.274.514.205.685.765.254.966.729.668.6113.334.514.333.294.476.645.024.853.203.002.185.586.796.7510.9613.1510.448.0711.6215.9245.3941.0727.6735.1442.5510246.2527.19
10.7612.1911.6210.688.1612.6618.2113.9913.4014.917.9811.5212.3728.1622.0616.1823.1222.9016.5910.6219.6518.6322.5815.5317.0919.9721.4415.8315.6217.1618.1613.399.3110.456.7519.9420.8027.3920.1213.5517.9318.5528.1330.0141.2116.1413.2613.338.226.848.6211.157.755.651.982.193.252.562.120.881.953.31
3.452.584.783.404.40-5.0511.556.004.626.589.577.9213.72-11.354.42-2.10-1.50-8.652.21-0.87-1.250.071.34-3.810.68-2.971.160.56-0.70-0.31-4.97-2.350.031.071.581.481.371.801.693.782.301.431.802.932.406.493.652.733.073.332.932.353.413.744.423.544.395.287.373.1811.62
3.522.634.893.494.534.195.2212.026.284.876.9810.257.9313.74-11.384.43-2.11-1.51-8.682.22-0.87-1.260.071.34-3.840.68-3.001.180.59-0.72-0.32-5.13-2.510.031.151.721.611.501.991.884.222.581.722.193.703.098.765.083.864.414.874.363.565.135.726.855.606.866.559.554.5711.62
1.901.402.571.782.262.052.425.393.212.393.214.384.286.85-6.162.40-1.17-0.87-5.021.34-0.52-0.740.040.79-2.260.41-1.750.680.33-0.44-0.16-2.60-1.300.020.580.850.810.811.010.972.241.370.811.191.891.714.202.301.781.952.051.781.432.002.192.441.922.242.512.841.032.85
2.321.673.052.112.692.493.036.783.892.934.055.605.148.51-7.913.10-1.34-0.95-5.441.46-0.53-0.770.040.83-2.410.43-1.850.730.36-0.47-0.18-2.84-1.360.020.600.890.840.831.030.992.281.390.821.231.931.774.492.451.882.032.201.911.532.152.352.552.052.402.733.161.173.29
97.6394.1691.7987.4584.5380.8677.6273.7565.2661.3958.6161.6548.9950.1357.7261.2763.3865.0066.2668.1768.3267.3167.5470.0769.3972.2877.8880.1481.1081.8312212312913213213413914414514915415514915415315515415115315217918118417417616016114612811098.8384.84
7.493.1318.5611.557.573.1316.7912.134.870.1712.235.553.401.418.586.274.401.936.504.381.340.956.314.612.840.626.053.871.04-0.3510.206.256.994.2522.4217.5612.455.0933.6028.7922.567.3323.7020.9911.756.9746.2828.8018.9810.3942.0830.7420.1611.2242.7028.2523.1013.3070.3360.0654.3747.35
3.521.8221.0816.6312.386.6611.846.174.670.088.009.58-3.101.032.726.270.931.935.103.891.350.732.650.20-0.460.591.03-1.131.9417.067.436.256.994.25-4.4717.5612.455.093.0210.1015.42-0.12-53.4310.1511.756.9723.416.728.2910.3916.926.37-4.6811.22-86.97-47.26-56.87-44.0849.6660.0654.3747.35