Inotiv Financial Ratios for Analysis 2009-2024 | NOTV

Fifteen years of historical annual and quarterly financial ratios and margins for Inotiv (NOTV).

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
1.621.423.430.480.710.680.690.360.720.700.660.551.050.720.91
0.580.480.590.710.560.440.330.030.260.330.350.420.310.400.41
1.410.981.584.241.550.880.540.720.450.630.781.000.621.000.91
28.9028.7133.6530.1632.1830.8131.7521.6532.9932.3931.9724.2431.7025.4823.92
-14.23-48.11-6.27-5.07-0.350.055.27-14.874.001.363.76-20.163.88-6.94-12.99
-14.23-48.11-6.27-5.07-0.350.055.27-14.874.001.363.76-20.163.88-6.94-12.99
-4.12-38.690.731.675.887.1712.20-2.5110.347.8511.57-12.0810.321.13-4.67
-21.70-64.366.83-7.50-1.80-0.963.75-15.874.91-4.323.58-22.391.79-10.51-17.81
-18.37-61.5412.16-7.75-1.81-0.743.65-15.804.84-4.353.50-22.39-11.24-9.35-17.19
0.670.570.280.981.040.841.190.970.951.030.861.051.020.970.98
7.255.4798.7560.3327.0115.4218.1211.0210.3710.6310.8912.9013.8412.8213.09
6.555.473.165.594.586.387.719.135.687.165.126.586.395.775.11
55.7266.7011665.3379.6757.1947.3540.0064.3151.0071.3255.4757.1463.2171.48
-39.07-93.7410.36-61.88-7.40-1.7911.89-51.4911.52-12.819.52-89.704.04-25.23-41.64
78.1523437.61454-18.76-4.3210.49-43.5311.31-12.559.57-90.323.84-29.25-47.00
-12.25-35.033.39-7.61-1.88-0.624.33-15.294.61-4.503.02-23.421.68-9.05-16.77
-16.44-48.854.20-17.70-3.23-1.006.96-42.197.60-7.495.31-43.942.41-15.15-24.72
10.4214.056.600.691.021.061.030.921.321.181.231.102.242.172.67
1.09-0.210.780.120.170.400.140.130.240.210.19-0.030.190.500.41
0.06-1.69-0.12-0.45-0.490.250.10-0.020.080.150.19-0.15-0.020.410.24

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
0.310.371.741.621.681.591.561.421.601.701.633.431.020.500.460.480.590.530.540.710.670.630.660.680.730.720.710.690.640.410.380.360.460.460.420.720.840.730.730.700.710.460.410.660.370.360.350.550.450.480.571.051.130.790.730.720.660.640.720.910.940.96
0.020.000.590.580.570.580.570.480.350.350.300.590.230.720.700.710.700.650.640.560.540.470.440.440.320.320.330.330.340.020.020.030.020.010.010.260.260.300.310.330.340.030.040.350.060.070.070.420.080.080.070.310.310.360.380.400.360.380.400.410.390.39
2.101.841.491.411.361.371.330.980.550.550.441.580.474.374.274.243.492.912.571.551.391.040.870.880.500.510.530.540.600.640.580.720.610.540.520.450.440.530.620.630.620.580.680.780.710.850.871.000.750.720.660.620.620.770.911.001.031.130.970.910.830.83
19.9322.4124.7022.6137.7232.1820.7728.0629.5031.8822.9534.2833.4033.7332.8628.5532.1232.4326.9240.0828.8127.4128.0535.2826.9129.2729.4031.7433.0932.1330.1118.4723.2124.6520.1025.9840.4931.4732.5728.3632.8934.0334.4934.6736.2924.4031.9732.9428.6516.4119.7227.5732.3833.2133.5726.7533.1221.4118.7529.9326.2912.34
-19.62-36.22-6.921.755.58-1.40-73.79-161.142.775.61-39.95-11.33-7.44-2.780.08-8.69-3.03-1.22-7.903.42-2.30-4.810.48-0.83-0.531.850.204.975.778.731.52-36.55-7.22-4.91-10.81-15.9724.940.492.43-7.624.241.787.431.807.82-0.175.20-32.71-7.51-24.48-17.32-4.695.677.726.65-0.386.92-18.46-19.552.29-7.02-31.14
-19.62-36.22-6.921.755.58-1.40-73.79-161.142.775.61-39.95-11.33-7.44-2.780.08-8.69-3.03-1.22-7.903.42-2.30-4.810.48-0.83-0.531.850.204.975.778.731.52-36.55-7.22-4.91-10.81-15.9724.940.492.43-7.624.241.787.431.807.82-0.175.20-32.71-7.51-24.48-17.32-4.695.677.726.65-0.386.92-18.46-19.552.29-7.02-31.14
--------------------------------------------------------------
-31.15-45.74-14.26-5.13-1.28-7.99-83.83-168.29-1.860.13-114.2330.96-9.40-3.78-1.86-11.25-5.44-3.60-10.291.97-3.92-6.08-0.97-2.21-1.321.11-0.764.093.896.640.31-39.50-8.91-4.74-10.32-14.4924.412.643.13-6.063.32-3.59-10.644.5410.61-6.034.41-41.19-3.42-26.24-20.58-7.584.935.733.83-3.623.57-22.44-23.33-5.27-9.84-34.66
-24.66-40.39-11.36-6.871.17-6.60-71.14-162.27-2.16-4.34-98.6231.1911.37-3.86-2.05-11.36-5.58-3.67-11.041.96-3.92-6.09-0.99-2.23-1.240.930.483.903.796.560.28-39.52-8.57-4.76-10.34-14.2924.032.623.11-6.293.56-3.70-10.644.5710.29-6.034.41-41.22-3.42-26.24-20.58-8.19-45.415.733.83-3.773.57-17.48-23.33-16.62-7.78-25.91
0.140.150.160.160.180.170.140.160.150.120.080.090.130.290.280.260.250.260.210.350.280.290.280.290.280.290.260.290.290.300.290.240.210.230.220.210.260.250.250.270.240.240.260.220.230.210.230.240.250.230.240.250.250.290.280.250.270.230.210.260.240.20
2.192.032.011.941.821.601.291.521.831.681.8032.8415.6014.2513.7116.107.188.999.138.096.916.155.304.924.584.204.084.393.673.863.162.892.632.842.732.512.342.352.372.942.642.592.812.612.412.362.322.652.943.143.243.613.483.593.323.243.152.852.583.233.133.05
1.661.811.511.611.902.051.651.501.601.621.171.061.151.481.571.461.411.311.141.551.371.921.862.181.651.901.981.872.361.982.162.301.431.431.901.241.521.531.541.871.521.531.841.281.681.442.001.531.511.501.631.571.621.591.671.491.651.591.341.371.191.06
54.3449.7259.6855.8847.3143.9854.6959.8656.1555.4576.9084.8778.4760.8557.2961.7564.0068.5779.0557.9565.4646.8648.5141.3454.4447.4845.4848.2038.0845.5641.6039.1262.8062.8347.4272.3159.2158.9658.3648.1559.0858.9148.8170.4453.6162.3944.9859.0059.5560.1355.3557.2855.7156.5153.9960.5854.4856.5767.2965.7475.7185.15
-14.33-23.21-6.23-3.240.13-3.53-31.07-67.72-0.58-1.08-14.138.922.78-10.22-4.93-23.67-9.55-5.95-13.802.72-4.14-5.55-0.79-1.84-0.880.730.353.083.076.050.27-32.47-5.23-2.91-5.64-7.4514.421.702.12-4.842.48-2.59-8.653.107.31-4.313.46-38.28-2.44-17.48-12.85-4.972.964.182.81-2.622.65-11.54-12.71-10.79-4.40-12.16
13.4026.9411.276.49-0.276.5157.911693.735.8710932.3913.8358.2636.02173-196.20-61.83-147.016.89-11.36-13.68-1.88-4.45-0.880.640.312.722.705.280.23-27.45-5.12-2.86-5.53-7.3214.181.672.08-4.742.54-2.66-8.883.127.36-4.343.48-38.55-2.38-16.66-12.14-4.722.824.783.24-3.033.07-13.44-14.57-12.18-4.91-14.00
-3.37-5.90-1.89-1.020.04-1.11-9.98-25.30-0.30-0.58-8.312.921.47-1.12-0.58-2.91-1.38-0.95-2.340.69-1.10-1.79-0.28-0.64-0.350.270.131.121.081.990.08-9.64-1.84-1.10-2.32-2.996.330.650.77-1.700.87-0.90-2.740.982.38-1.251.02-9.99-0.85-6.16-4.88-2.071.221.671.07-0.940.96-3.99-4.92-4.35-1.84-5.16
-14.03-23.18-2.53-1.360.06-1.50-13.47-35.29-0.38-0.70-9.863.622.12-2.89-1.48-6.77-2.89-2.05-4.891.18-1.88-2.91-0.45-1.03-0.600.430.211.801.765.170.22-26.61-4.46-2.55-4.95-4.929.601.061.28-2.831.45-2.20-7.161.735.91-3.402.72-18.75-1.92-13.60-10.12-2.971.782.661.74-1.571.69-7.10-7.69-6.41-2.67-7.45
7.008.009.8510.4210.6810.5810.9314.0524.0524.2224.256.605.910.630.670.690.840.910.961.020.981.001.051.060.981.051.031.031.000.970.930.921.171.221.251.321.411.241.211.181.221.201.121.231.201.121.141.101.611.742.032.242.352.352.242.172.212.142.382.672.923.06
-0.170.40-0.251.090.350.21-0.29-0.21-0.210.16-0.050.780.520.410.150.120.150.030.140.170.150.090.090.400.270.100.090.140.140.060.120.130.030.02-0.040.240.130.05-0.020.210.130.130.130.190.170.070.09-0.03-0.06-0.050.080.190.290.350.150.500.360.250.050.410.250.20
-0.620.07-0.410.06-0.46-0.43-0.61-1.69-1.43-0.43-0.31-0.12-0.020.190.02-0.45-0.32-0.28-0.07-0.49-0.40-0.130.020.250.160.050.070.100.120.050.10-0.02-0.07-0.06-0.060.080.060.03-0.030.150.100.110.130.190.170.070.08-0.15-0.20-0.17-0.02-0.020.180.280.090.410.320.240.040.240.110.08