Novanta Financial Ratios for Analysis 2009-2024 | NOVT

Fifteen years of historical annual and quarterly financial ratios and margins for Novanta (NOVT).

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
2.982.562.032.662.262.702.932.833.253.393.283.803.633.682.71
0.340.430.450.290.340.360.420.210.270.330.210.160.220.38-
0.530.750.830.420.530.560.750.300.390.530.300.220.320.60-
45.3643.9642.4941.4041.8642.5742.3042.2242.2641.1741.7243.2843.7445.6938.74
12.5311.979.069.468.8311.5611.048.577.74-4.616.148.3111.7812.60-7.96
12.5311.979.069.468.8311.5611.048.577.74-4.616.148.3111.7812.60-7.96
17.8218.1515.2015.9514.9417.5916.9413.8612.8613.2812.3113.4216.8018.08-0.73
9.5010.127.958.207.319.9814.608.4512.32-4.915.106.857.96-2.79-28.27
8.278.607.127.546.518.287.645.729.53-6.652.318.019.52-0.24-28.04
0.720.690.580.680.720.850.720.900.900.920.840.720.870.780.61
3.232.873.233.733.123.373.303.723.623.413.172.623.322.332.38
5.986.186.017.556.467.166.075.856.266.355.844.124.943.713.57
61.0759.0260.7448.3656.5450.9860.1262.4558.3257.4562.5088.6273.8398.34102
10.8212.829.669.349.7713.8720.008.5014.56-8.004.1212.4010.35-11.15-84.37
166-96.07-28.09105-171.94666-114.3424.7247.52-31.749.4219.7018.22-24.61327
5.945.974.105.154.697.108.575.178.56-4.272.638.396.22-5.43-17.16
7.127.345.296.636.458.9511.606.6810.70-5.353.2610.458.11-6.96-84.37
18.8016.1714.6413.5611.9010.569.017.517.126.177.136.756.255.365.29
3.332.532.643.931.782.531.801.370.961.231.430.841.34-0.20-1.62
2.781.982.093.641.482.081.541.210.801.081.300.741.22-0.31-1.45

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
2.772.832.982.833.052.842.562.582.012.052.031.882.652.632.662.272.402.192.262.382.892.832.702.893.183.252.932.932.952.952.832.932.943.243.253.543.433.203.393.112.993.003.283.153.213.163.803.483.513.383.634.074.334.043.683.293.093.342.710.870.890.86
0.400.430.340.350.390.410.430.450.430.440.450.470.270.280.290.290.330.330.340.360.360.340.360.410.380.410.420.430.250.270.210.220.240.260.270.290.320.350.330.310.340.350.210.230.280.300.160.150.160.180.220.260.350.360.380.37------
0.690.750.530.550.650.710.750.820.770.780.830.890.390.400.420.430.500.510.530.560.560.530.560.710.630.730.750.790.370.400.300.310.350.380.390.450.500.580.530.490.550.560.300.340.420.460.220.220.240.260.320.350.540.570.600.59---1.581.451.39
43.9643.4945.6445.8645.3844.5543.2944.1444.2344.2141.6642.9343.2242.2842.2141.3540.5641.4541.3041.5842.4042.1741.3043.3143.3742.3042.3640.1344.9142.3043.3442.1342.4640.8540.6043.2542.8542.2842.2641.9239.8940.5741.5942.7841.6740.8047.3241.5043.5742.4642.2943.9444.7943.4341.8744.7344.3942.7938.8840.4938.8736.93
10.9011.0910.2513.6814.0312.0112.2912.8510.8211.8910.908.599.556.8311.578.309.478.528.138.319.749.1610.0413.0611.3811.7212.988.4813.229.4911.8511.297.772.864.679.7610.695.70-36.357.216.695.148.277.266.761.9522.095.457.244.334.7313.7513.8812.1310.4212.1412.7719.46-1.66-11.05-4.75-15.58
10.9011.0910.2513.6814.0312.0112.2912.8510.8211.8910.908.599.556.8311.578.309.478.528.138.319.749.1610.0413.0611.3811.7212.988.4813.229.4911.8511.297.772.864.679.7610.695.70-36.357.216.695.148.277.266.761.9522.095.457.244.334.7313.7513.8812.1310.4212.1412.7719.46-1.66-11.05-4.75-15.58
--------------------------------------------------------------
7.267.337.4410.3811.019.018.6712.019.6410.149.477.618.625.7610.027.018.087.665.987.138.327.848.6911.589.769.8111.286.4912.3232.4712.2211.087.542.476.589.7826.765.54-36.497.535.644.797.234.735.392.8719.873.777.222.01-0.1610.3910.048.526.430.83-5.156.86-41.55-24.80-16.61-27.67
5.836.365.919.589.108.346.9910.098.129.226.917.656.966.968.585.788.067.685.775.796.697.804.1913.337.318.10-0.05-0.044.7731.437.847.644.982.116.767.1220.213.64-32.434.780.751.245.242.24-1.092.7740.86-3.656.922.127.5411.2412.196.76-1.900.13-5.915.23-43.81-23.55-15.67-26.20
0.170.160.170.190.190.180.180.180.180.170.160.150.190.190.170.170.170.180.180.180.200.210.220.210.200.200.200.200.220.200.230.230.240.220.220.220.220.230.240.210.210.170.220.210.200.190.110.200.200.190.150.220.220.250.250.230.200.270.170.120.140.13
0.830.810.770.780.770.730.740.770.780.820.920.851.001.040.920.820.800.810.800.760.790.850.880.920.880.860.930.990.850.890.940.950.940.870.900.850.910.900.860.880.900.740.820.700.740.680.390.760.740.570.570.620.640.740.800.750.741.010.680.450.510.51
1.531.461.431.491.551.531.571.531.651.641.691.491.751.691.881.641.521.581.651.471.651.681.821.731.811.841.711.611.631.501.501.481.571.481.511.501.621.621.641.531.551.191.521.271.111.020.650.981.060.880.831.001.031.191.191.141.111.601.020.820.981.00
58.9161.8362.7560.2958.0458.7957.3758.7854.7054.9853.2060.4351.5353.3347.7554.7759.1356.8954.6561.3554.4353.6549.4552.0149.8048.9152.6056.0555.2060.1459.9260.9957.1560.9259.5560.1955.4155.6854.9558.8858.2375.9459.4170.7081.0788.6013891.9385.2510210889.7987.5175.4975.6778.9681.4456.1788.4110991.4789.86
1.962.151.863.293.343.052.644.153.283.522.642.722.372.382.651.832.702.892.212.212.693.233.164.173.094.033.112.713.2811.653.002.901.950.772.492.748.321.63-13.392.061.381.171.940.960.570.779.070.942.050.500.553.523.473.33-0.960.05-6.066.79-37.65-10.85-7.51-12.50
-14.96-11.9128.48132-113.88-34.25-19.80-22.06-13.68-12.58-7.68-6.0815.1620.5129.9137.34197-107.50-38.87-26.2934248.15152-139.51396-27.30-17.76-14.8019.2186.658.718.496.302.368.148.4928.308.07-53.1111.5210.3511.104.432.391.552.1914.411.543.420.870.976.326.536.78-2.120.1127.62-40.34146-131.47-55.13-83.25
0.981.041.021.781.691.491.231.861.451.561.121.121.331.331.460.961.351.421.061.041.331.631.621.971.571.751.331.161.826.401.821.791.180.461.471.544.510.83-7.141.140.730.631.240.590.330.446.130.601.290.320.332.071.811.68-0.470.02-1.201.43-7.66-2.86-2.10-3.50
1.171.231.222.142.031.801.512.291.871.991.451.441.721.711.881.291.811.931.461.421.732.122.042.471.922.371.801.542.448.462.352.271.480.571.831.935.681.05-8.941.410.910.771.530.740.410.547.650.801.710.420.432.612.252.11-0.600.03-6.066.79-37.65-10.85-7.51-12.50
19.5618.9918.8018.0117.4816.7016.1715.1914.9414.9814.6414.0513.8913.4613.5612.8312.2911.7611.9011.4811.0410.8510.5610.3010.849.199.018.948.818.527.517.477.257.167.126.996.826.146.177.277.217.137.136.876.686.686.756.506.486.356.256.235.995.645.365.445.235.575.297.478.138.43
2.050.913.332.251.010.282.531.400.990.322.641.841.450.653.932.631.450.501.780.780.590.152.531.911.140.581.801.190.830.361.370.990.680.240.960.730.420.171.230.970.580.041.431.000.520.130.840.630.560.271.340.910.530.17-0.14-0.270.910.94-1.62-1.84-1.33-0.96
1.730.732.781.870.820.181.980.970.650.142.091.431.210.563.642.421.320.431.480.56-0.380.092.081.550.160.491.541.000.740.311.210.990.630.270.800.610.360.151.080.860.500.021.300.920.460.090.740.530.480.231.220.840.480.13-0.22-0.330.840.90-1.45-1.86-1.34-0.96