National Research Financial Ratios for Analysis 2009-2024 | NRC

Fifteen years of historical annual and quarterly financial ratios and margins for National Research (NRC).

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
0.671.311.831.710.760.601.621.491.251.901.540.670.910.660.72
0.380.200.210.290.480.64-0.010.040.060.100.000.190.230.13
0.750.310.310.481.041.980.010.040.080.090.150.220.270.340.17
62.3062.3664.6263.2463.7260.2558.2658.3356.4157.7958.0558.9762.1661.1458.14
26.9530.7133.9831.8933.6329.4729.1128.5225.8428.6326.7926.2924.7321.8623.74
26.9530.7133.9831.8933.6329.4729.1128.5225.8428.6326.7926.2924.7321.8623.74
30.9234.1938.2837.5037.9534.0433.0132.3829.8632.4830.8231.7331.4129.2830.38
26.9028.2532.8630.9931.6629.0029.1628.6726.7328.4226.4525.7023.9721.0022.74
20.8420.9825.3227.8025.2425.1019.5218.7617.2118.3716.7217.4415.2613.4114.72
1.211.160.941.001.161.110.920.910.800.760.830.860.750.660.80
---------------
11.859.9810.228.8310.939.757.748.808.989.527.306.546.265.488.02
30.8036.5935.7241.3533.3937.4247.1341.4640.6638.3549.9955.7958.2966.5845.49
63.2644.1543.9057.9398.5215725.4824.7823.7320.6921.5826.5620.8217.4919.22
-219.19361171659-121.05-73.5578.4294.0313976.28166-219.94-125.03-55.96-322.12
25.3024.3823.7827.9329.2827.8118.0217.0113.7514.0213.9415.0611.498.8711.71
39.4935.4434.8241.0151.6956.4225.4824.5222.7119.4219.4026.4516.8813.4416.63
2.022.923.362.531.320.773.683.393.053.602.962.368.267.296.63
1.541.451.811.581.601.421.111.090.891.060.780.790.772.172.03
0.911.061.591.431.411.210.930.930.770.960.700.690.651.941.60

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
0.370.410.670.611.211.251.311.201.311.661.831.861.691.681.711.481.140.880.760.690.620.580.600.810.721.771.621.581.651.521.491.481.461.381.251.781.901.931.901.971.881.771.541.341.200.780.670.861.121.030.910.810.770.780.660.650.930.890.720.690.580.60
0.390.430.380.200.160.180.200.220.230.210.210.220.240.260.290.330.390.430.480.520.550.590.640.540.57----0.000.010.020.030.030.040.040.050.060.060.070.080.090.100.110.13-0.00-0.160.170.190.190.200.210.230.240.120.120.130.150.160.17
1.051.140.750.410.260.280.310.340.360.310.310.330.370.400.480.560.720.891.041.211.431.701.981.291.480.000.010.020.030.030.040.050.060.070.080.070.080.090.090.100.110.130.150.160.190.020.220.200.220.240.270.280.320.310.340.350.150.160.170.200.210.27
61.6760.7663.7061.4463.2060.8563.3361.4763.1161.5563.0163.7165.5866.3363.1464.1662.6762.9565.7762.7063.3762.9861.1960.7560.7558.3858.6557.6358.0158.7158.2857.5858.9058.6056.8956.4057.3355.0956.8258.7555.1160.3257.9157.8257.5158.8658.5059.0058.1660.1462.4459.7260.3665.8560.5662.2858.4362.8362.1759.1555.0256.54
25.3124.8130.8126.2425.9024.7232.0929.4730.8330.4333.6134.7933.6033.8929.2935.3529.7633.0636.6731.4832.3134.0030.6630.5427.6828.8828.9724.6029.7232.9831.1427.1526.8728.7329.2325.9426.0122.1925.5530.2326.3232.2726.2926.9124.7628.9826.2526.4125.2827.1426.2222.6120.9228.8014.8521.8218.8030.7824.0124.4019.8826.13
25.3124.8130.8126.2425.9024.7232.0929.4730.8330.4333.6134.7933.6033.8929.2935.3529.7633.0636.6731.4832.3134.0030.6630.5427.6828.8828.9724.6029.7232.9831.1427.1526.8728.7329.2325.9426.0122.1925.5530.2326.3232.2726.2926.9124.7628.9826.2526.4125.2827.1426.2222.6120.9228.8014.8521.8218.8030.7824.0124.4019.8826.13
--------------------------------------------------------------
23.7723.2030.1826.4626.1224.7124.8328.7829.6729.7432.6233.4332.6532.7428.3934.3027.4633.5834.8430.2130.1931.3231.1427.9327.9128.9128.9624.7829.7932.9631.7427.0426.9428.7333.2625.6925.8522.0125.3830.0126.1132.0525.9326.5524.4428.6425.8025.6824.7726.4625.3922.2020.1327.8113.5920.8218.5029.9823.0423.1718.5325.55
17.6318.0123.3120.7620.1119.0917.4122.0222.3222.2125.1825.5624.5526.0223.4528.1624.7534.7226.3325.0123.5326.0425.4623.3028.3723.5521.8014.3420.2321.5420.1817.4917.4519.7622.4816.4016.6113.2516.3219.2216.8820.9516.4317.0215.3617.9516.8316.7319.0917.1816.3914.2712.7217.469.8813.3811.7418.0116.1714.7511.8415.83
0.290.290.310.320.270.270.290.280.270.250.240.240.240.240.260.270.270.290.290.300.300.300.280.280.270.240.230.220.230.240.240.230.220.240.210.200.190.200.190.190.200.220.210.200.210.240.220.200.200.220.190.180.180.200.170.170.180.220.190.180.190.23
--------------------------------------------------------------
3.393.163.032.562.992.552.512.392.762.402.642.312.552.462.291.621.551.632.792.052.001.952.501.712.262.161.971.941.781.962.281.751.911.602.311.711.961.912.421.941.741.921.811.621.351.561.671.411.401.541.581.361.271.381.371.471.351.881.931.331.471.58
26.5728.4529.7035.1230.1235.3635.8537.6432.5837.4734.0338.9835.3636.6539.2355.6058.2055.1632.3043.9845.0546.0436.0452.6139.8441.7145.7046.4250.5045.9939.4251.3747.0056.3138.9252.4846.0047.0437.2046.4051.6946.8449.7955.5766.4657.5654.0563.8964.2358.5556.9866.1170.6265.4165.5361.3966.6847.9046.7567.8961.1556.97
15.3617.2118.0913.619.359.339.2212.2512.1310.4811.2911.6211.7112.6012.7716.8816.9331.5226.4428.0228.4736.0440.8823.2029.647.667.244.676.557.626.915.825.727.237.994.784.533.964.675.274.947.055.255.655.437.466.535.586.456.595.644.954.436.763.234.493.586.785.074.683.906.59
-27.06-24.36-62.69-150.0849.8360.6975.4018415747.1043.9249.1169.9496.05145-367.25-55.92-53.23-32.49-26.41-21.83-22.06-19.10-23.25-23.7120.9922.2814.9021.2626.3926.2423.6024.9237.6246.8516.7215.3814.2817.2218.4920.1935.9040.4179.601,063-134.76-54.052,142-131.87-63.35-33.86-22.73-18.06-28.16-10.33-14.351,239-624.36-84.90-55.67-32.85-43.47
5.185.267.236.565.445.195.096.156.115.586.116.185.896.296.157.536.6110.157.867.547.097.847.226.437.735.585.123.234.625.174.753.963.914.654.633.203.102.713.173.583.324.693.393.473.274.323.703.273.733.723.112.622.323.531.642.292.114.043.092.682.233.61
9.389.8611.2910.937.817.647.409.589.398.328.959.078.879.359.0411.3610.4017.8413.8813.5412.7214.6514.6510.7212.657.667.244.676.557.606.845.725.576.987.644.574.313.744.394.914.556.424.725.014.747.466.505.585.435.474.573.983.535.322.483.433.165.964.383.963.265.48
1.681.552.022.363.163.042.922.742.773.233.363.273.002.882.532.241.811.481.321.161.040.910.771.040.923.893.683.633.593.503.393.323.263.123.053.563.673.593.603.553.383.182.962.792.618.672.369.398.988.628.267.967.817.627.297.166.976.926.636.396.206.03
0.790.501.541.070.670.311.451.130.720.331.811.341.000.561.580.950.540.211.601.130.630.291.421.020.650.321.110.850.420.331.090.730.460.180.890.600.380.061.060.840.460.210.780.620.240.130.790.560.320.300.772.101.200.572.171.841.360.932.031.531.140.51
0.390.330.910.580.370.181.060.820.560.231.591.190.890.511.430.860.490.191.410.990.540.241.210.830.550.270.930.720.330.270.930.610.370.130.770.510.310.030.960.750.400.180.700.560.200.110.690.480.270.210.651.761.010.461.941.671.270.881.601.150.830.39