Nortech Systems Financial Ratios for Analysis 2009-2024 | NSYS

Fifteen years of historical annual and quarterly financial ratios and margins for Nortech Systems (NSYS).

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
2.212.082.322.101.951.842.091.942.052.791.801.621.491.641.71
0.150.210.270.360.420.400.420.350.380.350.160.120.040.080.16
0.180.280.400.650.790.710.780.620.680.560.550.530.560.420.54
16.5815.2713.779.2810.8111.7410.7911.8710.4711.9011.8111.5911.6811.457.25
4.272.901.97-0.590.191.10-1.130.54-0.371.191.311.371.321.23-6.86
4.272.901.97-0.590.191.10-1.130.54-0.371.191.311.371.321.23-6.86
5.744.333.673.802.103.031.912.511.593.003.123.113.112.93-4.45
3.922.596.96-1.19-0.700.43-1.840.07-0.770.860.980.871.530.88-7.78
4.931.506.21-1.49-1.060.15-2.180.04-0.500.790.710.591.040.51-4.80
1.851.931.721.811.891.892.162.102.042.312.412.402.442.401.94
5.375.065.116.797.275.885.414.985.115.335.625.355.305.494.69
7.237.205.836.666.275.646.456.666.156.286.877.866.766.265.50
50.5050.6962.6254.7858.2364.6956.5954.8359.3658.0953.1546.4553.9758.2866.38
19.597.2227.66-8.37-6.230.80-12.500.20-2.593.903.633.015.872.66-20.76
19.597.2727.93-8.81-7.550.97-15.570.26-3.373.873.592.985.822.66-20.86
9.152.8910.66-2.68-2.000.28-4.700.08-1.011.811.711.412.541.22-9.32
16.625.6619.88-5.32-3.540.48-7.210.13-1.592.523.012.625.582.41-17.20
13.1310.519.777.047.527.707.248.128.118.318.007.717.487.036.84
0.611.87-1.610.510.370.910.291.291.230.580.101.68-0.321.05-0.31
0.171.05-1.842.590.100.390.240.570.62-0.22-0.320.08-0.730.83-0.50

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.592.542.302.212.272.232.022.082.192.322.142.321.561.471.782.102.241.991.911.951.881.881.801.841.871.842.122.092.001.901.941.941.992.002.092.051.912.622.862.792.682.751.771.801.721.691.721.621.721.641.551.491.411.381.441.641.581.581.691.711.731.731.43
0.220.190.150.150.140.200.180.210.270.310.240.270.150.210.320.360.320.430.430.420.460.460.430.400.380.370.400.420.380.340.350.350.380.390.380.380.370.370.370.350.350.340.160.160.160.160.170.120.120.110.070.040.040.040.090.080.090.130.150.160.180.18-
0.280.240.180.180.170.260.230.280.390.470.340.400.640.920.630.650.530.800.790.790.910.920.790.710.660.640.740.780.670.570.610.620.680.700.690.680.650.640.620.560.560.530.570.550.590.620.560.530.540.540.450.560.600.790.700.420.480.570.500.190.650.600.58
12.2113.6215.9218.9415.9415.6315.7214.3317.9415.3913.178.0027.3011.887.078.287.4410.3010.9511.8612.098.5210.5110.6811.4613.3811.458.3912.4211.1710.9212.2512.7410.7911.6712.329.519.0710.8011.3312.5811.9811.7611.9611.0111.8112.4914.0310.9111.0310.6112.5011.6111.6411.0210.2111.1312.5912.1011.348.695.533.85
-1.491.023.387.433.373.143.022.105.513.150.55-2.6116.691.35-9.85-15.7910.280.191.422.672.37-4.43-0.37-0.052.202.57-0.45-6.911.000.320.431.150.64-0.380.761.05-0.22-1.80-0.760.891.691.270.901.651.371.310.861.941.291.141.161.491.481.220.990.860.682.001.52-5.05-4.23-7.89-9.83
-1.491.023.387.433.373.143.022.105.513.150.55-2.6116.691.35-9.85-15.7910.280.191.422.672.37-4.43-0.37-0.052.202.57-0.45-6.911.000.320.431.150.64-0.380.761.05-0.22-1.80-0.760.891.691.270.901.651.371.310.861.941.291.141.161.491.481.220.990.860.682.001.52-5.05-4.23-7.89-9.83
---------------------------------------------------------------
-2.170.532.897.092.982.782.701.905.172.790.2315.4816.310.96-10.24-16.199.80-0.480.611.821.52-5.45-1.24-0.761.621.84-1.10-7.590.40-0.74-0.070.650.17-0.860.310.65-0.66-2.22-1.120.731.320.850.521.291.111.000.461.520.640.720.641.270.990.613.240.440.851.580.69-1.21-7.35-12.12-10.21
-2.350.462.2412.073.621.811.95-1.074.352.210.4514.8612.080.59-7.04-14.817.48-0.460.500.891.37-5.69-1.29-0.681.231.37-1.48-9.610.15-0.05-0.050.340.21-0.620.220.39-0.41-1.41-0.730.701.190.900.330.820.800.660.541.100.410.450.430.810.650.532.160.500.490.600.44-0.73-4.58-7.78-5.98
0.410.440.450.480.510.510.500.510.480.450.450.500.440.480.380.410.440.430.430.500.450.420.400.480.520.510.500.490.490.540.510.520.520.500.520.560.520.520.540.630.570.580.550.640.580.600.560.560.570.610.620.620.570.540.580.660.600.550.520.480.450.460.47
1.231.281.251.351.311.401.381.361.231.201.261.581.041.451.201.571.681.531.591.901.561.531.581.511.721.771.801.261.181.241.161.231.191.201.201.371.361.181.211.461.201.241.231.481.311.341.191.221.291.321.331.341.171.141.261.531.261.201.091.111.081.111.17
1.891.932.131.872.042.011.851.911.701.501.541.691.541.681.591.531.651.381.361.661.491.321.221.431.561.481.451.471.521.721.641.661.631.561.761.681.511.531.561.711.751.781.691.811.791.831.841.841.641.791.781.721.611.591.641.721.751.721.821.371.591.661.59
47.5246.6842.2248.1344.0844.7348.6847.0652.8360.0058.3353.1458.4953.4656.4758.9854.6965.3766.3454.2060.2968.2373.7962.7357.7960.8961.8661.3059.2552.2954.9954.3655.1157.6751.2453.6259.7558.7657.7052.7151.3850.6053.3349.6850.2249.2448.8348.9554.8050.2250.6652.2056.0356.6054.7852.2751.3552.3049.3965.8956.5554.3056.71
-2.090.442.1412.403.962.172.38-1.375.492.700.5319.2317.111.04-9.19-19.129.01-0.620.691.392.13-8.17-1.76-0.951.731.88-1.90-12.560.19-0.07-0.070.440.29-0.820.280.56-0.56-1.72-0.860.951.491.120.401.111.020.880.671.320.510.610.601.160.910.743.190.720.670.780.51-5.07-4.60-7.99-6.17
-2.080.442.1412.413.972.182.39-1.385.532.720.5319.4117.341.10-9.73-20.1310.63-0.750.831.692.60-10.06-2.12-1.152.102.29-2.34-15.650.25-0.09-0.090.570.37-1.070.370.73-0.74-1.70-0.850.941.471.110.391.101.000.870.661.300.510.610.601.150.910.733.170.720.670.780.51-0.77-4.63-8.09-6.25
-0.960.211.015.791.830.930.97-0.552.101.010.207.415.350.29-2.70-6.133.29-0.200.220.450.62-2.38-0.52-0.330.630.70-0.73-4.720.07-0.03-0.030.180.11-0.310.110.22-0.21-0.74-0.390.440.670.520.180.520.460.400.310.620.240.280.270.500.370.281.250.330.290.320.23-0.35-2.06-3.55-2.84
-1.620.351.8110.523.391.721.93-1.073.971.840.4013.8214.350.81-6.14-12.156.02-0.350.390.791.13-4.34-0.99-0.561.071.18-1.13-7.250.12-0.05-0.040.280.18-0.500.170.34-0.35-1.06-0.540.610.960.740.330.920.840.730.551.150.440.540.551.100.870.702.850.650.610.670.43-0.65-3.73-6.47-6.10
12.9513.0913.0712.9011.2110.7710.7010.5110.5010.029.829.777.876.556.457.048.327.537.567.527.317.247.807.707.967.827.687.248.148.118.118.128.088.068.138.118.078.118.258.318.258.128.038.007.917.837.767.717.607.577.527.48---7.03---6.83---
-1.10-0.500.970.610.750.100.591.870.34-0.670.52-1.61-0.99-1.96-0.340.51-0.040.180.170.37-0.09-0.84-0.540.910.961.020.200.290.220.47-0.091.290.680.390.481.231.43-0.05-0.090.580.510.480.190.10-0.01-0.53-0.151.680.630.480.97-0.32-0.80-1.70-1.431.050.590.130.22-0.31-0.96-0.65-1.12
-1.45-0.840.720.170.37-0.240.421.05-0.23-1.080.34-1.84-1.19-2.17-0.422.592.040.090.150.10-0.38-1.04-0.690.390.590.810.090.240.260.580.080.570.08-0.120.190.620.90-0.49-0.42-0.22-0.140.07-0.05-0.32-0.35-0.75-0.230.080.110.120.80-0.73-1.01-1.83-1.510.830.430.050.16-0.49-1.11-0.72-1.19