NetSol Technologies Financial Ratios for Analysis 2009-2024 | NTWK

Fifteen years of historical annual and quarterly financial ratios and margins for NetSol Technologies (NTWK).

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
2024202320222021202020192018201720162015201420132012201120102009
1.992.002.372.372.582.492.552.102.662.111.843.542.721.731.631.66
0.020.020.010.010.020.010.000.000.010.010.020.020.040.010.100.18
0.180.170.180.200.160.110.120.140.060.060.090.080.130.200.380.45
47.7032.2941.4647.9847.8351.4447.9443.4647.7234.2023.8159.2754.0559.4962.3034.97
5.69-16.76-1.884.951.9010.075.01-1.539.76-10.12-35.9826.9818.2627.8126.45-24.51
5.69-16.76-1.884.951.9010.075.01-1.539.76-10.12-35.9826.9818.2627.8126.45-24.51
8.50-10.574.7812.168.5216.5914.168.5120.8410.14-11.9839.7029.9339.5537.07-8.68
5.25-6.143.655.994.1419.2813.17-1.238.85-9.47-37.8128.7716.8626.8817.24-23.21
1.11-10.01-1.493.241.6612.667.07-7.625.27-10.87-31.2115.776.1515.673.79-30.43
0.960.900.790.630.640.780.610.660.690.570.380.490.440.430.510.42
----------------
4.704.476.6013.134.944.353.777.944.205.124.773.392.892.433.002.32
77.5881.6155.2727.8173.9183.9596.7445.9586.9871.3076.60108126150122157
5.26-11.272.163.661.8218.089.29-2.226.51-7.13-17.9015.528.8714.9513.72-17.58
6.87-15.152.754.672.3624.2112.96-3.3610.44-12.71-34.8627.5718.0532.4837.65-48.77
3.24-7.101.522.611.3513.737.17-1.745.42-5.90-14.8513.517.2811.338.71-9.93
5.17-11.072.143.611.7817.929.25-2.216.47-7.08-17.5615.278.5214.7812.37-13.73
3.463.244.525.495.515.706.696.997.277.168.6310.019.9811.6912.3412.43
0.250.180.271.370.340.421.400.040.160.522.061.671.302.812.290.46
0.230.050.071.160.230.291.27-0.09-0.070.270.610.600.521.041.67-0.29

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
1.992.022.252.122.002.312.232.322.372.342.572.482.372.172.442.672.582.582.542.652.492.642.632.462.552.351.852.132.102.752.782.672.662.512.522.262.112.031.701.761.842.352.452.903.542.922.432.402.722.902.082.181.731.891.821.531.631.641.671.711.661.66
0.020.000.000.000.020.010.010.010.010.000.000.010.010.010.020.030.020.000.010.010.010.010.010.000.000.000.000.000.000.010.010.010.010.000.000.000.010.010.010.020.020.020.020.020.020.020.020.020.040.070.080.060.010.020.020.020.100.110.130.170.180.16
0.180.160.160.160.170.150.170.170.180.170.170.180.200.220.200.190.160.140.150.110.110.130.120.130.120.120.140.130.140.080.060.060.060.060.050.060.060.050.060.060.090.090.080.080.080.080.120.130.130.140.190.170.200.200.240.290.380.420.400.440.450.42
51.5148.3447.0943.2734.9234.8425.3633.4635.5639.4049.3940.5648.8346.6246.0550.4651.7644.5149.7345.0253.3949.9652.1050.2451.2253.9446.3037.5431.6650.1241.9847.8353.9246.2948.6139.4529.4336.0540.4831.41-3.7526.1334.1241.0073.8654.7256.9648.0162.4953.6954.6434.4240.8662.5966.4662.1569.6161.3162.2053.3137.2210.74
4.858.526.742.46-21.08-6.89-24.59-14.92-11.47-3.6410.69-4.777.393.350.668.208.61-2.784.49-3.155.4712.2212.889.766.6416.152.19-8.72-23.0310.25-2.214.9415.927.7412.88-0.43-1.87-12.48-8.13-21.93-80.24-28.64-17.05-14.4640.9924.9224.7313.5732.8720.4014.14-13.27-8.1944.4037.3724.1040.2628.8917.7615.04-7.84-84.76
4.858.526.742.46-21.08-6.89-24.59-14.92-11.47-3.6410.69-4.777.393.350.668.208.61-2.784.49-3.155.4712.2212.889.766.6416.152.19-8.72-23.0310.25-2.214.9415.927.7412.88-0.43-1.87-12.48-8.13-21.93-80.24-28.64-17.05-14.4640.9924.9224.7313.5732.8720.4014.14-13.27-8.1944.4037.3724.1040.2628.8917.7615.04-7.84-84.76
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7.392.997.432.90-38.1533.10-17.61-1.93-10.400.9517.065.3516.76-6.111.2710.9711.1312.477.38-14.9128.4311.9427.039.267.2030.0412.90-1.22-16.5012.26-6.542.4813.417.9112.55-1.08-0.09-9.28-11.48-21.41-84.64-39.45-20.64-2.4544.1624.0831.2211.5231.1222.5213.40-20.82-7.1743.8328.9830.3529.7019.006.4511.15-0.25-112.81
-0.502.122.680.22-36.8018.84-16.89-4.89-16.00-1.889.091.4012.53-4.52-1.855.678.687.403.73-13.4720.237.4016.805.877.0816.814.39-2.88-21.573.90-13.67-2.2610.955.325.40-3.09-4.59-12.52-11.07-17.97-76.80-13.88-19.02-12.3021.9212.4018.838.3913.2715.873.71-23.42-15.8630.6518.5718.6514.176.59-4.70-3.46-11.26-100.17
0.260.240.270.250.240.230.190.190.190.180.190.170.180.160.150.150.150.160.170.150.200.190.190.180.170.160.140.130.150.180.170.180.200.180.190.150.170.150.130.110.100.090.080.090.140.120.120.110.160.120.100.080.080.120.130.110.150.130.140.120.110.08
--------------------------------------------------------------
1.260.982.552.071.181.462.701.741.562.102.152.223.671.132.521.881.190.951.631.201.110.901.571.561.030.650.671.271.761.221.561.361.241.271.381.121.541.301.260.751.250.720.510.480.980.720.760.611.040.720.700.450.460.590.690.530.870.650.860.600.600.45
71.4092.1135.2943.4276.4561.4633.3851.8557.6142.8741.8340.5324.5079.5135.7647.9175.6594.6755.2674.9781.1999.7657.1557.7887.4513913570.7851.1473.7957.5766.0272.5670.6565.4580.4658.3068.9771.6212071.9912517618792.0112611914786.40124128200197152130169103138105150150200
1.230.802.550.79-15.0810.34-5.41-0.95-3.68-0.034.060.933.54-1.60-0.131.862.202.300.82-3.426.972.546.381.841.056.172.17-0.23-3.682.65-1.780.493.041.542.39-0.30-0.26-1.77-2.03-2.98-10.51-4.37-2.13-0.276.603.544.611.625.963.221.76-2.07-0.927.315.225.026.933.971.442.19-0.08-16.30
1.611.053.361.06-20.2813.54-7.01-1.22-4.68-0.045.101.194.53-2.07-0.172.442.843.031.08-4.589.343.468.882.641.478.713.19-0.35-5.584.01-2.780.784.872.564.07-0.54-0.47-3.28-3.91-5.73-20.47-8.19-3.94-0.4811.726.478.853.2012.136.834.17-4.76-1.9914.6411.3012.3719.0110.704.036.30-0.23-42.45
0.760.501.710.52-9.507.12-3.71-0.66-2.58-0.022.990.682.53-1.10-0.091.351.621.700.60-2.565.301.934.911.420.814.681.59-0.18-2.892.18-1.490.412.531.292.02-0.25-0.22-1.48-1.63-2.41-8.72-3.66-1.76-0.225.742.993.741.314.892.581.33-1.63-0.705.423.713.344.402.430.881.32-0.05-9.38
1.210.802.540.79-14.8210.29-5.38-0.94-3.64-0.034.050.933.50-1.57-0.131.812.142.290.81-3.406.912.516.351.841.056.142.17-0.23-3.672.64-1.770.493.021.542.38-0.30-0.26-1.76-2.01-2.93-10.31-4.28-2.09-0.266.493.484.521.585.732.981.62-1.94-0.917.195.134.946.253.531.251.82-0.06-12.91
3.463.463.383.223.243.633.934.114.525.135.345.255.495.405.355.165.515.425.695.635.705.975.836.006.697.006.816.916.997.267.077.217.277.127.097.027.167.377.607.898.639.519.319.6210.019.739.989.849.989.8011.4511.3711.6912.0111.6611.7712.3411.8111.4211.5512.4313.93
0.25-0.320.050.150.180.230.150.120.270.49-0.27-0.301.370.921.090.400.340.040.320.020.42-0.020.27-0.031.400.20-0.18-0.370.04-0.180.01-0.020.160.110.19-0.310.520.260.42-0.052.061.691.400.331.671.161.180.381.300.850.690.162.811.401.04-0.032.291.061.270.220.46-0.06
0.23-0.390.000.110.050.100.050.040.070.37-0.32-0.321.160.741.000.360.23-0.050.260.000.29-0.160.19-0.061.270.13-0.22-0.39-0.09-0.29-0.08-0.06-0.07-0.080.11-0.350.270.030.25-0.150.610.640.740.030.600.370.750.200.520.260.21-0.101.040.210.56-0.181.670.731.020.19-0.29-0.62