NUVERA COMMUNICATIONS, INC Financial Ratios for Analysis 2009-2024 | NUVR

Fifteen years of historical annual and quarterly financial ratios and margins for NUVERA COMMUNICATIONS, INC (NUVR).

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
2.232.561.231.250.810.840.790.660.840.850.141.000.971.001.23
0.560.430.310.350.390.430.260.320.360.390.000.430.430.460.48
1.250.770.490.620.690.830.400.530.610.690.720.840.820.900.97
52.6154.0755.9057.0357.1657.7656.0952.5252.6553.6355.1255.9559.5562.1163.26
14.0417.5221.0923.1421.6721.9220.1812.7812.0912.0013.8111.3413.2313.5913.39
14.0417.5221.0923.1421.6721.9220.1812.7812.0912.0013.8111.3413.2313.5913.39
51.9639.2740.2942.0040.4940.4040.8935.9935.6235.9837.5636.7640.4343.0942.02
-1.3715.0624.2821.4117.9219.8819.5211.5510.5411.6612.498.6510.619.7510.77
-4.8910.9518.6115.1512.8313.7821.236.756.406.867.379.776.096.344.97
0.250.300.380.390.400.350.420.370.350.320.320.250.280.270.27
0.911.285.429.419.849.229.9210.807.868.326.856.296.917.179.37
19.2816.3917.1825.9627.5613.1624.1118.7221.2517.4626.5414.7812.8018.508.15
18.9322.2721.2414.0613.2527.7415.1419.4917.1820.9113.7524.7028.5119.7244.77
-3.287.0212.4211.2310.3110.4114.544.744.514.735.015.703.783.913.17
-7.4919.8240.2661.17123-285.8080.37165-138.11-50.62-31.75-24.7053.91460-88.67
-1.223.317.015.835.134.858.862.502.252.212.322.471.721.701.32
-1.463.978.637.286.305.8810.753.222.882.884.993.222.162.131.66
19.0920.1418.9316.8515.5614.4113.2711.7311.5411.3811.1910.9210.5010.2510.14
3.665.183.984.094.423.342.702.372.062.492.242.041.692.181.24
-7.04-2.240.341.781.911.991.491.260.950.641.190.670.751.190.16

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
2.332.493.122.232.212.322.612.562.972.741.301.231.491.781.671.251.251.270.990.811.041.181.020.840.811.040.920.791.000.830.670.660.930.970.760.841.141.070.890.850.160.150.150.141.070.870.801.000.871.010.770.970.960.980.951.001.031.041.221.231.391.891.82
0.580.570.560.560.510.480.440.430.400.350.310.310.310.320.330.350.360.380.380.390.410.410.420.430.440.240.250.260.280.290.300.320.330.340.340.360.380.380.380.390.000.000.000.000.410.410.410.430.410.430.420.430.430.440.450.460.460.470.470.480.480.510.51
1.401.321.281.251.050.930.780.770.660.530.500.490.500.520.540.620.650.680.680.690.740.780.810.830.870.370.390.400.450.450.480.530.540.570.560.610.660.670.670.690.730.710.720.720.770.780.780.840.770.810.790.820.830.850.870.900.930.950.950.970.971.041.05
55.6553.4953.9955.3652.9550.3851.6753.8854.0553.1855.1857.6955.8055.6754.4456.7956.8557.3757.0955.2955.8358.5558.9956.2464.4852.8454.8455.8056.3156.4955.7552.7453.6451.1952.4853.2352.5752.2052.5953.5553.0453.3954.5554.6455.7254.8855.2154.0257.5456.5955.6556.2761.7659.6660.4462.2861.0360.5364.5565.3963.7562.0461.89
15.8911.5411.3317.2214.3311.1313.3717.4718.9415.8517.7922.4121.1021.2219.6423.9424.2522.6521.7017.6720.3825.6722.9520.3230.6714.6018.4919.8021.9120.5218.4413.1114.4411.6411.8814.3212.6610.4410.9112.4111.3411.4312.8110.8617.4014.2712.616.9615.2512.2510.9511.7317.5810.8512.6819.6812.417.6414.0913.8014.1011.6314.05
15.8911.5411.3317.2214.3311.1313.3717.4718.9415.8517.7922.4121.1021.2219.6423.9424.2522.6521.7017.6720.3825.6722.9520.3230.6714.6018.4919.8021.9120.5218.4413.1114.4411.6411.8814.3212.6610.4410.9112.4111.3411.4312.8110.8617.4014.2712.616.9615.2512.2510.9511.7317.5810.8512.6819.6812.417.6414.0913.8014.1011.6314.05
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0.64-3.516.03-48.044.102.9836.6810.2115.3614.3720.2520.6219.0318.6838.7522.0420.9120.1722.5214.0416.1421.5719.9315.9027.6414.0019.7318.6420.6019.5219.299.9112.0611.7512.5010.5811.088.0512.4210.689.7610.0216.209.3615.6511.6013.30-0.4211.669.3214.058.2414.446.1013.5014.887.291.0115.289.0712.366.4215.20
0.46-2.524.34-49.892.952.1526.417.8011.0610.3414.5814.4513.7014.8231.4414.8315.0614.5216.219.8011.6215.5314.359.5419.9010.0814.2150.5511.9511.3211.195.937.006.817.255.986.435.217.946.585.665.819.405.949.086.727.7318.776.775.418.154.178.383.688.0310.744.011.868.411.226.413.798.45
0.060.060.060.060.060.070.070.080.080.090.090.090.100.100.100.100.100.100.100.100.100.100.100.100.110.110.100.100.110.110.100.090.090.090.090.090.090.080.090.080.080.080.080.080.080.080.070.060.070.070.070.070.070.070.070.070.070.060.060.070.060.060.07
0.280.260.240.220.200.200.250.320.430.751.011.301.201.302.182.371.972.252.382.592.402.452.752.682.653.242.852.492.712.682.762.722.412.202.201.971.652.202.052.101.941.851.771.751.441.481.661.641.271.211.961.841.441.661.861.862.042.082.162.213.032.792.73
5.736.524.624.924.003.803.274.075.165.915.484.307.623.907.416.507.127.346.766.946.016.004.733.694.956.077.206.014.315.155.624.734.575.858.925.394.344.368.214.393.665.505.236.703.983.594.793.703.433.865.443.154.273.954.234.823.873.412.232.042.171.852.46
15.7113.8019.4918.3122.5023.6827.5122.1117.4515.2416.4320.9211.8023.0912.1413.8412.6312.2613.3012.9714.9815.0019.0224.3718.1714.8312.5114.9720.9117.4616.0119.0319.7015.3910.0916.6920.7520.6510.9620.4924.5916.3617.2213.4322.6325.0918.7924.3526.2423.3216.5328.5421.0622.7621.2618.6623.2326.3840.3044.0341.3848.5336.65
0.08-0.440.74-8.540.450.334.081.241.781.692.442.422.332.575.572.752.872.823.261.982.373.273.002.024.681.682.378.642.252.142.131.051.261.191.271.071.130.911.431.140.991.001.631.021.581.141.292.741.000.811.230.641.320.571.281.730.640.281.290.190.990.601.38
0.18-0.971.66-19.501.150.8510.773.505.155.137.797.838.189.7623.2714.9917.4421.9336.0123.6741.28102-1,176.05-55.53-27.557.5911.6347.7222.2727.7240.0636.7085.33-1,065.13-75.37-32.77-23.67-14.80-18.92-12.22-9.10-8.18-11.92-6.46-9.25-5.95-6.18-11.868.798.1814.449.0923.0314.8143.93203-35.22-8.80-53.03-5.46-23.77-13.14-21.58
0.03-0.160.28-3.170.180.141.900.590.910.941.381.361.321.443.041.431.471.421.600.991.141.571.410.942.191.061.465.261.261.191.160.550.650.610.650.530.550.440.680.530.460.470.770.470.720.510.581.190.470.380.570.290.600.260.570.750.270.120.540.080.410.240.56
0.03-0.190.33-3.790.220.172.290.701.071.111.681.681.601.753.741.781.831.752.011.211.411.921.731.142.601.271.776.381.611.511.480.710.840.780.840.680.700.560.880.700.980.991.621.020.940.670.761.550.580.470.720.360.750.320.710.940.340.150.680.100.510.300.68
19.0319.0719.2519.0920.8320.7420.7820.1420.0919.7519.4618.9318.5318.2117.8616.8516.4715.9715.5315.5615.3115.0614.7214.4114.1413.6113.4913.2712.2212.0411.8811.7311.6811.6211.5811.5411.4911.4611.4611.3811.3411.3111.2911.1911.1311.0411.0110.9210.6310.5810.5610.5010.4610.3610.3710.2510.0810.0810.1610.1410.1710.2110.12
2.231.730.513.662.341.420.895.183.892.471.483.983.051.500.984.092.601.551.174.423.292.291.223.342.611.130.772.701.941.210.672.371.861.250.822.061.340.830.432.491.540.920.262.241.440.830.552.041.470.850.581.691.320.900.522.181.671.160.521.240.980.410.15
-4.93-2.60-1.60-7.04-4.07-1.49-0.14-2.24-0.490.510.670.340.770.440.651.781.080.770.831.911.761.500.771.991.710.550.441.491.300.880.501.261.030.680.560.950.490.220.080.640.000.200.001.190.670.310.330.670.470.170.370.750.520.340.231.190.970.700.260.160.56-0.12-0.12