NVE Financial Ratios for Analysis 2009-2024 | NVEC

Fifteen years of historical annual and quarterly financial ratios and margins for NVE (NVEC).

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
32.0516.8016.9023.7143.1932.8433.0332.1321.0224.8517.0910.6915.699.146.408.84
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77.2878.9276.7980.7180.7680.3078.9978.5476.1380.3277.9474.0167.3768.6470.4771.23
62.1467.0460.5159.6461.0560.1661.7861.5958.7662.9555.5056.2249.9456.6457.9056.70
62.1467.0460.5159.6461.0560.1661.7861.5958.7662.9555.5056.2249.9456.6457.9056.70
62.8167.7162.0862.1863.2262.8265.0665.6461.8366.0058.7658.6151.6957.9659.2958.72
68.6770.8264.8566.6668.0966.9067.0067.4165.5870.1063.6864.9458.1763.1263.6561.73
57.4659.3353.7654.7357.1654.8046.5945.7144.3546.9842.9443.7639.8242.8342.6341.86
0.450.550.400.290.320.320.340.300.270.280.250.280.340.430.490.55
0.951.261.231.061.261.221.721.812.061.611.782.112.892.934.872.99
9.485.865.7410.889.438.8410.348.2412.3510.3211.1210.7210.648.676.676.94
38.5162.2463.6333.5638.6941.3035.3144.2929.5535.3732.8134.0434.2942.0854.7452.58
26.1233.8322.4716.5018.6317.5316.0913.9712.3813.2610.7412.5913.9719.1021.4523.53
26.1233.8322.4716.5018.6317.5316.0913.9712.3813.2610.7412.5913.9719.1021.4523.53
25.6432.7721.5016.1318.2717.3515.9113.8112.1913.0510.5812.3513.6918.6020.8822.98
26.1233.8322.4716.5018.6317.5316.0913.9712.3813.2610.7412.5913.9719.1021.4523.53
13.5613.8913.3614.6716.1317.0817.8519.1420.5322.3021.3819.3316.8814.6511.908.90
3.773.952.592.763.282.933.132.562.953.052.552.602.632.642.572.09
3.773.762.492.753.272.923.002.452.893.012.512.222.332.492.562.01

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
18.5832.0536.0826.1420.4616.8011.647.6533.9116.9036.9532.7416.8223.7143.6348.3827.1343.1933.0624.3518.0732.8436.1152.0423.9333.0338.1634.5815.6832.1332.6127.819.7121.0221.0439.6615.2424.8526.3221.787.3517.0916.5613.369.0710.6913.6312.809.9515.6914.8114.546.109.149.245.783.306.407.758.943.488.84
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85.6275.4679.9477.5776.4580.2480.0377.5877.4876.7277.9877.3775.2678.3683.5578.5181.7780.7080.4579.3082.6576.7881.3581.9880.3681.4577.4880.6676.3678.8579.8676.1679.3575.9074.9377.4176.0481.8076.5880.5381.5676.7877.6179.4177.6974.0173.3672.4075.8570.0764.6965.4868.4067.7269.0966.6471.3371.4768.2669.5072.3373.81
64.7057.3266.1864.7660.7969.5865.1167.2764.2260.9364.1859.9157.4459.9868.0351.7154.8459.3963.4459.3861.9554.0859.0864.0061.8265.1361.6460.9559.2159.4263.6360.9462.2353.7855.8961.5662.0365.4557.0563.4464.6154.7355.2358.3653.1556.0756.9351.4559.4551.5044.5747.0154.8857.2156.9254.5557.9460.2456.1755.4659.1161.53
64.7057.3266.1864.7660.7969.5865.1167.2764.2260.9364.1859.9157.4459.9868.0351.7154.8459.3963.4459.3861.9554.0859.0864.0061.8265.1361.6460.9559.2159.4263.6360.9462.2353.7855.8961.5662.0365.4557.0563.4464.6154.7355.2358.3653.1556.0756.9351.4559.4551.5044.5747.0154.8857.2156.9254.5557.9460.2456.1755.4659.1161.53
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71.9864.5073.4571.9465.7372.7770.6070.5468.0865.4468.6964.2461.4965.6573.6360.8763.5466.3570.3066.4069.2462.3166.3869.9167.8070.2567.1466.4963.9665.0768.9366.8468.7661.4663.6768.0067.8772.3065.9270.2571.1063.8363.4265.4961.6764.0366.1362.1366.9959.3354.1856.0761.7663.7663.3560.9264.5165.6262.4361.5064.5366.37
60.4153.8361.9366.2249.8664.3357.1756.8256.4356.7955.0953.4450.0453.4660.0950.7352.5554.7357.7158.7857.3151.1554.5757.0655.5049.1548.5245.1843.3544.1746.6845.2646.7042.6342.8445.4845.7148.3744.3946.8847.7642.8242.9044.2341.5643.0544.4341.9545.2640.7137.1738.7241.8744.8542.4941.0542.8344.0041.7741.3943.0045.12
0.100.110.100.110.130.180.110.160.110.100.090.100.100.080.090.060.060.080.080.080.080.070.070.090.080.090.080.080.080.070.080.080.070.060.060.070.080.070.050.070.080.060.060.070.060.080.070.060.090.090.080.090.110.110.120.120.120.140.120.130.140.16
0.140.240.180.230.330.390.230.410.300.310.320.390.480.330.280.240.210.310.300.310.260.300.280.380.390.400.460.390.550.430.480.600.430.460.490.520.630.370.400.470.470.430.480.480.430.560.460.460.510.710.660.670.770.790.781.101.121.371.171.060.910.80
3.232.253.012.451.641.963.531.832.091.432.072.372.152.982.072.282.002.283.052.022.291.872.312.462.282.733.402.632.431.995.112.172.532.723.432.622.742.553.392.252.232.573.622.412.502.862.492.972.532.831.782.222.412.282.291.892.281.942.262.202.222.05
27.8639.9629.9236.7955.0045.8825.5049.2143.1063.0243.4737.9441.7730.1543.5539.4945.0639.4229.5044.5139.2748.2439.0136.5139.5232.9126.4834.2137.0445.1317.6341.5135.5833.1126.2434.4132.8835.2326.5440.0440.3735.0724.8837.3635.9931.4236.1630.3235.5431.7650.5140.5337.2939.5539.2347.7039.5146.4539.7840.8340.4643.94
6.325.826.287.106.6212.276.679.566.525.915.215.345.154.425.383.003.144.324.654.704.393.454.085.034.624.494.063.533.623.273.703.443.202.622.543.183.553.382.443.473.742.472.753.302.683.313.192.783.993.802.953.384.685.245.135.105.276.435.305.456.457.49
6.325.826.287.106.6212.276.679.566.525.915.215.345.154.425.383.003.144.324.654.704.393.454.085.034.624.494.063.533.623.273.703.443.202.622.543.183.553.382.443.473.742.472.753.302.683.313.192.783.993.802.953.384.685.245.135.105.276.435.305.456.457.49
6.145.716.196.986.4611.896.449.026.365.665.095.214.964.325.282.943.064.234.604.654.323.424.044.994.534.444.023.503.523.233.663.403.112.582.503.143.473.332.413.433.632.432.723.242.623.253.132.723.863.732.903.324.495.115.024.955.026.265.195.336.137.31
6.325.826.287.106.6212.276.679.566.525.915.215.345.154.425.383.003.144.324.654.704.393.454.085.034.624.494.063.533.623.273.703.443.202.622.543.183.553.382.443.473.742.472.753.302.683.313.192.783.993.802.953.384.685.245.135.105.276.435.305.456.457.49
13.4213.5613.7813.7613.7713.8913.1413.1913.1513.3613.7514.1214.3914.6715.1015.3215.8916.1316.5616.7816.9417.0817.3217.5817.6517.8518.1818.5018.8419.1419.4819.8720.2220.5320.9721.5021.9922.3023.5622.9922.2321.3820.8120.2519.6819.3318.6918.2217.5716.8816.1015.8315.3914.6513.8513.3712.5311.9011.1210.529.748.90
1.213.773.122.151.043.953.051.940.692.591.881.340.682.761.771.150.663.282.591.530.942.932.411.700.963.132.341.511.082.562.271.170.872.952.451.611.063.052.221.440.922.552.021.230.742.601.731.320.842.631.751.301.042.641.841.171.122.571.931.360.992.09
1.023.773.122.141.043.762.861.930.682.491.871.320.682.751.761.150.663.272.581.530.932.922.391.700.953.002.211.401.002.452.231.140.872.892.421.581.063.012.201.430.922.512.011.230.742.221.401.110.752.331.601.241.002.491.741.131.102.561.881.320.982.01