NVR Financial Ratios for Analysis 2009-2024 | NVR

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

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
6.105.645.955.914.623.963.623.023.173.143.514.843.773.955.16
0.170.210.340.330.200.250.270.310.320.350.320.29--0.07
0.210.260.510.490.260.330.370.460.480.530.470.40-0.050.08
25.9227.2124.4421.2220.8320.5420.8619.1420.1619.7118.6919.1218.5619.8420.34
20.5521.7818.3614.8514.2313.7513.8111.7412.1510.7310.478.877.8810.8011.29
20.7321.8918.4614.9614.3913.9113.9411.8712.2710.8410.599.028.0910.9711.40
20.9022.0618.6815.2614.6714.1914.3012.2512.6911.2310.919.278.3411.2111.75
20.2621.4117.7714.3013.8813.4013.4311.3611.6910.209.948.647.8110.6010.88
16.7216.3913.8211.9611.8911.138.527.307.426.346.335.674.876.777.00
1.441.861.531.301.942.262.112.202.051.891.691.221.491.351.15
3.624.283.473.474.344.544.004.314.094.104.643.804.065.655.22
328505482412404384315307449444442338392438343
1.110.720.760.890.900.951.161.190.810.820.831.080.930.831.06
36.4749.2141.1929.0437.5244.0833.4832.6030.9025.0521.1312.209.4111.8410.94
36.8849.9041.8729.5138.3345.3034.5333.8732.2826.3222.1012.709.7612.1811.25
24.1130.4821.2015.6023.0625.1817.9816.0815.2511.9810.726.937.279.128.02
30.1639.0227.3719.5129.8933.1324.4022.3720.8716.3414.328.689.4111.8410.16
1,3661,089871840644505435353318278284301276307295
43653332223621817713595.7653.2841.6155.5851.420.268.9839.30
43052831823221317213090.5549.1434.7051.7949.07-1.687.9638.96

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
6.215.846.526.106.457.205.755.644.705.044.975.956.185.895.735.916.085.804.824.624.734.294.043.963.743.673.523.623.603.513.363.023.033.162.843.173.043.203.413.143.123.063.893.513.654.065.394.844.733.873.803.773.363.684.733.953.764.105.125.164.384.344.67
0.180.180.170.170.180.180.190.210.230.230.360.340.330.330.330.330.340.310.200.200.200.220.240.250.260.270.290.270.270.280.300.310.310.310.320.320.330.320.340.350.340.350.310.320.320.310.280.290.30---------0.070.070.070.080.10
0.210.220.210.210.220.220.240.260.300.310.560.510.500.500.500.490.520.460.250.260.250.280.310.330.360.370.410.370.360.390.420.460.460.440.470.480.480.470.510.530.520.550.450.470.470.450.390.400.43---0.000.060.040.050.060.040.100.080.130.150.16
24.9525.4526.0225.4725.9626.0926.1826.4924.6527.6130.5726.2024.1124.6122.7322.2722.8120.7318.1921.2420.5620.8220.6420.2520.5020.7320.7620.8121.5821.1319.6619.3619.2018.8619.0820.3620.7320.6518.3819.3820.2119.9019.2519.3818.8917.3918.9819.8519.3218.8118.1016.8019.1019.7318.7719.2420.0220.0120.1920.5921.7920.9817.18
19.9720.6920.4620.1821.2620.4420.2521.4419.6522.0524.3519.7318.6718.8615.9417.0016.7413.5410.6115.1714.3113.9413.3314.2213.8113.8712.9014.7315.0213.9110.8113.4012.4010.779.4813.6813.6312.437.1311.8312.4310.396.8412.6911.558.477.8810.769.848.345.206.859.819.184.9210.749.7112.499.3511.6614.3211.606.04
20.1420.8720.6420.3721.4620.6020.3921.5819.7822.1524.4419.8218.7718.9616.0417.1016.8513.6510.7615.3314.4814.1013.4914.3914.0014.0313.0414.8815.1414.0110.9413.5412.5310.889.6213.8213.7712.547.2411.9412.5510.476.9912.8111.668.588.0010.869.958.455.487.1110.049.345.1410.949.9412.649.4711.7814.4311.706.14
---------------------------------------------------------------
19.7120.4220.1719.9020.9920.1519.9221.1919.3921.5923.8019.1418.1218.2815.2816.4416.1512.9510.2014.8413.9813.5912.9613.9113.4813.5212.4914.3914.6613.5310.3513.0512.0310.439.0313.3213.1911.966.5111.3911.959.876.1312.2211.077.947.1510.189.668.315.166.819.749.104.8310.679.6012.268.9311.3313.9411.165.48
15.7115.3516.9016.8616.8617.2815.8116.7714.8116.3017.9215.0013.8614.0712.1913.0112.8910.1311.1012.8711.7111.6811.1711.6410.5711.3710.866.869.729.578.068.617.636.605.718.628.317.514.087.497.496.192.947.876.985.024.556.426.096.083.354.376.145.522.957.246.507.395.448.138.866.623.22
0.420.410.360.370.400.370.360.480.520.500.420.380.410.390.350.410.360.340.410.520.500.500.500.630.600.590.540.610.550.530.470.660.580.510.450.620.550.480.400.560.500.460.320.500.470.400.290.360.350.390.320.420.390.320.230.360.300.410.240.310.340.280.26
0.910.870.820.930.950.860.861.110.960.810.750.850.980.870.861.070.870.800.851.161.011.021.051.271.040.990.901.150.950.890.831.290.940.900.731.230.960.910.821.230.950.930.781.361.050.890.741.121.000.890.771.160.981.040.851.520.961.830.941.411.331.071.25
76.8573.6164.2783.8875.8387.3993.4613097.8591.6710112010693.2792.5412892.7377.9058.4210965.2862.2055.3310770.2759.2268.3690.7081.5769.8564.2592.5611079.4982.7313514277.7995.5513310572.5280.6913090.5168.1352.9910087.3080.0999.6210997.1788.4169.7311763.1164.2572.9593.2890.3067.7860.38
1.171.221.401.071.191.030.960.690.920.980.890.750.850.970.970.700.971.161.540.831.381.451.630.841.281.521.320.991.101.291.400.970.811.131.090.660.631.160.940.680.861.241.120.690.991.321.700.901.031.120.900.820.931.021.290.771.431.401.230.961.001.331.49
10.059.709.089.4010.389.738.9612.9713.3414.4815.6311.1411.0110.568.179.838.796.287.2710.949.449.929.9212.8411.6412.6411.327.769.829.637.3111.579.046.755.2010.819.397.333.358.857.836.201.807.756.503.842.264.103.843.081.422.363.232.330.833.372.613.931.723.454.312.681.22
10.179.819.189.5010.509.849.0713.1513.5514.7215.9211.3311.1910.738.309.998.946.407.4211.179.6410.1510.1813.1911.9913.0411.718.0110.1313.137.5812.029.417.026.4411.309.817.653.519.298.226.531.888.116.814.012.344.263.983.181.472.443.352.400.863.472.684.031.763.554.452.761.26
6.626.266.036.216.806.455.678.037.638.197.445.735.745.494.275.284.663.474.526.725.825.835.607.336.346.755.834.175.325.073.755.714.413.402.575.344.533.601.644.233.742.860.943.933.292.001.312.332.142.351.091.822.411.770.672.601.953.021.302.533.041.850.84
8.287.957.507.778.527.977.2310.2810.2811.0910.057.407.327.055.456.605.784.315.838.717.547.747.559.658.599.218.045.667.216.935.137.946.194.693.537.306.334.982.215.775.154.011.245.264.432.641.632.922.683.081.422.363.232.330.833.372.613.931.603.214.002.461.10
1,3941,3381,3711,3661,3001,2741,1861,089960911822871859850837840785708658644641582529505468443405435442410377353343348323318312313287278276261295284280281311301283296280276268296310307300306304295282267258
22411443.2443629099.2891.5453330312884.6132225613483.4223614796.0017.5121812876.4457.6117712140.9118.4913578.7342.4126.4295.7624.833.02-9.6753.283.63-9.48-0.3841.61-9.61-3.80-3.4255.5818.78-18.06-15.2551.4234.7713.8717.610.26-0.84-4.25-1.508.98-14.24-10.35-18.4739.3018.95-3.670.21
21811041.2543028596.5790.8052830012583.5631825313282.7323214493.9916.6821312474.0156.4017211838.7817.8013075.2140.1925.2190.5521.000.30-10.9449.140.60-11.42-1.5034.70-15.75-8.35-4.5651.7915.86-19.62-15.9049.0732.8212.7717.08-1.68-2.36-5.46-1.647.96-14.87-10.77-18.5938.9618.82-3.670.21