ORTHOFIX MEDICAL INC Financial Ratios for Analysis 2009-2024 | OFIX

Fifteen years of historical annual and quarterly financial ratios and margins for ORTHOFIX MEDICAL INC (OFIX).

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
2.543.062.552.603.072.853.172.332.593.303.774.602.893.733.40
0.160.050.060.060.06-----0.060.050.400.410.51
0.190.060.070.060.06-----0.070.060.720.731.06
65.1373.1875.2674.9478.1378.6778.5578.5678.1875.4173.1177.1277.8679.0174.63
-18.63-2.88-1.79-1.54-4.086.649.415.142.334.26-2.8117.011.5214.2611.71
-18.63-2.88-1.79-1.54-4.086.649.415.142.334.26-2.8117.011.5214.2611.71
-5.694.087.876.892.1110.9914.4410.618.0510.858.3222.417.2119.1415.85
-19.91-3.84-2.91-0.09-5.885.058.394.642.153.10-2.6715.69-0.3111.907.33
-20.28-4.29-8.260.62-6.193.051.430.75-0.71-2.12-7.259.73-4.069.584.49
0.811.000.970.770.930.971.071.100.991.020.970.950.640.770.92
1.171.231.381.201.221.261.141.391.501.651.471.441.181.151.46
5.835.565.915.615.305.836.847.086.636.565.624.243.083.103.82
62.6265.6461.7365.0268.8862.6453.3751.5355.0955.6765.0086.0711911895.44
-25.29-5.86-11.390.71-8.694.122.461.33-0.81-1.25-6.1512.66-5.4110.3010.19
-52.88-9.05-18.021.19-14.076.543.131.73-1.01-1.57-7.8016.42-7.5237.37328
-16.36-4.31-8.050.48-5.742.961.800.94-0.59-0.95-4.429.71-2.315.134.14
-21.31-5.55-10.760.66-8.174.122.461.33-0.81-1.25-5.7611.99-3.276.085.00
16.1116.7116.9918.3717.2218.0516.2314.7815.5616.1016.3418.4315.8216.9714.02
-1.25-0.580.943.831.692.642.113.202.322.773.590.523.552.362.94
-2.94-1.81-0.062.580.611.761.222.211.091.773.59-0.962.140.891.66

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
2.392.482.652.542.582.822.983.063.183.152.892.553.253.172.662.602.733.833.643.072.693.423.522.853.193.714.043.172.883.052.972.332.222.312.952.593.123.623.393.303.323.524.503.774.274.145.244.602.662.712.422.892.622.602.453.733.943.753.603.403.173.393.60
0.200.190.190.160.130.100.090.050.060.050.060.060.050.050.050.060.060.260.060.060.060.060.06------------------0.060.060.060.060.050.050.050.050.100.350.400.390.400.430.410.430.450.470.510.530.550.57
0.260.250.240.190.150.110.100.060.060.060.060.070.060.060.060.060.060.360.060.060.070.060.06------------------0.070.070.070.060.060.050.060.050.110.610.720.690.730.780.730.770.830.891.061.151.231.32
68.6967.8467.4668.1765.0963.9362.9772.9673.1873.2473.3973.4174.8277.4075.4675.2876.3568.3277.6778.4478.0777.7278.2778.8478.5079.5377.7979.8477.4778.7378.0278.5179.8278.3777.5779.5376.4178.3078.4678.6074.9874.8373.2367.7772.7077.5974.7383.4877.3975.7180.3881.1279.6780.1376.0377.2876.7776.1476.4574.4876.3273.1774.56
-9.61-12.54-15.55-9.14-13.29-19.59-34.08-9.04-5.085.62-2.89-7.48-0.283.52-2.763.153.76-28.716.543.37-16.640.39-4.0810.243.505.307.2415.288.587.345.766.839.41-2.597.177.054.094.88-8.013.946.446.64-0.03-9.52-15.367.095.9321.8517.4412.6116.4512.8520.1216.62-18.7312.1313.6714.8523.0115.2613.149.928.14
-9.61-12.54-15.55-9.14-13.29-19.59-34.08-9.04-5.085.62-2.89-7.48-0.283.52-2.763.153.76-28.716.543.37-16.640.39-4.0810.243.505.307.2415.288.587.345.766.839.41-2.597.177.054.094.88-8.013.946.446.64-0.03-9.52-15.367.095.9321.8517.4412.6116.4512.8520.1216.62-18.7312.1313.6714.8523.0115.2613.149.928.14
---------------------------------------------------------------
-13.55-16.29-18.65-11.00-15.43-20.28-34.43-5.72-8.222.58-4.12-7.68-2.253.85-5.704.744.74-23.025.373.48-23.650.58-4.689.57-1.191.819.7514.229.027.951.573.429.25-2.568.996.832.255.80-7.551.854.746.51-0.77-9.47-17.565.3910.0620.6616.0612.0713.8310.3017.8414.45-21.2310.5910.2911.7418.8111.147.706.743.33
-13.93-16.84-19.10-11.06-15.68-21.08-34.78-5.78-9.402.11-4.19-26.24-1.931.99-5.51-7.974.19-25.1924.489.62-35.68-0.470.827.33-1.080.834.811.343.283.54-2.58-2.9810.05-7.153.893.22-1.363.54-9.33-5.780.45-0.68-2.51-9.83-20.52-3.083.3718.314.656.408.6410.0710.558.54-25.735.546.137.1612.606.574.584.322.23
0.230.230.210.220.200.210.190.270.250.260.230.260.220.240.210.220.210.120.210.250.240.240.230.260.250.250.270.290.270.300.290.290.260.290.270.260.250.260.230.260.250.230.250.260.210.210.220.240.190.210.150.180.180.180.220.240.230.240.240.240.230.240.23
0.300.300.280.290.290.300.290.330.300.330.320.400.330.340.310.340.320.280.280.320.310.330.300.330.300.280.310.290.300.310.340.370.310.370.370.370.410.370.340.360.390.360.380.470.250.230.310.270.300.350.240.290.250.240.360.390.380.410.370.390.320.390.36
1.571.581.501.561.611.671.551.481.511.531.471.591.631.651.521.621.521.091.351.401.421.441.371.561.501.501.411.841.721.781.731.881.861.841.791.751.801.731.531.631.621.591.361.501.221.081.061.080.690.760.700.870.740.760.930.961.051.101.031.011.061.151.18
57.1556.8059.9457.5255.8254.0558.2161.0159.7158.7561.2956.5355.2154.4659.3955.4259.2482.9566.8064.3063.1962.6165.6757.7959.9160.0363.9048.8452.3250.5752.0747.9748.3348.8150.4151.4849.9852.0258.6955.0755.7056.4366.0960.1973.7783.7284.9283.3913011912910312111996.4693.3386.0181.5687.1989.1684.8478.3376.37
-5.21-6.13-6.32-3.70-4.69-6.16-9.18-2.10-3.210.73-1.33-9.74-0.600.67-1.64-2.631.31-5.347.223.57-13.22-0.160.262.64-0.370.291.670.511.171.71-0.86-1.943.80-2.461.660.73-0.271.37-2.66-1.700.011.07-0.65-3.26-5.170.581.594.112.802.792.543.954.173.53-12.922.652.923.716.633.942.722.731.41
-12.09-13.78-13.72-7.74-9.63-12.23-17.96-3.24-4.991.13-2.08-15.41-0.961.09-2.72-4.422.23-9.0112.005.78-22.30-0.250.424.20-0.600.472.120.651.512.21-1.13-2.534.91-3.222.120.91-0.331.71-3.35-2.130.011.34-0.82-4.13-6.500.762.025.333.563.607.075.4914.0513.84-65.799.6011.8217.8641.62127-85.66-32.11-9.67
-3.16-3.79-3.98-2.40-3.19-4.37-6.64-1.54-2.380.54-0.97-6.88-0.430.48-1.13-1.780.90-3.095.202.36-8.52-0.110.191.90-0.270.211.280.370.871.29-0.65-1.382.76-1.741.260.53-0.201.05-2.00-1.300.010.75-0.48-2.34-3.840.441.253.151.871.781.221.681.971.63-5.671.321.431.732.971.601.051.040.52
-4.17-4.94-5.12-3.12-4.10-5.55-8.37-1.98-3.040.69-1.26-9.20-0.560.63-1.55-2.471.23-3.946.793.36-12.38-0.150.252.64-0.370.291.670.511.171.71-0.86-1.943.80-2.461.660.73-0.271.37-2.66-1.700.011.00-0.61-3.05-4.870.551.513.892.662.501.642.392.552.11-7.431.561.672.053.551.931.281.240.61
13.7614.3515.2516.1116.7517.4218.2116.7116.6717.1016.9116.9918.4818.4218.2218.3718.4217.9618.6517.2216.2318.4718.2918.0517.4417.3017.0216.2315.6715.2814.8114.7815.1514.2615.1515.5615.7415.8015.4916.1016.4016.4716.3716.3417.6318.6719.1918.4319.5918.7018.0715.8216.8916.3315.3716.9716.5215.6515.0314.0213.2712.7111.91
0.05-0.25-0.49-1.25-1.05-1.08-0.95-0.58-0.69-0.63-0.390.940.340.010.133.832.681.570.651.691.060.44-0.052.641.550.69-0.192.110.49-0.25-0.613.202.091.180.252.321.410.470.142.771.920.96-0.563.592.861.770.760.523.503.012.563.452.101.261.052.361.671.090.222.941.640.990.65
-0.63-0.78-0.78-2.94-2.31-1.72-1.28-1.81-1.55-1.28-0.67-0.06-0.31-0.48-0.122.582.021.020.330.610.27-0.11-0.311.760.980.28-0.441.22-0.12-0.72-0.822.211.310.61-0.091.090.540.010.121.771.300.62-0.773.591.541.070.46-0.952.552.332.222.081.180.650.730.892.061.78-0.021.660.710.460.44