Omega Flex Financial Ratios for Analysis 2009-2024 | OFLX

Fifteen years of historical annual and quarterly financial ratios and margins for Omega Flex (OFLX).

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
4.433.383.152.622.264.003.512.622.412.412.411.953.112.551.43
0.000.01-0.01-----------
0.000.01-0.01-------0.02--0.54
61.3362.4062.7162.9063.3061.0260.6761.5561.2658.7054.3251.4451.1551.8451.28
23.1524.7226.9725.1919.6924.3423.7923.2825.2024.2319.5116.7912.3814.4014.15
23.1524.7226.9725.1919.6924.3423.7923.2825.2024.2319.5116.7912.3814.4014.15
24.1325.5927.7526.0220.3324.8424.2823.7725.6924.8020.2217.7113.5815.7515.56
24.7124.6927.0125.1120.5224.6823.8722.8825.2624.1719.4316.9712.4414.3314.84
18.6318.8220.1518.8215.5218.5915.3915.2916.9315.8013.0110.748.579.749.93
1.111.281.461.481.831.251.321.331.411.551.921.961.721.731.49
2.762.663.113.413.695.295.004.914.364.785.244.364.103.753.48
7.267.176.275.276.536.586.516.275.626.215.955.285.996.416.78
50.3050.9158.1969.2755.8755.4456.0658.2364.9858.7861.3769.1860.9756.9553.87
26.2833.2343.3743.0546.3730.5728.2631.5838.7840.0539.3734.5420.2224.9031.71
27.5134.9646.0546.6051.1732.2930.1634.2042.4244.6945.6542.0523.9030.8642.59
20.6724.2129.5327.9028.5723.3520.5520.6124.0824.6725.1820.8714.7216.8114.82
26.2133.0643.3742.5446.3730.5728.2631.5838.7840.0539.3734.5420.2224.9031.71
7.817.056.004.593.726.575.564.564.083.372.541.962.271.811.37
2.321.512.491.911.592.091.791.461.311.471.230.720.140.470.83
2.161.422.401.861.471.901.481.441.251.451.180.710.130.460.78

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
5.395.695.374.434.974.644.343.383.633.664.033.153.083.213.172.622.722.602.832.263.904.526.214.004.154.555.393.513.543.704.092.624.524.314.682.414.004.124.132.413.333.803.952.412.652.812.571.953.353.563.303.113.113.423.292.551.801.681.541.435.565.738.02
-------0.01-------0.01-----------------------------------------------
-------0.01-------0.01-------------------------------0.02--------0.250.360.510.54---
61.7061.8359.8860.3661.6361.1662.1260.4962.4665.4961.0862.7163.1661.6263.3764.0463.7460.7862.4164.2463.1662.4363.2663.3960.8460.3959.1962.1961.0259.4159.8962.1161.7261.6160.5661.7862.2561.6559.0860.1060.0657.6455.9355.3254.9354.1052.5052.6351.7749.7151.2451.1650.8150.9251.7851.6649.1251.6954.9055.6655.1449.8642.88
21.9821.4620.0621.7224.9521.3724.3624.8827.3223.1323.5428.2026.2426.3426.9530.1823.5522.3923.1322.9215.6019.1920.8727.1324.5523.6821.6627.9223.7118.6324.2324.7124.4223.8819.4926.9425.9724.8822.4428.0525.5721.6119.6821.0520.4620.6115.037.9315.215.1641.2314.599.9613.4610.9921.3210.1910.3314.7119.9619.029.416.16
21.9821.4620.0621.7224.9521.3724.3624.8827.3223.1323.5428.2026.2426.3426.9530.1823.5522.3923.1322.9215.6019.1920.8727.1324.5523.6821.6627.9223.7118.6324.2324.7124.4223.8819.4926.9425.9724.8822.4428.0525.5721.6119.6821.0520.4620.6115.037.9315.215.1641.2314.599.9613.4610.9921.3210.1910.3314.7119.9619.029.416.16
---------------------------------------------------------------
24.4223.8122.1123.6826.6223.0025.4025.8026.7622.7323.4828.2626.2226.3827.0430.3823.6421.8422.8823.9216.2219.9421.8327.7124.8823.7522.0028.0023.8418.8124.1724.1024.0823.4119.3727.0126.0125.1822.3027.8825.4721.7219.6721.0220.7920.3914.527.9815.545.0941.6614.509.8813.6711.2521.2210.4110.0814.5820.7519.7810.526.25
18.5618.2616.7317.3720.2817.6419.1520.0620.6817.1717.4221.4219.3819.3520.3122.7017.7816.3717.1918.6812.0214.8616.3620.8719.0317.7916.3916.3016.1112.7516.1616.1216.2415.5712.8118.1617.2316.9614.9917.4016.9314.5713.2314.6913.5513.429.664.2010.163.3526.9510.946.988.707.1215.497.246.189.2013.5914.446.333.88
0.240.250.250.280.290.270.320.320.340.360.370.400.380.410.440.440.430.360.450.490.300.300.310.330.330.360.340.360.350.350.400.360.370.400.370.390.410.400.430.450.490.480.450.550.510.560.530.560.430.390.400.500.470.490.440.470.400.370.400.430.290.270.29
0.590.590.650.720.650.580.640.690.540.510.680.850.911.040.950.990.860.770.850.960.991.071.111.331.401.291.301.301.171.141.261.321.351.271.051.201.101.011.101.351.451.161.041.451.271.251.031.221.261.081.031.181.080.990.811.030.940.780.870.900.770.690.71
1.761.841.771.831.701.811.721.761.661.821.671.711.431.711.571.581.661.551.631.741.671.611.581.751.561.731.651.761.561.571.531.711.571.641.571.571.611.571.631.821.581.701.481.691.571.581.611.521.511.561.601.731.561.721.751.751.671.711.691.931.721.641.67
51.1249.0350.9449.1252.9249.6952.2951.1254.1949.3353.9552.6162.7452.5157.5057.1454.2258.2255.3051.6053.9955.9557.1451.2857.8452.0754.5951.2457.5957.1958.7852.6657.3754.7657.2057.2355.8357.2055.0649.5656.9953.0360.9953.3957.3456.9656.0659.2759.6457.8156.2052.1657.7752.2451.5151.3453.9952.7753.2746.5552.2755.0454.05
5.605.545.276.167.226.067.788.699.618.418.7012.5511.0011.6912.6215.5311.559.0011.2114.844.855.776.259.138.308.026.928.087.545.988.309.097.718.006.1511.639.489.088.6012.9111.719.497.9712.5710.2710.707.453.635.871.7214.587.464.505.704.2410.885.144.267.2412.425.082.081.30
5.855.795.516.457.576.368.179.1410.148.899.2113.3311.7412.5213.5816.8112.629.8812.3316.385.116.086.589.648.798.527.358.638.076.428.939.848.298.656.6912.7210.299.939.5014.4013.0310.719.1314.5811.8312.568.934.426.681.9816.788.815.396.905.1913.496.565.539.5216.685.702.351.47
4.474.494.234.845.834.826.096.337.036.146.488.557.438.028.9710.067.625.967.739.153.674.565.216.976.406.365.665.885.634.576.575.936.086.324.867.227.176.936.587.958.317.086.078.046.967.585.172.194.331.3010.735.433.274.233.127.352.852.293.615.814.201.721.10
5.605.545.276.167.226.067.788.649.618.418.7012.5511.0011.6912.6215.3511.559.0011.2114.844.855.776.259.138.308.026.928.087.545.988.309.097.718.006.1511.639.489.088.6012.9111.719.497.9712.5710.2710.707.453.635.871.7214.587.464.505.704.2410.885.144.267.2412.425.082.081.30
8.088.007.907.817.657.447.317.056.746.436.236.005.545.264.944.594.143.933.863.726.936.907.026.576.225.956.015.565.325.114.994.565.034.664.334.084.464.053.673.373.443.062.762.542.642.362.111.962.882.712.672.272.102.011.901.811.621.521.461.373.203.052.94
1.100.700.272.321.140.940.151.510.450.09-0.382.491.301.090.221.911.120.920.071.590.960.50-0.092.091.160.60-0.011.790.940.43-0.021.460.730.430.201.310.700.31-0.081.470.800.28-0.131.230.680.230.020.720.570.460.500.14-0.08-0.04-0.110.470.250.080.010.830.440.19-0.05
0.960.600.222.160.990.860.101.420.370.04-0.392.401.231.040.181.861.090.900.061.470.860.43-0.121.901.060.53-0.051.480.640.15-0.281.440.710.420.201.250.650.27-0.101.450.790.27-0.141.180.640.190.010.710.560.450.490.13-0.08-0.04-0.110.460.240.080.010.780.400.16-0.08