Oportun Financial Financial Ratios for Analysis 2017-2024 | OPRT

Fifteen years of historical annual and quarterly financial ratios and margins for Oportun Financial (OPRT).

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
2023202220212020201920182017
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0.870.830.770.750.760.79-
6.564.943.393.033.243.86-
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-28.91-8.7610.84-11.0615.5239.150.91
-20.51-9.058.19-8.580.783.82-4.51
0.260.240.200.260.250.25-
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-44.50-14.207.85-9.6612.60139-
-62.12-19.0612.86-10.2712.6035.61-
-5.27-2.151.61-2.242.807.09-
-5.89-2.391.79-2.402.977.32-
11.7316.4218.8716.8618.10118-
10.657.555.395.5920.2937.2557.49
9.806.064.524.8017.8532.4252.52

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302017-12-31
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0.890.880.870.870.860.850.860.830.830.790.760.770.770.770.750.750.750.760.760.760.77-----
8.007.286.716.565.955.745.934.944.743.773.183.393.303.333.003.032.973.143.123.243.30-----
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-20.32-25.06-15.55-27.20-16.89-7.76-64.18-3.50-50.30-6.0728.6911.4318.947.773.2611.51-6.36-36.76-12.2520.7310.3814.4316.09-26.56-
-15.43-15.82-13.49-19.86-9.55-6.62-46.30-3.72-47.37-4.3922.717.7515.475.752.486.69-4.90-26.84-9.0418.94-19.761.181.36-2.34-
0.060.060.060.060.060.060.060.060.060.060.070.060.060.060.060.060.060.060.070.070.07-----
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-9.15-8.76-6.92-10.34-4.79-3.25-22.38-1.54-19.27-1.417.032.354.491.500.641.82-1.33-7.54-2.754.742.17-----
-12.72-12.19-9.59-14.44-6.73-4.58-32.07-2.07-25.81-2.2511.073.844.491.500.641.94-1.33-7.54-2.754.742.17-----
-0.92-0.95-0.81-1.23-0.62-0.43-2.92-0.23-2.99-0.271.530.480.980.330.150.42-0.32-1.73-0.631.050.48-----
-1.02-1.06-0.90-1.37-0.69-0.48-3.23-0.26-3.36-0.301.680.531.040.350.160.45-0.34-1.82-0.671.120.51-----
9.119.9110.7311.7312.8913.4713.4616.4216.5519.7019.8118.8718.0217.2816.8716.8616.4216.6217.8118.1017.08-----
7.564.862.2110.657.484.892.267.554.832.791.165.393.401.790.615.595.083.451.9320.2938.9533.3914.240.0025.170.00
7.234.652.139.806.824.381.926.063.712.070.844.522.791.390.424.804.342.931.6717.8534.8729.8412.81-22.72-