Open Text Financial Ratios for Analysis 2009-2024 | OTEX

Fifteen years of historical annual and quarterly financial ratios and margins for Open Text (OTEX).

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
0.810.711.561.621.251.541.330.892.491.711.271.361.661.241.280.13
0.600.680.510.470.470.400.410.400.520.460.430.280.320.210.24-
1.522.211.050.881.050.670.710.731.080.850.800.420.510.290.340.01
72.6470.6469.6069.4567.7267.5666.2266.7268.5367.6968.5664.3665.3867.0067.49-
15.3811.5118.4521.8816.1919.7718.0015.4020.2018.8318.5014.5012.3714.5811.98-
15.3811.5118.4521.8816.1919.7718.0015.4020.2018.8318.5014.5012.3714.5811.98-
29.8226.5433.0337.3934.0836.3334.5430.9934.2932.6130.8529.2326.6828.0324.61-
12.644.9414.7719.2211.1015.3613.7210.8915.9414.3717.0213.0711.3713.179.99-
8.063.3511.379.177.539.958.6044.7715.5912.6513.4310.8910.3711.929.78-
0.410.260.340.350.300.360.360.310.350.430.420.510.490.530.53-
----------------
8.395.977.857.195.895.715.184.795.746.075.127.106.655.966.90-
43.4861.0946.4850.7661.9263.8970.4876.2363.5660.1771.3551.4354.8761.2852.88-
11.083.749.857.585.857.356.5229.0414.3712.8113.2811.1110.6111.8510.0721.62
-8.06-1.73-17.37-17.47-10.29-27.68-20.90-75.66-28.66-23.18-21.31-54.35-72.19-89.26-78.54-36.60
3.280.883.903.242.293.603.1213.715.525.385.595.595.126.385.2011.77
4.411.204.824.053.094.403.8317.336.916.947.528.027.229.327.6221.62
15.6814.8514.9615.1014.7414.4013.8913.388.157.486.745.665.054.53--
3.552.883.613.203.513.252.651.722.152.131.731.351.130.960.790.83
2.972.423.272.973.243.012.251.411.871.811.551.251.020.800.700.77

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
0.811.401.380.690.710.702.311.421.561.571.611.881.621.541.391.371.251.140.621.621.541.381.331.511.330.980.860.740.890.813.291.832.492.062.011.941.711.661.601.431.271.101.531.391.361.281.291.101.661.591.540.731.241.071.441.401.281.411.381.221.361.22
0.600.670.680.680.680.680.560.520.510.510.500.460.470.470.470.470.470.470.390.400.400.400.410.410.410.390.400.400.400.410.410.430.520.450.460.470.460.470.410.420.430.450.260.270.280.290.300.310.320.320.340.210.210.220.230.240.240.250.260.260.300.33
1.522.022.112.172.212.201.261.101.051.041.020.850.880.890.901.031.051.050.880.670.670.680.690.700.710.720.760.780.730.750.690.751.080.830.850.880.850.900.730.770.800.850.390.410.420.440.460.490.510.510.540.320.290.300.310.320.340.350.350.360.440.49
72.5172.9673.5671.4571.3770.3070.8469.6870.2368.9270.2168.9969.5968.6370.4869.0468.4665.3669.8867.2168.3266.6868.9966.0867.5264.6467.2965.1566.9264.5169.0466.5768.4267.9069.9767.7768.7865.9668.2867.6269.2767.3570.3067.2066.0163.8564.7962.6665.8063.6167.1264.7966.7066.5468.3866.2468.1766.6868.6466.1768.1066.82
14.1915.6916.5414.948.145.1420.5817.1815.2514.9222.0021.9519.2118.3027.4022.6811.0311.6723.9419.0221.1418.8923.6614.8719.8014.9822.7313.6816.0411.0019.7415.0619.3220.1023.6517.6017.0911.7523.6322.7021.8015.1020.3416.0414.2512.1019.0912.2912.999.3417.189.4210.6510.9320.9616.282.9015.3018.7111.0617.4711.85
14.1915.6916.5414.948.145.1420.5817.1815.2514.9222.0021.9519.2118.3027.4022.6811.0311.6723.9419.0221.1418.8923.6614.8719.8014.9822.7313.6816.0411.0019.7415.0619.3220.1023.6517.6017.0911.7523.6322.7021.8015.1020.3416.0414.2512.1019.0912.2912.999.3417.189.4210.6510.9320.9616.282.9015.3018.7111.0617.4711.85
--------------------------------------------------------------
35.817.212.986.40-3.353.6334.46-9.7710.7713.1214.5521.0820.0514.8123.6218.187.074.2820.0013.9917.1714.6519.149.9313.9311.5118.8010.0012.855.8913.9810.8814.8816.9019.7312.0913.475.8519.8418.0819.8513.2719.3015.2811.8910.9618.2510.939.397.0916.8811.6911.1011.3516.4914.0415.088.5712.722.4514.0215.72
18.226.792.455.68-3.274.6228.80-13.7211.328.4610.0715.8520.2910.98-7.6512.863.193.1913.9310.689.6310.1214.205.448.188.5711.595.716.953.648.3018617.8615.6918.849.5014.255.9515.8814.2417.8410.3614.729.4412.147.6417.355.962.6111.8914.7612.1510.0213.6313.879.9721.466.168.560.829.5811.47
0.100.090.090.090.090.070.080.080.090.090.090.090.090.090.090.080.080.080.080.090.090.090.100.090.100.090.090.080.090.080.080.080.090.100.110.100.110.100.120.120.130.110.140.120.130.130.140.130.130.120.140.140.150.140.150.130.140.120.140.120.130.13
------------------------------------------------------------41.5933.01
1.982.172.061.911.991.721.872.202.031.961.962.171.901.981.821.901.571.571.401.611.491.391.411.491.391.231.371.321.391.561.621.551.521.561.581.711.581.641.701.801.561.581.941.841.811.701.871.771.681.511.932.001.651.751.982.081.821.741.731.561.761.72
45.4141.5643.6147.1545.3252.3648.2540.8844.3745.9745.8741.4947.4345.3549.4747.4457.4457.3764.2355.8060.4864.7463.8660.4164.8673.2165.6767.9564.9057.7155.5258.1259.0957.6256.8652.6056.9254.7752.8350.0157.8657.0646.4048.9549.7952.9148.0250.9253.4559.4646.6644.9454.7051.3945.5343.2449.5551.8352.1057.7151.2552.36
5.912.380.942.02-1.211.406.27-3.042.541.842.143.144.422.27-1.632.540.660.652.691.901.851.902.760.981.671.592.341.031.310.621.2931.714.363.624.732.283.761.494.233.815.372.923.802.253.151.994.811.610.682.964.213.272.753.573.892.355.811.522.470.212.843.56
-4.30-1.63-0.59-0.950.56-0.65-12.854.97-4.47-3.13-3.65-8.46-10.19-4.703.12-4.87-1.16-1.08-4.36-8.13-6.98-6.24-8.49-3.45-5.34-4.57-5.99-2.33-3.41-1.4837.54-166.72-8.70-8.45-9.54-4.20-6.80-2.39-9.10-6.98-8.61-3.50-28.89-11.90-15.43-7.56-16.49-4.12-4.60-16.45-16.10-9.17-20.71-17.71-51.71-46.65-45.35-7.62-9.85-0.65-9.52-7.33
1.750.600.230.49-0.280.332.30-1.161.000.740.871.391.890.96-0.671.020.260.261.130.930.910.931.350.480.800.751.100.480.620.290.6515.031.681.562.030.971.580.611.911.672.261.162.001.151.590.972.370.760.331.411.991.721.481.862.081.253.010.761.240.101.291.50
2.350.790.300.64-0.390.452.78-1.451.240.901.061.692.361.20-0.861.350.350.341.631.141.111.131.630.570.980.971.410.620.780.370.7718.202.101.982.561.222.040.792.492.203.041.612.821.652.281.423.381.110.462.002.802.592.162.783.001.794.401.141.830.151.982.40
15.6815.1514.8314.8014.8515.2415.2514.2714.9615.0115.2415.4415.1014.7714.6914.9514.7414.7214.7814.4614.4014.2514.1013.8913.8913.8313.6613.4413.3813.2813.2711.858.157.887.657.467.487.287.216.946.746.445.945.755.665.535.425.165.055.06--4.53---------
3.552.871.460.172.882.451.210.493.612.691.490.693.202.121.900.863.512.481.270.513.252.391.340.642.651.880.870.251.721.270.730.302.151.670.890.382.131.591.010.561.731.160.590.341.351.070.580.261.130.790.380.190.950.730.380.210.780.500.160.020.820.00
2.972.431.160.042.422.080.960.353.272.491.350.602.971.981.810.803.242.281.130.443.012.211.210.552.251.570.670.141.411.080.600.221.871.470.770.311.811.340.810.441.551.040.510.301.251.010.540.241.020.700.310.160.800.620.320.180.690.430.11-0.010.76-