P.A.M Transportation Services Financial Ratios for Analysis 2009-2024 | PAMT

Fifteen years of historical annual and quarterly financial ratios and margins for P.A.M Transportation Services (PAMT).

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
1.831.981.790.950.851.010.921.231.091.120.991.171.571.892.27
0.390.410.440.600.570.530.440.570.490.340.380.390.240.100.16
0.830.881.031.911.811.591.351.781.370.950.950.880.450.270.26
61.0761.4560.5465.9067.2562.2260.1563.4367.8277.9078.8485.8156.8357.8360.85
3.7413.0714.176.972.447.802.904.608.695.602.860.76-1.49-0.06-5.02
3.7413.0714.176.972.447.802.904.608.695.602.860.76-1.49-0.06-5.02
11.7119.7021.9518.5113.1617.0612.5513.6116.3914.3812.5610.828.028.087.91
3.5212.5714.504.811.975.883.344.118.385.412.400.94-1.56-0.48-6.09
2.279.5810.823.661.544.508.882.565.143.281.470.57-0.80-0.20-3.72
1.071.261.200.841.031.141.121.141.171.271.221.201.291.261.12
13614219212312713810583.3171.0069.5556.8930.5193.54168152
8.846.465.475.817.787.726.897.007.196.336.467.067.126.136.09
41.2856.5366.7062.7746.8947.2653.0052.1750.7857.7056.5251.7151.2859.5459.93
5.8630.2135.4111.895.9017.2130.4811.7921.1113.495.101.78-2.08-0.44-7.37
5.8630.2135.4111.895.9017.2130.4811.7921.1113.495.101.78-2.08-0.44-7.37
2.4212.1013.033.081.595.159.922.925.994.161.800.69-1.02-0.25-4.16
3.5517.9319.684.712.568.0917.175.0810.688.863.171.09-1.57-0.40-6.22
14.2713.549.676.555.835.855.183.683.573.373.633.513.953.933.91
5.167.524.452.933.583.341.981.792.101.721.240.970.960.400.85
4.655.455.001.590.821.350.07-0.23-1.052.04-0.03-1.24-0.700.070.78

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.052.241.831.982.301.971.981.941.792.131.791.561.321.050.950.800.700.830.850.941.031.081.010.960.940.890.920.961.111.231.231.181.131.011.090.931.181.191.121.361.251.270.991.251.111.261.171.241.251.531.571.461.521.701.891.842.232.042.272.001.651.68
0.410.410.390.350.360.390.410.420.430.470.440.490.520.570.600.590.560.590.570.530.520.500.530.510.500.420.440.480.510.540.570.550.560.490.490.450.360.330.340.290.320.380.380.370.410.430.390.320.280.310.240.090.060.060.100.120.190.180.160.170.180.21
0.870.860.830.720.740.830.880.910.951.091.031.231.411.671.911.891.771.881.811.561.511.401.591.511.541.311.351.511.571.621.781.681.731.351.371.210.910.850.950.640.750.910.950.840.910.950.880.650.570.560.450.210.240.260.270.300.320.300.260.270.290.37
59.1159.8760.2461.0062.2460.7261.5162.9962.6258.3659.5060.2961.7561.0364.0766.0567.3566.7667.8168.4267.4065.3863.5662.1561.5161.5660.6559.6059.7660.5862.9263.4263.4963.9164.5567.0968.9370.7975.3578.4878.9678.7878.5455.1355.5352.9255.5356.8364.1960.6452.9758.5858.2257.4961.4855.5457.7956.8358.4460.1761.8863.54
-0.39-0.37-0.454.386.653.838.5214.0515.4714.2816.2316.8413.039.1711.478.26-2.167.34-14.485.849.937.5310.629.377.403.143.023.462.672.431.564.846.595.394.869.5511.009.193.077.898.232.912.144.604.79-0.25-0.410.991.351.13-0.49-3.021.67-4.48-2.58-0.552.72-0.04-7.57-1.76-5.20-5.49
-0.39-0.37-0.454.386.653.838.5214.0515.4714.2816.2316.8413.039.1711.478.26-2.167.34-14.485.849.937.5310.629.377.403.143.023.462.672.431.564.846.595.394.869.5511.009.193.077.898.232.912.144.604.79-0.25-0.410.991.351.13-0.49-3.021.67-4.48-2.58-0.552.72-0.04-7.57-1.76-5.20-5.49
--------------------------------------------------------------
-2.070.210.164.186.183.1810.0612.5413.4114.4017.0815.8212.9910.8013.086.37-1.32-1.40-14.424.538.248.645.768.826.871.442.405.162.413.420.925.125.774.585.168.7410.658.823.387.867.772.312.143.894.23-0.78-0.591.571.661.16-0.73-3.261.18-3.74-3.04-0.922.46-0.64-8.11-2.70-5.83-7.82
-1.590.15-1.243.034.492.367.579.7210.2010.9113.0411.679.508.039.784.92-0.89-1.01-11.043.556.516.454.396.595.391.1628.463.161.482.090.673.153.582.833.165.416.525.402.104.724.741.391.342.352.57-0.46-0.320.930.990.700.15-1.920.72-2.33-1.42-0.571.48-0.38-4.84-1.60-3.44-5.08
0.250.240.240.280.290.300.320.350.350.330.360.320.280.260.250.230.190.250.250.260.280.280.300.300.310.300.280.290.300.300.290.290.300.270.290.310.320.320.310.350.330.310.290.310.300.300.300.300.320.330.320.350.370.330.300.310.310.300.310.280.260.24
32.1630.7330.8630.2330.3033.1935.5841.0537.3146.7659.5053.8948.0346.3738.1437.8825.4335.1929.9628.1733.3230.2934.4732.7831.0027.0126.2927.3826.7424.2021.1522.1822.8820.2819.2120.2021.1819.8619.2016.4415.4713.8513.8330.4630.7929.0224.0623.5119.4721.4425.3533.3032.8732.9536.2146.6745.6041.5744.8139.8532.4329.12
1.771.771.971.791.871.561.621.551.461.531.661.661.691.641.711.641.491.811.871.941.961.732.001.731.681.701.741.581.701.671.751.541.561.661.771.681.671.451.571.591.561.441.551.491.541.561.781.661.701.611.771.661.591.461.441.421.541.491.691.531.681.58
50.7950.7245.8050.2648.0857.7055.5557.8961.8358.7554.3754.0853.1554.8752.7954.9860.3049.6048.1446.2845.8851.9344.9752.1553.4352.8151.6156.8352.8754.0451.3858.5657.6554.1950.9953.5153.7861.9657.4856.6857.7262.4758.1560.2358.4157.6150.6854.1752.9455.9850.8254.3656.5261.8262.3363.1958.5460.5553.3459.0053.6456.86
-0.950.09-0.711.933.001.735.998.689.2410.0912.9111.358.647.389.304.40-0.62-0.98-10.183.096.035.674.356.785.621.0724.733.511.672.380.773.734.412.793.185.896.245.082.133.994.021.151.121.872.14-0.37-0.250.670.720.520.10-1.230.49-1.36-0.75-0.330.85-0.21-2.66-0.82-1.57-2.21
-0.950.09-0.711.933.001.735.998.689.2410.0912.9111.358.647.389.304.40-0.62-0.98-10.183.096.035.674.356.785.621.0724.733.511.672.380.773.734.412.793.185.896.245.082.133.994.021.151.121.872.14-0.37-0.250.670.720.520.10-1.230.49-1.36-0.75-0.330.85-0.21-2.66-0.82-1.57-2.21
-0.400.04-0.290.831.320.702.403.413.543.614.753.752.682.082.411.13-0.16-0.25-2.740.921.831.781.301.991.660.358.050.910.440.620.190.921.060.780.901.652.051.740.661.641.580.420.390.730.78-0.14-0.100.280.310.230.05-0.670.27-0.76-0.42-0.180.46-0.12-1.50-0.45-0.88-1.21
-0.560.05-0.431.251.911.063.565.035.285.407.175.744.163.213.691.81-0.27-0.40-4.421.442.872.832.053.312.830.6313.931.840.811.100.331.671.941.421.613.264.013.431.402.832.710.710.701.171.26-0.21-0.150.460.510.360.07-1.120.46-1.28-0.67-0.290.70-0.17-2.25-0.68-1.29-1.74
14.1014.2814.2714.3614.1113.7013.5412.7611.7510.659.678.427.747.076.555.955.715.785.836.436.236.185.855.675.355.235.183.903.793.743.683.613.513.693.573.463.793.553.373.973.853.683.633.703.623.543.513.783.753.743.953.873.953.893.933.933.923.923.914.004.004.03
1.290.435.164.243.041.537.525.353.341.834.453.242.231.042.932.301.911.023.583.292.240.823.342.361.180.631.981.711.020.481.791.631.070.542.102.321.240.731.721.350.840.171.241.040.690.290.970.810.640.100.960.970.490.200.400.360.200.010.850.600.300.16
0.43-0.014.653.742.841.585.454.002.581.435.003.793.131.311.591.161.220.250.820.911.430.741.350.79-0.230.130.070.850.680.48-0.230.410.26-0.05-1.05-0.330.320.392.041.521.000.50-0.030.14-0.08-0.18-1.24-0.68-0.28-0.41-0.700.150.090.140.070.08-0.12-0.380.780.550.280.07