Prosiebensat.1 Media Se Financial Ratios for Analysis 2009-2023 | PBSFY

Fifteen years of historical annual and quarterly financial ratios and margins for Prosiebensat.1 Media Se (PBSFY).

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
0.960.991.191.071.331.401.911.881.451.361.312.531.511.181.04
0.570.540.530.610.710.750.720.690.740.720.760.610.620.770.86
1.341.191.171.892.482.992.542.222.842.623.151.711.623.676.94
27.0237.1438.9039.0242.4935.9241.3946.8345.9045.7445.0446.2545.5346.4041.86
-2.235.6712.3313.6414.008.7120.1120.4322.3824.1625.6725.5022.0122.3217.22
-2.235.6712.3313.6414.008.7120.1120.4322.3824.1625.6725.5022.0122.3217.22
3.6616.0017.9119.7720.2914.2426.5625.8527.0228.4629.0928.8727.3026.9222.57
-4.262.3313.519.1413.838.5815.8417.3218.5119.4820.2219.3713.3014.308.37
-3.22-1.309.996.609.996.1911.5510.5811.9912.0411.9812.5223.1310.425.24
0.650.690.680.570.620.620.620.580.610.740.730.440.550.480.45
62.4963.8356.0456.0949.5261.1761.2869.662131,2001,1011,8091,5013,216712
5.946.516.916.266.635.906.857.226.947.666.315.826.076.075.78
61.4056.0352.7958.3555.0861.9153.2650.5452.6247.6557.8662.7260.1160.1263.12
-8.48-2.7621.0714.9431.9923.3638.4531.5941.9850.6062.4221.9318.6931.0325.86
7.062.52-23.21-10.06-15.19-9.42-20.51-18.74-16.37-23.05-22.16-48.94-13.04-9.07-4.05
-2.27-0.826.713.566.233.877.326.857.459.7810.256.085.355.042.43
-3.62-1.269.845.899.205.8710.859.8010.9513.9915.038.567.136.983.65
1.892.012.662.131.591.401.551.731.221.170.912.272.381.600.93
1.481.572.001.901.981.882.002.001.962.232.172.362.202.492.40
1.511.601.821.681.760.541.851.841.802.092.032.222.062.382.28

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.950.950.930.960.920.900.940.991.231.181.181.191.191.171.151.070.850.901.381.331.181.201.401.401.541.521.851.912.011.591.961.881.021.061.441.450.760.951.361.221.311.133.012.472.531.201.361.471.511.182.211.141.181.051.150.751.040.991.001.03
0.570.570.570.570.560.560.550.540.570.550.530.530.580.590.590.610.630.670.700.710.730.750.720.750.730.750.720.720.740.750.680.690.800.810.750.740.720.750.680.740.760.780.520.600.610.620.630.610.620.650.750.760.770.820.830.850.860.890.880.89
1.351.331.331.341.261.281.231.191.341.221.141.171.381.461.431.892.282.792.352.482.742.962.512.992.773.062.602.542.822.982.172.224.154.262.962.842.902.922.112.913.153.681.091.611.711.821.721.581.621.843.133.443.675.285.516.406.949.218.669.67
33.5631.6431.0317.6934.2328.6931.9940.9734.6436.1135.8543.8036.7835.5037.7442.8438.4429.4840.3944.3938.3443.6142.7219.4239.0147.5944.4950.0018.1250.5242.6450.0544.3447.9743.2749.9243.4547.4640.3840.3049.6843.5346.2938.1556.9545.0947.5739.8250.1346.2446.3938.7151.5943.5050.6337.1248.4035.2644.5234.96
5.563.422.19-5.734.96-5.07-1.5927.90-24.764.277.2320.529.197.928.5325.6012.49-4.948.6417.936.9115.1014.24-3.4814.8019.529.1924.8019.8221.1011.8724.6115.8723.7015.2126.6517.5924.9617.9018.9131.0721.7928.2218.6252.7619.9623.6017.4730.4416.9925.3813.3031.8717.7522.0213.1526.655.3121.249.44
5.563.422.19-5.734.96-5.07-1.5927.90-24.764.277.2320.529.197.928.5325.6012.49-4.948.6417.936.9115.1014.24-3.4814.8019.529.1924.8019.8221.1011.8724.6115.8723.7015.2126.6517.5924.9617.9018.9131.0721.7928.2218.6252.7619.9623.6017.4730.4416.9925.3813.3031.8717.7522.0213.1526.655.3121.249.44
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1.931.430.81-7.923.04-6.80-3.8021.68-25.410.665.2420.469.7613.077.7819.1010.86-9.594.6415.865.1813.8319.50-4.9519.8420.185.2217.7314.9518.6110.7720.4111.9022.6912.3419.5717.4022.3813.5712.3227.2015.6721.5712.7645.8214.1517.1711.8522.043.1317.348.1625.377.1114.544.7418.87-3.3512.23-1.12
0.911.540.23-4.461.69-6.22-3.437.35-17.16-2.183.1412.946.9211.747.0413.937.49-7.624.0012.113.679.8213.36-2.4314.1313.823.0612.4413.8212.167.0313.957.9310.618.2313.099.3015.189.536.237.8810.4921.789.0327.199.6211.608.0015.7757.2418.645.6119.315.109.793.2212.45-2.276.56-0.28
0.150.160.150.220.150.150.140.200.150.160.140.220.160.160.150.220.130.100.140.200.140.150.140.200.140.150.130.210.140.160.140.190.170.170.150.200.160.200.160.160.240.170.140.100.070.120.150.130.150.120.110.110.150.100.120.150.150.090.120.11
5.9311.0712.7023.3510.0716.2913.8817.298.7217.2813.3016.3013.3211.4611.0219.907.167.0310.2015.508.6510.4910.0424.789.8911.1213.2417.5416.7912.8616.3121.2029.8135.4656.8864.9982.8499.0030026733123347987022643737938238213316941994216913940921162.2253.0559.16
1.511.611.541.971.341.421.381.881.391.701.532.181.511.601.612.361.441.371.552.151.421.731.511.901.611.721.582.301.541.871.552.341.642.001.692.291.702.071.641.512.071.521.661.330.911.311.481.331.691.421.691.381.971.381.531.821.931.221.641.22
59.8055.9658.3445.7367.3063.2565.2947.8964.9852.9858.7741.2259.7256.4255.8438.1462.3565.5058.2241.9363.1852.0859.5447.3455.9052.2057.1139.2158.4048.0957.9638.4654.8245.1053.1939.2853.0143.4054.7259.4143.4259.1954.1267.7799.3168.9660.7367.8053.2763.3953.3565.3845.7265.3458.8849.5446.6473.9254.9973.77
0.510.810.25-3.980.95-3.39-1.8010.00-13.58-1.151.448.913.846.423.6412.464.44-4.802.2812.592.848.729.52-3.0411.0312.002.4513.4311.2611.344.5612.1410.6421.827.5314.709.9517.666.697.9127.1712.395.493.158.674.396.263.568.941.067.053.6718.414.3410.523.5719.96-2.5610.95-1.01
-0.42-0.69-0.213.31-0.792.721.54-9.1213.781.23-1.64-9.82-3.24-4.82-2.77-8.39-2.382.22-1.17-5.98-1.15-3.24-4.561.22-4.85-4.62-1.26-7.17-5.40-4.37-2.87-7.20-2.46-4.99-2.73-5.73-3.19-6.40-4.00-2.90-9.65-3.65-15.13-7.98-19.34-2.73-3.85-2.51-6.24-0.58-3.63-1.13-5.38-0.89-2.14-0.53-3.120.30-1.360.11
0.140.230.07-1.070.27-0.97-0.532.95-3.99-0.360.472.841.101.791.022.970.96-0.900.472.450.511.501.84-0.502.042.020.452.562.051.971.012.631.372.571.282.611.643.071.491.424.461.892.040.912.401.181.721.042.560.281.350.642.990.521.220.501.88-0.190.86-0.07
0.220.350.11-1.700.42-1.49-0.814.56-5.87-0.520.684.161.612.611.504.911.66-1.580.683.620.762.202.71-0.762.932.960.683.792.952.851.443.772.104.151.903.832.744.502.152.026.542.762.621.273.381.662.301.383.410.371.790.874.140.771.800.542.82-0.281.28-0.11
---1.89---2.01---2.66---2.13---1.59---1.40---1.55---1.73---1.220.980.871.231.020.910.822.582.472.272.092.062.282.382.132.031.751.601.161.091.030.93---
0.940.540.321.480.730.530.261.570.950.770.362.001.100.660.311.901.050.630.341.981.100.850.351.881.150.780.432.001.230.780.352.001.240.830.471.961.320.880.460.392.171.340.950.532.361.431.000.412.201.331.170.462.491.551.040.432.401.791.070.42
0.950.540.321.510.740.540.201.600.810.670.321.820.970.590.251.680.900.540.301.760.980.770.340.541.060.780.401.851.130.700.321.841.150.750.431.801.220.820.430.362.031.250.890.512.221.320.930.372.061.241.110.432.381.480.990.402.281.671.020.41