PHX Minerals Financial Ratios for Analysis 2009-2024 | PHX

Fifteen years of historical annual and quarterly financial ratios and margins for PHX Minerals (PHX).

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
5.051.590.813.994.671.442.821.402.832.051.731.522.232.391.45
0.210.210.180.300.310.280.310.280.340.400.080.15--0.14
0.270.260.220.460.450.400.450.390.510.650.090.18--0.16
92.1786.3971.9276.5182.3680.4569.3062.4672.7580.2278.2176.1675.7178.3974.22
41.9646.01-31.26-129.13-115.224.219.10-46.0820.1243.6232.9021.9325.9831.42-13.34
47.2748.18-26.73-123.97-110.988.0911.85-42.6322.3244.1733.1522.2025.9831.42-13.34
66.5461.798.52-78.66-72.3248.9451.5420.0656.1870.1168.0561.4758.6968.4362.23
41.9646.01-31.26-129.13-115.224.219.10-46.0820.1243.6232.9021.9325.9831.42-13.34
31.3138.15-28.30-95.93-86.5832.507.62-26.3413.2529.6222.2015.1918.8921.99-6.45
0.270.350.190.250.370.220.220.200.290.340.430.360.400.490.34
---------------
8.304.072.483.708.006.315.747.278.075.014.375.244.795.264.46
43.9789.7414798.6545.6357.8363.5850.1945.2272.8883.4869.6576.2069.3481.91
11.3018.94-7.90-38.02-51.3711.373.03-8.937.3420.9814.598.7910.7815.52-3.75
11.3018.94-7.90-38.02-51.3711.373.03-8.937.3420.9814.598.7910.7815.52-3.75
8.3613.38-5.31-23.95-32.177.081.71-5.203.9010.149.445.457.6210.86-2.22
8.9215.00-6.46-26.62-35.518.142.09-6.444.8512.6813.437.4710.7815.52-3.23
3.413.012.402.834.857.697.006.947.677.235.815.084.774.433.86
0.671.090.150.651.251.591.231.342.843.152.241.521.741.652.25
0.931.450.160.882.210.97-0.261.371.000.840.690.020.391.000.07

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
3.193.984.515.053.175.185.13--1.490.711.12-1.161.773.19-1.945.893.23-4.694.604.47-1.281.922.74-1.561.010.76-1.402.581.56-1.892.702.35-2.182.081.47-2.001.562.13-1.111.932.15-2.383.122.74-2.332.512.12-1.231.89
0.180.190.200.210.200.170.18--0.220.220.18-0.210.280.30-0.330.350.30-0.230.250.23-0.240.250.28-0.300.280.28-0.300.320.32-0.340.360.38-0.440.050.06-0.130.140.15-0.090.150.15------0.070.12-0.170.19
0.220.230.250.270.250.200.22--0.290.280.23-0.260.380.43-0.530.530.44-0.300.330.30-0.310.330.39-0.430.380.40-0.430.470.46-0.510.560.61-0.780.060.06-0.150.160.17-0.100.170.18-0.01----0.070.13-0.210.24
92.0890.6590.7993.4191.2789.6992.94--89.5017.10--70.7075.66--52.6183.06--87.1074.17--61.1067.47--69.6075.10--62.3255.00--62.0967.44--80.6177.81--79.7475.63--81.1576.65--75.2074.54--76.5182.63--70.2574.11
17.0517.30-1.8031.9027.06-2.7579.01--55.02-203.20100.00--38.31-11.83100.00--163.86-242.61100.00-36.22-26.99100.00--10.309.16100.00-14.7030.60100.00--17.55-158.22100.00--4.234.27100.00-41.5142.76100.00-41.3014.00100.00-34.3011.55100.00-31.5820.69100.00-21.6441.32100.00--23.10-22.21
23.8624.147.2938.0433.124.2182.50--56.67-191.46---34.42-7.41---154.95-239.54--39.44-20.63---5.8912.98--17.1632.65---14.19-153.71---0.977.06--41.7342.76--41.3014.00--34.3011.55--31.5820.69--21.6441.32---23.10-22.21
---------------------------------------------------------------
17.0517.30-1.8031.9027.06-2.7579.01--55.02-203.2044.84--38.31-11.83-10.79--163.86-242.6120.29-36.22-26.9961.94--10.309.168.61-14.7030.60-47.54--17.55-158.22-45.08--4.234.2747.99-41.5142.7638.94-41.3014.0019.92-34.3011.5531.79-31.5820.6920.23-21.6441.3219.57--23.10-22.21
12.0413.58-2.3321.3320.64-0.5559.81--49.41-204.8840.25--23.92-8.25-9.67--131.41-180.8417.89-28.17-25.2948.37--8.119.37110-10.1424.85-31.81--7.98-97.96-24.42--6.204.8033.01-27.8828.6326.78-28.608.1315.15-22.716.4825.46-22.6816.1414.41-14.4530.6313.87--10.72-10.65
0.060.060.050.070.060.050.10--0.120.020.14-0.050.060.06-0.030.120.08-0.080.040.13-0.050.060.06-0.060.070.04-0.050.040.05-0.050.060.12-0.070.130.12-0.120.090.11-0.110.080.10-0.110.110.10-0.100.160.12-0.080.08
---------------------------------------------------------------
2.071.751.902.201.501.161.94--1.380.212.07-0.760.850.81-0.711.671.70-2.721.103.31-1.431.571.60-1.942.321.25-2.241.311.91-1.171.432.19-0.971.111.20-1.381.091.61-2.021.401.52-1.221.191.35-1.151.511.34-1.151.08
43.5851.3647.3440.9160.0577.9146.38--65.4543343.48-119106111-12754.0053.09-33.1281.9927.23-63.0857.2756.36-46.4938.8471.94-40.1868.8347.24-76.9262.7741.13-93.0280.9875.27-65.2582.5755.78-44.5364.0759.35-73.7175.7266.89-78.1759.6767.05-78.4083.32
0.891.05-0.152.041.56-0.037.95--8.77-4.74---1.80-0.81---6.29-34.06--3.37-1.43---0.600.82--1.093.01---0.69-6.42---0.570.54--4.665.37--5.631.19--3.700.83--3.472.37--2.137.37---1.45-1.44
0.891.05-0.152.041.56-0.037.95--8.77-4.74---1.80-0.81---6.29-34.06--3.37-1.43---0.600.82--1.093.01---0.69-6.42---0.570.54--4.665.37--5.631.19--3.700.83--3.472.37--2.137.37---1.45-1.44
0.680.79-0.111.511.16-0.036.13--5.99-3.08---1.24-0.52---3.88-20.82--2.23-0.94---0.390.54--0.611.74---0.39-3.56---0.300.28--2.073.62--3.550.74--2.450.53--2.441.70--1.494.90---0.84-0.83
0.730.85-0.121.611.24-0.036.53--6.80-3.70---1.43-0.59---4.21-22.22--2.59-1.08---0.460.62--0.762.18---0.48-4.36---0.380.35--2.625.08--4.901.03--3.380.71--3.472.37--2.136.88---1.20-1.16
3.433.433.413.423.413.363.37--2.772.492.60-2.532.752.78-3.443.664.90-8.338.148.35-7.707.787.73-6.966.916.70-6.926.997.43-7.757.827.77-6.686.396.03-5.475.215.15-5.084.924.92-4.634.524.42-4.284.223.93-3.863.95
0.410.260.140.670.570.390.250.000.000.450.210.260.000.360.210.020.000.590.370.130.000.860.540.240.001.280.910.420.000.850.550.220.001.220.820.620.002.231.650.910.002.181.300.710.001.460.920.430.001.250.900.460.001.230.810.510.001.220.690.290.001.841.48
0.420.270.150.930.820.630.50--0.540.280.39-0.360.190.02-0.790.570.33-1.440.830.69-0.880.590.16--0.180.140.09-1.060.700.58-0.820.470.02-0.590.250.12-0.270.210.02-0.300.190.09-0.220.150.12-0.750.390.13--0.14-0.32