Planet Fitness Financial Ratios for Analysis 2013-2024 | PLNT

Fifteen years of historical annual and quarterly financial ratios and margins for Planet Fitness (PLNT).

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
20232022202120202019201820172016201520142013
1.882.273.755.073.712.961.581.101.101.241.01
1.061.121.591.671.721.491.241.441.000.710.35
-16.67-9.45-2.73-2.51-2.41-3.06-5.14-3.30-448.962.500.57
82.2681.0882.8082.5571.7771.6169.9367.6665.6664.1561.45
25.4724.5624.4314.7033.8432.1334.3230.5821.8122.0017.08
25.4724.5624.4314.7033.8432.1334.3230.5821.8122.0017.08
39.9338.3936.2129.5141.1039.1442.6439.6332.1834.2031.60
19.3717.238.85-3.5725.1423.0199.8223.7714.3013.7512.53
12.9110.617.29-3.6917.0915.367.715.685.6013.1612.06
0.360.330.290.220.400.420.390.380.470.460.38
40.6333.6587.4415022231.7548.0267.8824.9133.3036.27
19.0414.0513.2110.5213.139.827.999.5813.2714.5213.37
19.1725.9827.6434.7027.7937.1645.6638.1227.5025.1527.30
-123.57-52.21-7.172.15-19.13-26.95-40.60-33.18-3,530.5624.588.01
-12.16-8.30-4.301.32-11.58-12.63-10.12-11.04-8.44-11.64-18.61
4.953.872.29-0.827.897.625.097.115.456.204.59
7.976.254.20-1.4513.8213.279.9414.627.977.075.20
-1.35-2.36-7.40-8.15-8.13-4.11-1.39-2.18-0.01--
3.882.842.260.392.442.101.662.512.250.000.00
2.281.661.61-0.261.751.641.192.171.72--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-12-31
1.941.812.111.881.981.842.352.272.091.991.893.753.934.304.835.074.664.323.693.712.253.383.102.965.322.081.741.581.571.291.391.101.551.401.331.100.981.10-----
1.141.171.051.061.091.121.091.121.141.131.121.591.611.641.661.671.701.701.651.721.621.371.441.491.101.151.211.241.251.291.371.440.940.960.991.001.030.97-----
-8.14-6.81-19.95-16.67-12.05-9.22-12.58-9.45-8.07-8.76-9.89-2.73-2.67-2.60-2.54-2.51-2.45-2.46-2.57-2.41-2.64-3.72-3.31-3.06-10.66-7.68-5.74-5.14-5.05-4.51-3.76-3.3016.8225.9866.65-448.96-35.4631.72-----
84.3682.7492.3479.8480.6379.2491.2973.7780.1485.5088.0274.1882.4386.5292.8681.0785.4878.9382.8368.9972.3170.0676.8364.1473.0273.8678.1662.0473.5270.6976.8161.3970.2069.6171.6459.0172.6067.9666.27-68.2370.57-
27.8029.0426.5425.0326.0726.8823.4722.8925.3424.5526.0715.9028.8829.3326.2824.0515.22-56.4726.9332.1531.8135.9335.7430.2531.8934.7332.0831.5434.8335.6436.2830.9830.0630.4330.7327.2015.0223.6518.59-21.9923.45-
27.8029.0426.5425.0326.0726.8823.4722.8925.3424.5526.0715.9028.8829.3326.2824.0515.22-56.4726.9332.1531.8135.9335.7430.2531.8934.7332.0831.5434.8335.6436.2830.9830.0630.4330.7327.2015.0223.6518.59-21.9923.45-
-------------------------------------------
20.4323.1020.3620.2919.8320.9715.5718.1518.9615.0316.24-1.5616.2814.708.5313.04-4.10-106.6312.0023.5523.9828.1724.8119.5520.2428.2325.0426126.1026.3627.4125.0022.5923.5223.5623.122.8615.2411.45-13.2514.99-
14.3716.1613.8312.4014.1014.3610.2211.9811.019.958.823.1311.3110.214.996.50-2.95-72.526.7615.4915.4519.1818.4214.2212.7818.4116.38-2.5815.7411.579.719.083.944.524.042.35-5.6614.5710.95-12.8114.10-
0.100.100.080.100.090.100.080.100.090.080.060.090.080.070.060.070.060.020.070.110.120.120.100.130.080.130.110.120.070.080.080.120.100.120.120.150.100.14-----
9.419.993.8312.297.138.673.8714.0111.4910.7112.8141.056.6115.4517.0653.558.473.057.7567.7117.6921.6410.0112.216.0011.516.5318.9046.9421.7415.8724.9534.1631.1316.029.526.8032.99-----
4.744.816.585.075.474.737.414.224.584.755.164.136.044.254.433.462.481.104.103.654.324.615.182.993.683.673.662.493.594.093.692.956.037.907.984.256.966.94-----
18.9718.7013.6717.7716.4419.0412.1521.3419.6618.9317.4421.7814.9121.1820.3326.0136.2581.7621.9624.6420.8419.5417.3730.1124.4624.5124.6036.1125.0422.0324.4030.5414.9311.3911.2821.1812.9312.97-----
-15.87-15.42-35.24-30.89-25.06-20.46-15.62-17.17-12.36-10.95-8.71-0.98-2.83-2.21-0.89-1.370.454.43-1.50-4.84-6.72-12.67-8.94-7.52-18.59-33.34-19.19-0.61-13.54-11.49-9.50-10.2251.8697.31225-1,596.30-5.2072.95-----
-3.21-3.56-2.97-3.04-3.26-3.32-1.96-2.73-2.23-1.81-1.33-0.59-1.71-1.35-0.54-0.840.282.72-0.90-2.93-3.39-5.29-4.04-3.52-3.74-5.86-4.24-0.15-3.40-3.11-2.91-3.40-3.65-4.29-3.73-3.82-0.16-2.61-----
1.391.661.171.241.401.550.851.271.080.870.610.310.960.790.330.52-0.18-1.780.551.992.092.612.102.131.262.702.110.081.381.331.552.191.742.322.382.470.112.00-----
2.252.681.881.992.292.521.362.061.771.431.030.571.721.410.590.93-0.32-3.090.973.504.164.733.933.701.955.054.100.153.393.323.494.502.943.643.363.600.152.25-----
-3.16-3.76-1.13-1.35-1.87-2.45-1.77-2.36-2.77-2.53-2.32-7.40-7.60-7.85-8.05-8.15-8.36-8.34-8.01-8.13-4.89-3.40-3.80-4.11-1.13-0.93-1.24-1.39-1.42-1.59-1.91-2.180.290.190.07-0.01-0.14------
3.481.931.033.883.141.851.152.842.251.290.692.261.780.890.280.39-0.03-0.160.922.441.820.970.692.101.630.890.551.661.090.800.482.511.691.360.422.250.570.000.000.000.000.000.00
2.151.190.732.282.151.320.881.661.480.810.401.611.400.650.21-0.26-0.48-0.420.801.751.380.750.601.641.420.800.531.190.820.620.392.171.501.240.391.720.43------