Pluri Financial Ratios for Analysis 2009-2024 | PLUR

Fifteen years of historical annual and quarterly financial ratios and margins for Pluri (PLUR).

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
6.987.378.465.856.073.233.755.366.169.208.389.306.9221.462.813.49
0.820.610.400.29-----------0.01
4.441.540.670.42-----------0.01
98.7796.86100.00-100.0096.3096.00-96.4996.5797.1097.0597.07---
-6,796.93-9,493.38-17,774.79--128,156.50-65,799.99-67,462.01--819.07-6,666.75-7,348.29-3,272.90-2,099.30---
-6,796.93-9,493.38-17,774.79--128,156.50-65,799.99-67,462.01--819.07-6,666.75-7,348.29-3,272.90-2,099.30---
-6,719.33-9,367.25-17,324.79--121,330.40-62,166.66-63,404.00--747.56-6,063.32-6,508.18-3,098.09-2,036.17---
-6,547.24-10,065.16-17,681.20--126,747.80-65,383.33-52,252.01--816.51-6,511.08-7,106.07-3,115.61-2,066.20---
-6,407.36-9,867.94-17,624.79--126,747.80-65,383.33-52,252.00--816.51-6,511.08-7,106.07-3,115.61-2,066.20---
0.010.010.00-0.000.000.00-0.060.010.010.010.02---
----------------
--------1.280.220.172.49----
--------2861,6292,179147----
-394.16-188.80-128.55-87.25-51.96-161.80-91.65-91.94-60.92-42.44-43.35-36.81-39.20-24.98-187.21-195.52
-394.16-188.80-128.55-87.25-51.96-161.80-91.65-91.94-60.92-42.44-43.35-36.81-39.20-24.98-187.21-195.52
-54.00-56.87-60.79-53.31-44.49-112.77-67.06-74.10-50.60-36.21-36.38-30.97-31.20-23.57-132.57-148.69
-72.50-74.39-76.81-61.56-51.96-161.80-91.65-91.94-60.92-42.44-43.35-36.81-39.20-24.98-187.21-194.21
1.002.977.9214.3117.6111.5720.0824.9738.0359.0572.4577.6665.0181.8515.2519.85
-3.44-4.99-9.07-8.80-11.59-19.11-16.15-19.77-18.63-23.45-24.08-24.35-5.95-14.76-25.44-32.17
-3.50-5.05-9.14-8.90-11.71-19.26-16.41-20.09-20.36-24.38-26.07-30.56-8.64-17.15-27.27-34.53

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
6.986.057.128.167.378.689.499.918.468.226.276.065.855.024.535.126.072.472.752.743.231.602.543.313.754.576.404.795.365.654.275.646.168.149.7111.509.208.719.118.748.3810.0410.479.169.3010.6010.8213.386.928.548.819.1921.4623.953.741.722.812.133.842.923.493.65
0.820.930.790.680.610.530.480.440.400.360.370.320.29-----------------------------------------------0.010.01
4.4413.043.692.101.541.120.910.770.670.570.580.480.42-----------------------------------------------0.010.01
95.83100.00100.00100.0091.89100.00100.00100.00-100.00--------95.65---96.00100.00--96.00-------96.4896.8496.8196.8495.7996.8497.8796.8496.8496.8497.8996.9196.9296.9297.0397.3996.9796.75----------
-6,285.42-7,794.37-4,964.76-9,957.41-5,895.50-8,160.92-333,950.00-7,957.47--4,476.50---------27,686.96----16,662.00-224,250.00---16,934.00--------153.63-5,813.68-6,185.11-7,925.26-6,632.63-5,918.95-7,141.49-9,775.79-7,357.90-5,115.79-7,595.79-3,058.25-2,504.62-2,148.72-3,931.68-2,004.35-916.88-2,812.99----------
-6,285.42-7,794.37-4,964.76-9,957.41-5,895.50-8,160.92-333,950.00-7,957.47--4,476.50---------27,686.96----16,662.00-224,250.00---16,934.00--------153.63-5,813.68-6,185.11-7,925.26-6,632.63-5,918.95-7,141.49-9,775.79-7,357.90-5,115.79-7,595.79-3,058.25-2,504.62-2,148.72-3,931.68-2,004.35-916.88-2,812.99----------
--------------------------------------------------------------
-6,106.25-7,591.55-4,756.19-9,440.74-5,951.35-8,917.24-412,699.90-7,205.75--4,238.46---------27,695.65----17,366.00-219,650.00---16,458.00--------143.97-6,185.26-5,632.98-7,606.32-6,573.69-6,222.11-6,591.49-9,764.21-7,057.90-5,005.26-7,357.89-2,927.84-2,302.56-2,048.72-4,094.06-1,814.78-862.34-2,917.53----------
-5,967.71-7,454.93-4,671.43-9,187.04-5,818.92-8,763.22-405,849.90-7,035.63--4,215.81---------27,695.65----17,366.00-219,650.00---16,458.00--------143.97-6,185.26-5,632.98-7,606.32-6,573.68-6,222.11-6,591.49-9,764.21-7,057.90-5,005.26-7,357.89-2,927.84-2,302.56-2,048.72-4,094.06-1,814.78-862.34-2,917.53----------
0.000.000.000.000.000.000.000.00-0.00--------0.00-0.00-0.000.00--0.00-----0.00-0.050.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00----------
--------------------------------------------------------------
----------------------0.610.11--0.29-----0.00-2.430.230.060.470.600.210.04---0.350.150.110.12-0.130.110.68----------
----------------------148833--310-------36.993971,6191931504272,167---259596784770-681822131----------
-108.25-292.14-75.47-46.19-43.18-37.15-33.06-23.30-28.22-24.71-27.46-23.38-25.49-20.92-30.51-17.34-14.50-52.98-40.04-40.73-35.56-116.82-57.15-40.81-31.50-4.61-22.26-30.31-23.19-22.08-26.32-19.22-16.26-16.71-8.03-11.22-9.11-15.86-12.71-11.01-9.97-14.06-11.02-8.68-12.16-8.87-6.50-5.53-10.96-11.01-4.94-11.15-8.58-5.71-47.15-61.82-43.76-86.11-41.77-52.65-46.17-65.21
-108.25-292.14-75.47-46.19-43.18-37.15-33.06-23.30-28.22-24.71-27.46-23.38-25.49-20.92-30.51-17.34-14.50-52.98-40.04-40.73-35.56-116.82-57.15-40.81-31.50-4.61-22.26-30.31-23.19-22.08-26.32-19.22-16.26-16.71-8.03-11.22-9.11-15.86-12.71-11.01-9.97-14.06-11.02-8.68-12.16-8.87-6.50-5.53-10.96-11.01-4.94-11.15-8.58-5.71-47.15-61.82-43.76-86.11-41.77-52.65-46.17-65.21
-14.83-14.81-12.02-11.45-13.00-13.79-13.77-10.49-13.35-12.53-13.48-13.65-15.57-18.00-24.02-14.40-12.42-32.61-25.62-25.89-24.78-53.80-35.73-28.44-23.05-3.56-18.40-23.86-18.69-18.06-20.47-15.73-13.51-14.41-7.07-9.74-7.77-13.27-10.70-9.26-8.37-11.99-9.40-7.26-10.23-7.64-5.67-4.91-8.72-8.90-4.01-9.01-8.10-5.43-35.79-38.69-30.99-55.40-31.96-38.43-35.11-51.09
-19.91-20.80-16.10-14.90-17.01-17.54-17.33-13.16-16.86-15.73-17.37-15.80-17.99-20.92-30.51-17.34-14.50-52.98-40.04-40.73-35.56-116.82-57.15-40.81-31.50-4.61-22.26-30.31-23.19-22.08-26.32-19.22-16.26-16.71-8.03-11.22-9.11-15.86-12.71-11.01-9.97-14.06-11.02-8.68-12.16-8.87-6.50-5.53-10.96-11.01-4.94-11.15-8.58-5.71-47.15-61.82-43.76-86.11-41.77-52.65-45.86-64.72
1.000.351.272.132.974.075.226.597.929.939.8912.1914.3117.1712.7415.2917.616.077.528.9811.575.7810.4115.0220.0823.9827.0419.8524.9729.6324.7132.5938.0343.0649.5152.8859.0551.3055.7661.7372.4577.7775.5873.2377.6687.2994.6910165.0168.1173.1774.9981.8587.9518.0710.3215.2511.6219.5817.9619.8519.14
-3.44-2.63-1.83-1.13-4.99-4.00-3.35-1.87-9.07-6.96-4.64-2.20-8.80-5.76-4.36-1.92-11.59-9.00-6.80-3.76-19.11-15.55-11.59-5.99-16.15-11.34-7.62-4.27-19.77-13.27-9.57-3.89-18.63-12.99-7.45-3.83-23.45-17.65-10.31-4.00-24.08-16.78-10.54-6.88-24.35-16.28-9.58-5.89-5.95-4.230.326.47-14.76-7.84-7.13-2.62-25.44-16.64-8.72-5.18-32.17-21.61
-3.50-2.69-1.87-1.15-5.05-4.03-3.38-1.89-9.14-6.98-4.65-2.20-8.90-5.85-4.42-1.95-11.71-9.07-6.87-3.79-19.26-15.69-11.72-6.11-16.41-11.50-7.76-4.39-20.09-13.58-9.84-4.03-20.36-14.50-8.93-4.95-24.38-18.37-10.94-4.31-26.07-18.54-12.06-7.50-30.56-20.73-14.23-9.20-8.64-6.60-1.516.14-17.15-9.25-8.84-4.13-27.27-17.42-9.29-5.46-34.53-23.67