CPI Card Group Financial Ratios for Analysis 2012-2024 | PMTS

Fifteen years of historical annual and quarterly financial ratios and margins for CPI Card Group (PMTS).

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
202320222021202020192018201720162015201420132012
3.342.462.252.682.212.052.912.622.402.421.89-
1.241.401.661.722.011.961.651.461.410.830.86-
-5.10-3.48-2.51-2.44-1.99-2.04-2.54-3.17-3.574.896.34-
34.9836.9537.7035.3332.7530.7230.4833.0136.3131.3130.3028.78
13.8516.6315.8512.308.891.79-8.639.3918.1013.2113.3210.83
13.8516.6315.8512.308.891.79-8.639.3918.1013.2113.3210.83
17.8620.1720.5118.7915.809.75-0.1916.3723.8918.8720.6017.72
7.7510.336.354.13-0.55-7.48-17.712.7713.1310.069.267.96
5.407.684.255.17-1.84-14.64-9.841.75-0.45-11.94-13.59-17.10
1.511.601.401.171.311.230.961.171.330.981.14-
4.094.394.038.149.2618.0311.2710.689.298.307.80-
6.035.906.104.805.925.185.499.806.505.995.69-
60.5361.8259.8376.1261.6970.4266.4637.2456.1160.9064.12-
-46.18-44.52-13.17-11.733.249.8919.31-5.67-36.09-73.62-30.35-
-21.19-24.82-8.39-7.662.156.3711.16-2.53-14.63-16.65-23.44-
8.1712.325.956.08-2.34-7.14-9.872.0411.156.006.52-
11.2617.968.738.49-3.25-9.47-12.532.6114.657.648.31-
-4.54-7.21-10.75-12.29-13.75-13.40-10.74-8.60-7.664.422.35-
2.862.671.721.960.250.320.225.334.903.232.882.58
2.321.150.861.33-0.12-0.19-0.444.062.821.171.751.25

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302013-12-312012-12-31
2.652.612.443.343.533.162.932.462.762.552.642.252.662.522.912.682.972.953.392.212.452.362.142.052.452.242.682.912.682.392.342.622.722.332.722.402.09------
1.181.201.221.241.261.281.331.401.441.531.571.661.681.741.751.721.761.811.822.011.961.951.991.961.871.851.681.651.531.541.511.461.421.431.381.412.01------
-6.55-6.05-5.48-5.10-4.81-4.52-4.04-3.48-3.29-2.90-2.76-2.51-2.47-2.34-2.34-2.44-2.31-2.23-2.23-1.99-2.05-2.05-2.01-2.04-2.15-2.17-2.47-2.54-2.87-2.86-2.97-3.17-3.39-3.41-3.76-3.57-2.05------
35.8335.6737.0934.4334.1535.5135.6637.5738.8835.7935.2533.1937.8439.7940.0936.8037.0132.3534.6730.0335.3733.4532.1930.6232.8332.3426.3030.8331.8830.3928.7430.3335.7930.8034.3733.5939.9737.5132.99-34.46--
14.2712.5512.6410.2412.2415.2217.0417.9118.8213.2916.149.8816.7716.9419.9414.7816.306.9710.144.5510.8015.095.34-0.576.604.32-4.31-41.585.521.31-3.23-1.3514.406.1415.8210.6424.4920.6115.13-17.72--
14.2712.5512.6410.2412.2415.2217.0417.9118.8213.2916.149.8816.7716.9419.9414.7816.306.9710.144.5510.8015.095.34-0.576.604.32-4.31-41.585.521.31-3.23-1.3514.406.1415.8210.6424.4920.6115.13-17.72--
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0.666.996.843.785.859.2911.3412.2412.896.978.721.929.559.394.237.368.72-2.571.78-3.832.273.48-4.03-9.69-2.03-5.52-13.97-51.94-2.59-7.82-12.14-9.008.09-0.669.87-0.3219.7919.0212.83-14.89--
1.045.054.872.663.645.679.009.879.565.435.390.726.656.692.718.667.021.792.37-4.03-0.922.28-4.57-10.72-8.61-27.19-13.29-28.14-1.21-3.94-8.05-5.964.96-0.446.61-2.557.12-0.62-8.24--4.17--
0.360.370.350.350.360.380.410.430.410.390.390.350.390.380.360.320.330.290.310.340.340.320.330.330.340.290.240.220.240.210.210.250.300.270.310.330.37------
0.870.890.840.960.940.991.121.151.050.961.021.071.331.391.592.142.582.562.522.522.103.003.194.844.553.984.702.602.231.731.662.422.232.182.392.422.39------
1.571.551.631.401.571.531.591.571.601.541.571.521.521.591.281.291.241.301.501.551.431.411.321.391.221.221.071.271.291.341.562.141.851.841.891.631.80------
57.4157.8955.1164.5057.4258.9456.7757.3656.2558.3357.4959.3759.2556.4870.3469.6472.7969.0060.0858.2462.7963.9368.2364.8373.6773.6984.0170.6469.5467.2457.6942.0648.6548.8047.6155.3249.97------
-3.02-13.47-11.26-5.26-6.80-10.36-15.37-15.20-12.64-5.75-5.26-0.56-5.41-4.82-1.78-5.30-4.00-0.86-1.191.830.42-1.042.034.840.760.574.6012.130.763.094.424.21-4.530.36-6.951.86-7.02------
-1.28-5.77-5.02-2.41-3.24-5.17-8.06-8.48-7.43-3.53-3.30-0.35-3.44-3.11-1.16-3.46-2.64-0.57-0.791.210.27-0.681.323.120.480.362.617.010.361.472.061.88-1.900.15-2.750.76-4.39------
0.381.871.710.931.322.173.654.213.902.122.100.252.632.510.982.752.290.520.75-1.32-0.290.74-1.51-3.49-0.52-0.37-2.48-6.20-0.32-1.28-1.72-1.521.49-0.122.04-0.585.10------
0.542.672.521.281.792.955.056.135.523.033.000.373.673.591.323.843.050.690.97-1.84-0.400.99-2.01-4.63-0.67-0.49-3.14-7.87-0.40-1.66-2.25-1.941.89-0.162.62-0.767.19------
-3.83-3.98-4.25-4.54-4.95-5.51-6.19-7.21-8.35-9.50-10.13-10.75-10.90-11.50-12.07-12.29-12.95-13.34-13.36-13.75-13.38-13.32-13.66-13.40-12.75-12.57-11.08-10.74-9.48-9.51-9.16-8.60-8.04-8.24-7.27-7.66-25.05------
1.400.350.752.861.880.870.672.670.99-0.70-1.361.721.231.930.011.960.911.070.280.25-0.27-0.08-0.910.32-0.43-0.22-0.160.22-0.62-0.67-0.455.333.582.951.474.905.312.291.540.000.280.000.00
1.050.120.632.321.370.310.321.15-0.23-1.39-1.630.860.821.62-0.201.330.610.920.20-0.12-0.56-0.32-1.10-0.19-0.88-0.41-0.22-0.44-1.19-1.06-0.754.062.472.331.142.823.651.020.85--1.26--