PennantPark Investment Financial Ratios for Analysis 2009-2024 | PNNT

Fifteen years of historical annual and quarterly financial ratios and margins for PennantPark Investment (PNNT).

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
0.412.191.001.603.291.041.662.371.451.400.820.521.140.181.10
0.510.550.480.520.540.450.450.470.460.390.340.310.460.380.37
1.031.200.921.081.180.800.810.870.840.640.520.440.840.600.58
79.0578.5878.0576.8479.1573.2571.6671.2370.7671.5370.5261.7263.6161.2460.04
48.0447.4745.4442.0249.1049.2649.7951.3650.8953.9053.9555.3357.6453.5050.35
75.1574.8773.0374.1274.9170.3371.1870.7967.2067.6065.8655.3357.6453.5050.35
74.2864.3593.5573.3873.2369.8270.0767.5363.6262.5261.3346.1950.2846.5143.95
-23.26-23.57204-15.9314.2144.0749.5513.19-6.3475.0271.0455.8711.1927.5079.35
-23.26-23.57204-15.9314.2144.0749.5513.19-6.3475.0271.0455.8711.1927.5079.35
0.130.080.060.090.090.090.100.110.120.100.110.110.100.080.09
---------------
12.2217.4612.2715.6618.0014.2321.0820.2021.2910.8011.867.608.434.698.15
29.8820.9129.7623.3120.2725.6417.3118.0717.1433.8130.7848.0543.2877.7744.81
-6.73-4.2325.24-3.042.747.599.542.91-1.4313.4013.169.462.224.2811.91
-6.73-4.2325.24-3.042.747.599.542.91-1.4313.4013.169.462.224.2811.91
-2.92-1.8712.87-1.431.244.115.131.51-0.757.867.966.221.112.326.99
-3.32-1.9213.15-1.461.264.215.261.56-0.788.198.656.571.212.677.52
7.708.989.857.848.689.119.109.059.8211.0310.4910.2210.1310.6911.85
3.42-0.260.12-1.93-1.200.950.972.200.04-2.570.61-2.18-3.27-4.30-2.01
3.42-0.260.12-1.93-1.200.950.972.200.04-2.570.61-2.18-3.27-4.30-2.01

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
0.900.630.810.412.111.821.372.191.321.022.161.001.021.211.661.603.071.400.463.291.261.580.701.042.976.663.031.664.542.640.702.371.381.210.741.451.101.751.921.401.641.330.560.820.490.610.770.520.310.960.911.140.470.320.370.180.190.190.731.100.331.63
0.610.580.580.510.550.580.580.550.540.450.550.480.440.480.480.520.620.620.560.540.540.530.480.450.420.430.440.450.460.490.500.470.490.490.480.460.430.430.430.390.390.420.390.340.330.360.340.310.370.350.420.460.310.290.410.380.410.370.400.370.350.33
1.541.401.391.031.231.351.381.201.180.831.200.920.790.910.931.081.621.641.261.181.191.130.910.800.730.760.790.810.840.941.010.870.970.970.930.840.770.740.760.640.640.720.630.520.480.560.530.440.580.530.730.840.460.410.690.600.680.580.660.580.540.50
79.5780.1178.6778.7880.3179.1777.3383.2479.0779.5372.6177.7178.7377.7478.0479.4674.1675.3378.9083.3874.6684.2574.1274.4874.6775.3268.8869.6076.8370.4169.7270.6171.2272.1670.7970.3271.3171.1170.2476.7167.5870.8770.2810558.3758.5561.2659.8860.5564.7662.1263.4563.3864.7162.8360.5662.0360.2662.1161.6861.6359.18
44.5441.7746.7547.7953.6247.0241.1650.0146.0548.8444.8849.3040.4846.3445.1945.7644.4138.5340.3251.2242.5155.4747.0250.5947.5649.2849.4247.3553.8949.2248.5348.2251.0554.1651.4251.2050.8251.7949.6861.4748.1452.8852.1454.4753.4052.5255.3953.2954.1958.2956.0157.8857.8658.1256.5153.7054.0052.1254.0150.7952.6150.52
75.5774.7574.5874.0976.1576.1473.6379.8774.9075.5469.1773.8274.3571.7771.9074.0777.1471.0874.4279.2470.2879.9869.9570.3470.0471.1069.8568.8975.5270.5169.6669.7670.7671.9270.4968.2167.1067.1966.3075.3462.3366.3465.3810353.4052.5255.3953.2954.1958.2956.0157.8857.8658.1256.5153.7054.0052.1254.0150.7952.6150.52
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10.1246.8631.0334.7146.5414.64-239.94-121.43-79.1513.8189.9910815620038140.4562.63-217.8875.0026.3721.09-15.5025.8545.1568.3022.1742.8925.1260.4133.9976.8086.1678.3110.10-115.573.5412.1517.30-61.08-2.7590.0610711571.9840.9786.2386.6057.4211.6410059.04-119.2210.1259.8212839.7526.08-22.4163.80221-7.61405
10.1244.7131.0336.0346.5413.40-239.94-120.74-79.1512.9889.9910915620038044.6861.45-218.9773.8529.5920.02-16.5524.7645.1568.3022.1742.8926.6460.4133.9975.4686.1678.3110.10-115.573.5412.1517.30-61.08-2.7590.0610711571.4840.8886.8586.6057.4211.6410059.04-119.2210.1259.8212839.7526.08-22.4163.80221-7.61405
0.030.030.030.030.040.030.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.030.030.020.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.020.030.020.030.020.030.03
--------------------------------------------------------------
2.732.472.252.864.483.934.064.814.074.193.923.483.123.023.023.334.864.014.294.493.894.144.973.633.114.453.694.723.943.322.504.574.805.285.035.152.933.363.112.932.533.293.962.892.562.123.052.062.592.393.432.403.661.962.721.302.141.672.382.142.261.55
32.9136.4540.0131.4620.0922.9122.1718.7122.1021.5022.9325.8828.8829.8029.8427.0718.5322.4620.9620.0723.1121.7618.1024.7828.9620.2324.3619.0822.8727.1436.0119.6818.7317.0517.8817.4630.6726.8328.9130.7235.5227.3222.7031.1835.1642.3729.5343.6134.8137.6026.2337.4524.5945.8833.1469.1442.0653.9237.8242.0839.8758.14
0.763.212.132.444.160.98-14.30-5.97-2.930.483.763.804.966.2212.081.812.98-11.673.261.420.96-0.801.101.982.660.941.901.152.881.773.714.314.380.63-6.300.190.660.96-3.06-0.134.235.495.493.221.993.874.152.640.604.533.40-6.740.462.646.331.721.23-0.872.838.71-0.3316.69
0.763.212.132.444.160.98-14.30-5.97-2.930.483.763.804.966.2212.081.812.98-11.673.261.420.96-0.801.101.982.660.941.901.152.881.773.714.314.380.63-6.300.190.660.96-3.06-0.134.235.495.493.221.993.874.152.640.604.533.40-6.740.462.646.331.721.23-0.872.838.71-0.3316.69
0.281.250.841.061.810.40-5.82-2.64-1.290.251.681.942.733.176.170.851.12-4.351.350.640.43-0.370.551.081.480.521.040.621.530.891.742.242.170.31-3.140.100.350.53-1.68-0.082.483.063.141.951.252.342.571.740.342.821.83-3.360.281.753.560.930.67-0.501.655.11-0.2010.52
0.301.340.891.201.870.42-6.00-2.71-1.340.261.711.982.783.266.250.871.14-4.421.440.650.44-0.380.581.101.530.541.060.631.560.911.852.302.230.32-3.260.110.380.55-1.74-0.082.593.193.362.121.342.472.721.830.382.961.96-3.660.321.883.741.070.73-0.551.715.50-0.2211.16
7.527.697.657.707.727.607.718.989.6510.0510.119.859.599.248.787.847.827.718.798.688.748.589.059.119.099.009.109.109.189.099.119.058.948.839.029.8210.0410.2510.4311.0311.3311.1310.8010.4910.4310.5010.3810.2210.1610.3810.1910.1311.0811.3011.1410.6910.9411.0711.8611.8511.7212.00
-2.57-2.31-2.383.421.770.93-0.15-0.26-1.481.34-2.650.121.430.700.52-1.93-2.33-3.26-1.06-1.20-2.19-1.79-0.560.952.452.760.880.971.30-0.26-1.522.200.480.14-0.010.040.55-0.07-0.82-2.57-0.73-2.00-1.560.610.17-0.95-0.54-2.18-1.32-0.830.69-3.27-0.79-1.32-0.75-4.30-3.22-2.88-1.75-2.01-0.470.67
-2.57-2.31-2.383.421.770.93-0.15-0.26-1.481.34-2.650.121.430.700.52-1.93-2.33-3.26-1.06-1.20-2.19-1.79-0.560.952.452.760.880.971.30-0.26-1.522.200.480.14-0.010.040.55-0.07-0.82-2.57-0.73-2.00-1.560.610.17-0.95-0.54-2.18-1.32-0.830.69-3.27-0.79-1.32-0.75-4.30-3.22-2.88-1.75-2.01-0.470.67