Perdoceo Education Financial Ratios for Analysis 2009-2024 | PRDO

Fifteen years of historical annual and quarterly financial ratios and margins for Perdoceo Education (PRDO).

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
5.903.523.954.503.472.781.871.471.501.762.221.541.851.371.42
------------0.000.000.00
--------0.110.04-0.130.000.000.00
81.6483.2184.3183.7483.7681.0975.9766.6265.8064.6364.5068.1868.0670.1767.08
21.1918.6521.5020.8013.7712.275.72-4.59-10.88-15.24-15.93-6.830.6611.7112.50
21.1918.6521.5020.8013.7712.275.72-4.59-10.88-15.24-15.93-6.830.6611.7112.50
23.5721.4923.9222.9515.2313.888.07-1.36-7.93-9.17-8.7413.6416.8918.6416.38
27.0619.3121.5121.3514.8212.796.08-4.45-11.15-15.19-16.60-6.740.8111.7212.56
20.8013.7915.8218.0811.159.49-5.35-2.666.12-19.49-16.15-14.001.097.624.51
0.700.730.820.951.051.201.331.261.391.591.260.911.301.321.15
26.0461.3012018817714412912686.4264.3778.6138.8148.0646.9852.70
20.9215.1115.5014.4511.1318.5629.7729.6523.0217.9918.4318.1227.1332.3628.59
17.4524.1623.5625.2532.8019.6612.2612.3115.8620.2919.8020.1413.4511.2812.77
17.5513.2116.8622.3516.3715.71-10.42-4.6115.70-50.57-37.17-10.60-3.5617.5215.94
26.1822.3624.0829.4421.0121.46-15.36-6.5722.00-85.70-47.66-13.84-5.5536.4140.40
14.6610.0112.9417.2211.7811.56-6.91-2.658.68-24.86-21.03-5.78-2.1810.419.39
17.5513.2116.8622.3516.3715.71-10.42-4.6115.70-50.57-37.17-10.60-3.5617.4915.90
12.8410.819.467.936.155.094.294.694.964.186.789.1210.9511.5110.74
1.652.152.702.531.010.80-0.320.09-0.31-1.77-1.29-0.253.093.373.34
1.561.962.552.390.940.70-0.410.03-0.48-1.960.77-0.822.131.792.48

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
5.434.955.904.814.004.333.524.155.195.043.954.004.664.904.504.233.573.603.472.672.503.052.782.622.181.981.871.741.731.671.471.991.931.731.501.491.781.801.761.741.931.952.221.571.641.771.541.751.971.981.851.491.551.461.371.241.291.331.421.361.731.90
-------------------------------------------------0.000.000.000.000.000.000.000.000.000.000.000.000.00
----------------------------------0.11---0.04------0.000.130.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
83.5082.2679.5781.3882.4582.6982.2882.1083.7484.6584.1985.0883.7584.2283.2883.7083.7184.2684.2583.6683.8083.3282.5081.3378.6781.8079.7573.9475.1075.2258.7169.3468.2169.0666.5363.2066.3067.0159.1066.7568.3168.8960.7163.0164.3763.8861.0862.7060.8965.0673.7864.3567.4168.8570.6669.8370.2769.9468.6467.3166.0866.13
27.5927.5010.7823.9425.7822.1612.8717.4120.2423.8821.6321.7620.4922.1221.1418.9621.2321.8220.2015.680.1218.9913.8713.247.9613.867.483.136.236.03-36.01-0.429.473.51-1.97-21.62-9.17-10.73-21.44-17.36-6.04-11.08-23.89-22.47-19.14-8.80-30.18-12.79-28.7611.09-75.544.6416.3620.483.417.5418.3316.8920.858.328.4711.84
27.5927.5010.7823.9425.7822.1612.8717.4120.2423.8821.6321.7620.4922.1221.1418.9621.2321.8220.2015.680.1218.9913.8713.247.9613.867.483.136.236.03-36.01-0.429.473.51-1.97-21.62-9.17-10.73-21.44-17.36-6.04-11.08-23.89-22.47-19.14-8.80-30.18-12.79-28.7611.09-75.544.6416.3620.483.417.5418.3316.8920.858.328.4711.84
--------------------------------------------------------------
31.7931.4115.1326.7339.9924.0613.8718.5820.7023.9621.7521.4520.4922.3321.4919.3721.8522.6521.2116.811.1420.0214.4413.848.3114.447.933.516.646.23-35.65-0.299.443.63-2.15-21.95-9.57-10.90-21.36-17.31-6.27-10.82-23.78-22.52-19.00-11.32-30.17-12.67-28.6611.15-75.574.7316.4020.853.447.7118.1916.8920.868.408.4212.10
23.0523.4411.6222.9629.3117.639.0613.1015.3717.5315.3015.9615.1816.7515.8023.6216.0017.0217.3711.77-0.3615.719.6710.206.1611.82-31.012.082.933.19-21.18-0.416.481.5171.38-22.23-9.56-10.96-7.35-26.24-25.01-29.34-12.39-35.66-12.10-5.34-20.28-10.48-27.3912.07-46.222.4811.4213.742.484.9912.1910.436.484.541.485.37
0.150.160.150.180.180.200.180.190.200.220.190.210.220.240.240.250.270.280.260.260.280.300.300.320.310.320.320.290.290.320.280.300.330.360.330.450.440.430.600.290.280.270.310.250.260.290.270.280.320.340.200.280.330.350.310.330.370.350.300.300.340.31
6.167.026.0415.3511.398.9916.4014.7723.3519.9927.9622.0446.0948.7848.0244.7450.3148.6643.3138.0738.4136.2133.3730.4333.1426.6026.0638.1341.5127.8034.3228.1027.5624.5719.9631.8327.3924.4328.2411.719.779.7421.1412.6412.0213.7014.1212.8814.3115.336.0314.2914.2514.4010.9014.2712.5914.0613.1915.0811.3711.86
4.193.564.363.383.793.973.833.724.114.263.573.923.244.163.604.204.755.012.814.965.124.874.653.995.275.867.146.556.486.576.546.376.466.195.436.347.155.016.833.594.543.974.482.992.765.195.394.676.355.284.157.027.937.887.637.506.438.517.516.476.276.77
21.5025.2620.6526.6523.7422.6823.5124.2221.9021.1325.1822.9627.8121.6525.0121.4318.9517.9732.0318.1517.5718.4819.3722.5417.0715.3512.6013.7413.8813.7013.7714.1413.9414.5416.5714.2012.6017.9713.1825.1019.8322.6720.1030.0532.5917.3516.7019.2814.1817.0421.7112.8311.3611.4311.7912.0013.9910.5811.9813.9214.3513.30
4.274.552.044.986.904.532.203.123.724.733.764.304.345.234.857.665.896.546.384.58-0.146.623.934.442.755.71-15.071.031.391.71-9.34-0.143.560.9142.13-22.98-8.39-9.51-26.47-10.72-3.83-5.44-23.68-7.11-4.00-3.32-11.59-3.89-12.235.15-20.691.495.627.621.333.027.566.476.782.962.773.65
6.156.693.057.5310.957.403.724.625.146.615.376.195.546.756.3910.338.219.468.196.00-0.188.845.386.173.898.21-22.211.431.952.42-13.31-0.194.891.2659.03-45.06-13.97-15.09-44.85-17.31-5.80-8.00-30.36-9.60-5.99-4.90-15.14-5.61-17.288.03-32.253.0811.8016.682.767.8520.8017.2817.207.765.446.58
3.563.751.714.035.393.581.672.453.013.802.893.323.394.103.745.844.304.804.603.07-0.094.752.903.271.933.91-9.980.700.921.10-5.37-0.092.280.5623.28-9.96-4.08-4.63-13.01-5.25-2.03-2.92-13.40-3.54-2.29-1.99-6.32-2.28-7.543.26-12.670.923.594.710.791.774.683.824.001.771.822.43
4.274.552.044.986.904.532.203.123.724.733.764.304.345.234.857.665.896.546.384.58-0.146.623.934.442.755.71-15.071.031.391.71-9.34-0.143.560.9142.13-22.98-8.39-9.51-26.47-10.72-3.83-5.44-23.68-7.11-4.00-3.32-11.59-3.89-12.235.15-20.691.495.617.621.323.027.546.466.772.952.763.64
13.7013.2012.8412.6312.0811.2810.8110.5210.229.869.469.218.768.357.937.536.926.456.155.725.445.435.094.874.634.504.294.914.854.764.695.185.185.004.962.863.513.814.184.545.245.926.787.318.498.909.1210.0210.4612.0410.9512.4712.4711.9311.5111.3410.7910.5910.7410.519.9810.31
1.390.821.651.470.970.072.151.570.790.322.702.021.150.632.531.941.490.621.011.180.760.180.800.250.210.16-0.32-0.41-0.48-0.560.090.240.10-0.15-0.31-0.31-0.39-0.30-1.77-1.50-1.21-0.53-1.28-1.16-1.00-0.21-0.250.490.250.263.092.831.520.783.372.730.590.643.342.600.590.54
1.360.801.561.400.910.041.961.440.690.252.551.931.110.612.391.831.440.610.941.140.740.170.700.200.170.14-0.41-0.46-0.51-0.570.030.190.07-0.16-0.48-0.39-0.47-0.35-1.96-1.66-1.32-0.580.77-1.41-1.15-0.28-0.830.05-0.050.082.132.000.970.551.791.700.060.412.482.000.250.37