Financial Ratios for Analysis 2009-2024 | PRFT

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

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
4.151.981.791.762.512.382.112.662.472.392.512.833.192.664.32
0.430.490.470.320.250.250.130.080.140.150.070.01---
0.750.960.890.470.330.340.150.090.160.180.070.01---
36.6338.9338.4037.8037.3735.8333.2831.0632.7732.7032.9731.6130.9229.2025.69
15.1715.9413.929.039.787.215.976.617.448.538.497.977.065.351.35
15.1715.9413.929.039.787.215.976.617.448.538.497.977.065.351.35
18.7119.8619.2914.7714.2511.6010.0710.4011.3112.5111.5011.0610.157.584.41
15.0615.578.216.598.486.505.596.266.938.228.447.947.105.471.60
10.9111.536.844.936.564.933.834.204.865.075.744.924.103.010.78
0.850.910.860.780.880.870.971.071.001.071.151.221.171.041.02
---------------
5.064.474.294.604.384.074.334.703.934.014.734.704.314.434.92
72.0781.5885.1879.3683.3389.6884.3977.7392.9591.0577.1377.7384.6982.3574.19
18.6425.4514.287.669.746.945.075.696.607.608.266.875.403.660.87
-81.17-42.79-22.48-30.98495-109.6418552.2688.4210352.9328.7018.9212.202.59
9.2910.485.903.845.804.303.724.484.855.456.586.034.803.120.79
10.6712.977.545.227.345.184.415.235.686.467.706.795.403.660.87
15.5312.0410.7712.2912.0211.1311.0210.6110.149.278.287.606.926.506.22
3.893.212.453.632.422.051.621.811.301.031.471.260.490.660.79
3.752.942.153.422.131.911.491.641.180.811.221.190.390.620.76

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
4.164.184.154.143.432.931.982.162.672.381.792.122.182.141.761.971.642.592.512.692.302.822.382.932.242.722.112.922.573.312.663.402.933.232.473.063.003.072.393.182.543.092.512.952.563.732.833.063.303.693.192.743.034.152.663.113.233.844.325.095.105.12
0.410.420.430.440.450.470.490.510.520.530.470.310.310.320.320.330.250.240.250.250.250.260.250.250.130.130.130.150.160.100.080.070.090.140.140.150.160.170.150.200.200.150.070.060.080.020.010.050.050.03------------
0.700.720.750.790.830.900.961.031.071.140.890.440.460.470.470.490.340.320.330.330.340.350.340.340.150.150.150.180.190.110.090.080.100.160.160.180.180.210.180.250.250.180.070.060.080.030.010.050.060.03------------
36.2434.0036.0835.9536.7537.6839.3840.0738.6037.6438.8538.6738.5337.3738.7038.6737.7135.9638.4238.3236.9035.6837.8736.1134.6534.4932.5534.4333.6632.4930.3730.5630.8032.4832.8133.4232.1832.6032.1833.8032.4332.3833.9935.0032.4930.0431.0032.2732.7130.3230.2531.8032.3628.9628.5130.1030.5727.4326.2124.4026.0526.01
10.507.2914.6814.4315.4816.0316.0614.5917.7515.3814.7214.5314.1711.939.489.938.028.5410.7610.939.437.878.667.476.975.623.708.867.034.385.426.737.436.848.339.595.056.377.7310.609.785.588.8110.698.006.138.478.628.016.637.018.157.445.325.666.465.903.153.24-0.660.122.42
10.507.2914.6814.4315.4816.0316.0614.5917.7515.3814.7214.5314.1711.939.489.938.028.5410.7610.939.437.878.667.476.975.623.708.867.034.385.426.737.436.848.339.595.056.377.7310.609.785.588.8110.698.006.138.478.628.016.637.018.157.445.325.666.465.903.153.24-0.660.122.42
--------------------------------------------------------------
10.847.6714.8914.3315.1915.7815.8014.3217.3214.88-0.5612.5412.349.917.145.416.627.229.469.618.136.567.286.816.515.313.348.516.514.085.196.377.136.347.949.154.555.627.3610.219.465.438.8110.607.866.188.458.527.986.687.098.167.455.405.856.595.963.223.26-0.630.512.96
7.835.3710.5010.1211.4111.5811.3810.1112.4712.222.119.029.008.035.183.924.526.178.126.766.015.255.685.094.804.074.825.682.062.443.094.654.674.375.666.103.693.685.116.255.473.135.667.484.844.855.265.884.404.003.864.944.223.192.344.123.701.771.330.26-0.441.78
0.200.200.210.220.230.240.230.240.240.250.240.240.230.220.210.210.200.230.230.240.230.240.230.230.240.250.270.250.240.250.260.260.270.270.280.270.250.250.300.270.280.260.300.320.310.320.310.320.310.310.310.320.300.280.270.280.290.260.260.240.240.27
--------------------------------------------------------------
1.141.251.231.211.241.261.151.181.131.191.211.171.231.221.221.151.141.151.121.151.161.161.081.131.141.121.191.141.161.271.151.121.141.061.111.081.121.111.101.001.141.131.241.161.101.191.191.121.091.131.161.121.121.151.151.251.291.301.241.211.231.18
79.1571.8372.9674.6472.4871.3578.2876.2879.4575.5274.4477.0373.1873.7973.6878.2278.6678.3680.0578.5777.9077.4183.6779.7179.2880.6475.6578.6277.3971.0678.0480.4179.1684.6181.2283.2980.2780.9181.4890.2678.8379.8872.8477.6182.1275.5575.4280.3582.3579.6377.8180.3280.0178.1078.0472.2769.5569.4872.5574.3172.9576.60
3.062.094.374.505.556.126.455.997.587.901.244.114.023.412.141.601.612.283.092.652.372.012.111.781.561.331.761.920.670.761.031.491.601.522.172.191.231.272.112.432.211.102.122.891.871.721.872.211.631.421.371.791.470.980.741.321.190.500.370.07-0.110.52
-16.07-8.53-19.01-15.08-14.66-12.47-10.85-9.43-12.91-10.77-1.95-25.81-28.85-17.26-8.64-6.18-7.95-50.76157-122.33-38.87-31.50-33.38-37.5062.5428.5364.06106-59.918.959.439.7012.6515.3129.0929.5222.1133.5228.5649.5055324.9813.6113.379.966.647.809.656.755.664.796.934.922.972.463.963.511.521.110.20-0.331.50
1.571.062.182.202.602.732.662.433.003.010.512.212.111.771.070.820.921.411.841.611.411.241.311.151.161.011.291.430.490.600.811.231.271.161.601.640.920.931.511.701.520.811.692.381.491.531.641.881.381.261.221.571.290.880.631.171.050.460.340.06-0.100.48
1.801.212.502.513.033.223.292.963.653.680.662.852.762.321.461.081.201.732.331.981.771.491.581.331.361.161.531.630.560.680.941.391.461.311.871.861.041.051.791.951.770.931.982.711.731.681.842.101.541.381.371.791.470.980.741.321.190.500.370.07-0.110.52
16.5616.0715.5314.7313.9012.8312.0411.3210.7910.1010.7713.2012.8512.4012.2912.0612.7112.2712.0211.7411.3911.0711.1311.1211.2511.0811.0210.9610.7010.6110.6110.7510.5110.2810.149.929.649.499.279.158.858.608.288.127.877.787.607.557.317.126.926.866.706.566.506.446.396.336.226.316.306.25
0.790.873.892.411.771.133.211.950.920.302.451.060.880.043.631.831.16-0.132.421.170.74-0.012.051.270.870.121.620.890.740.391.811.140.840.131.300.770.620.241.030.020.09-0.101.470.810.48-0.021.260.660.310.060.490.06-0.14-0.240.660.530.340.160.790.620.540.15
0.700.853.752.271.671.092.941.740.740.232.150.880.76-0.023.421.671.05-0.192.130.940.62-0.061.911.160.820.091.490.790.660.371.640.990.740.081.180.670.550.220.81-0.14-0.04-0.161.220.620.36-0.101.190.610.280.050.39-0.02-0.20-0.260.620.500.320.160.760.600.530.15