Primoris Services Financial Ratios for Analysis 2009-2024 | PRIM

Fifteen years of historical annual and quarterly financial ratios and margins for Primoris Services (PRIM).

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
1.411.501.561.461.361.491.631.621.651.591.531.341.331.121.17
0.420.490.380.270.320.330.260.290.310.310.330.280.200.260.35
0.781.030.670.440.560.610.460.520.570.540.570.470.370.490.69
10.2810.3411.9110.6010.6511.0811.7010.0811.4011.3113.1712.5012.6813.0416.18
4.434.424.864.704.544.444.472.893.514.986.446.256.786.148.65
4.434.424.864.704.544.444.472.893.514.986.446.256.786.148.65
6.306.667.887.067.287.137.276.436.917.789.058.569.108.9210.51
3.113.604.344.173.803.864.422.453.174.916.155.976.625.9110.30
2.213.013.313.012.652.643.041.341.913.033.583.684.013.575.55
1.491.251.381.771.701.841.901.711.701.901.851.662.001.340.98
-------36.5025.2231.8432.5736.2739.9331.9917.57
8.346.677.428.077.677.898.165.156.026.186.385.757.794.524.30
43.7754.7549.2245.2147.5846.2844.7270.9260.6559.0357.2563.4746.8480.6784.79
10.2112.0011.6914.6913.3614.4313.675.567.6814.0318.7417.5221.3016.1420.67
83.61-1,077.0248.8223.9324.4027.4021.118.1911.5121.6031.8435.5939.3745.7960.06
3.303.754.555.334.595.496.122.373.285.807.116.268.044.776.22
5.956.127.3110.679.099.6010.173.955.289.6712.6212.5417.1111.9513.41
23.1620.8718.6114.8612.9411.9710.939.679.368.807.736.475.384.224.40
3.661.551.506.442.332.453.651.200.930.701.511.910.771.750.82
2.940.56-0.095.561.040.552.280.27-0.17-0.89-0.031.360.271.310.67

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
1.411.381.411.461.451.481.501.531.481.441.561.481.441.391.461.431.381.341.361.391.421.411.491.431.551.581.631.491.451.611.621.681.631.651.651.581.571.631.591.531.541.561.531.521.381.361.341.271.291.331.331.211.161.151.121.181.271.241.171.431.421.37
0.390.410.420.460.470.480.490.510.380.380.380.380.390.400.270.290.320.320.320.320.360.330.330.340.380.240.260.260.260.280.290.300.290.300.310.300.300.310.310.310.310.310.330.340.290.290.280.160.180.170.200.160.180.210.260.260.340.320.350.230.270.31
0.720.760.780.920.971.001.031.130.680.670.670.690.700.730.440.480.550.560.560.560.660.610.610.620.730.430.460.470.460.510.520.550.510.540.570.540.510.540.540.530.520.520.570.590.490.480.470.260.290.270.370.300.330.380.490.540.660.610.690.380.490.58
11.949.4410.3311.3711.137.9311.5412.069.007.2010.8613.9512.829.8010.8913.1211.126.4311.3312.5310.197.9311.7611.7211.018.8411.8311.5813.399.8011.409.879.489.1212.8212.899.629.6810.1812.3111.8810.5813.9313.6913.3811.2411.4013.0413.0412.8913.6813.8811.7611.3013.1412.1013.1113.9917.2118.9017.3411.74
5.503.134.945.785.011.514.585.186.580.094.217.156.221.574.957.065.460.465.186.774.031.446.065.623.121.174.274.586.102.714.812.252.361.544.525.951.641.083.376.415.434.267.587.076.294.265.847.016.115.946.778.535.955.786.805.775.326.306.6812.0910.535.74
5.503.134.945.785.011.514.585.186.580.094.217.156.221.574.957.065.460.465.186.774.031.446.065.623.121.174.274.586.102.714.812.252.361.544.525.951.641.083.376.415.434.267.587.076.294.265.847.016.115.946.778.535.955.786.805.775.326.306.6812.0910.535.74
--------------------------------------------------------------
4.461.893.504.433.890.143.424.126.19-0.293.736.655.661.014.756.575.11-0.714.905.823.180.565.195.012.760.884.085.275.792.324.431.741.891.104.325.551.250.693.056.935.173.907.476.765.823.965.596.705.695.865.588.556.735.606.165.745.556.099.4412.9911.687.46
3.171.342.483.152.760.103.123.354.90-0.213.344.824.120.713.554.663.63-0.503.414.122.250.293.693.601.810.143.893.393.411.372.400.891.110.632.533.420.750.431.834.473.112.304.183.963.502.383.544.063.483.603.345.154.113.413.683.293.493.833.197.457.174.57
0.390.360.400.400.380.360.380.370.380.300.350.350.350.330.460.470.460.410.430.460.430.390.550.560.400.420.460.480.530.490.510.450.420.390.440.480.450.360.440.540.490.470.510.540.480.450.520.530.460.420.510.550.520.550.470.430.410.370.250.440.490.51
---------------------------13.5812.9211.2210.848.286.695.816.397.416.705.857.549.237.427.168.9310.9110.059.6011.4610.068.417.6910.099.9710.8114.3411.318.958.866.104.36--17.78
1.761.742.211.801.731.682.001.871.711.741.881.651.841.712.081.911.941.781.951.571.671.662.351.921.731.931.991.701.781.521.551.731.441.261.551.441.521.311.451.581.661.631.761.941.771.641.791.641.931.861.992.382.272.451.601.551.671.491.081.301.251.47
51.1251.7340.7050.1152.1153.4544.9048.2152.5451.6847.9954.6548.9052.6843.3747.2146.4750.4246.1457.3853.8854.1238.2246.8452.1346.5845.3252.8050.6559.2758.0252.0162.6771.3258.0462.5059.2868.5262.2757.0054.3755.3651.0346.4450.7854.8050.1854.8446.7048.3745.2037.8539.6736.7456.2258.2154.0160.4983.2969.0671.8561.35
3.811.523.054.023.400.123.744.034.86-0.172.984.513.880.654.456.435.11-0.614.375.482.870.485.665.872.460.754.234.094.301.702.960.971.080.602.634.030.810.371.996.133.782.756.416.144.442.925.395.683.963.674.547.335.885.235.884.224.434.364.7211.6112.699.34
22.0911.1824.9645.2572.36-22.18-336.02-189.9118.92-0.7112.4619.9820.444.457.2510.849.04-1.127.989.785.400.9010.7611.664.961.146.546.487.012.484.361.411.610.903.946.141.260.583.069.596.094.5510.9011.008.355.7610.959.987.257.058.3814.1512.3911.9416.698.4510.0610.7213.7112.0613.259.81
1.220.480.981.271.050.041.171.251.85-0.061.161.701.460.231.622.201.69-0.201.501.920.980.172.162.150.880.351.901.751.870.741.260.430.490.261.121.650.340.150.822.411.521.122.432.281.721.111.932.221.611.511.712.862.121.881.741.421.411.401.423.583.562.30
2.310.901.782.181.790.061.911.973.00-0.111.862.772.370.393.234.553.49-0.412.973.731.840.323.773.871.520.563.153.023.181.222.100.670.770.421.812.810.570.251.374.242.621.904.324.083.142.073.864.753.253.053.646.174.824.154.353.142.932.953.068.949.246.46
24.2123.3023.1622.4321.5620.8220.8720.1119.4118.5318.6118.1717.4316.7814.8614.2113.3712.7512.9412.8312.1812.0111.9711.5711.2010.9710.9310.5210.149.759.679.499.449.389.369.168.848.828.808.668.207.937.737.326.956.676.476.155.835.605.385.174.824.604.223.833.614.274.402.312.091.85
-0.23-0.523.66-0.13-1.49-2.141.55-1.90-1.690.121.500.290.110.166.443.941.25-0.112.33-0.78-1.88-1.412.45-0.25-0.010.073.653.122.250.951.200.970.11-0.690.93-0.32-0.330.040.70-0.04-0.05-0.421.510.40-0.23-0.141.910.370.770.780.770.491.020.601.750.220.11-0.020.820.660.110.21
0.49-0.452.94-0.77-1.84-2.260.56-2.95-2.71-0.42-0.09-0.79-0.85-0.185.563.191.05-0.161.04-1.84-2.58-1.600.55-1.62-0.79-0.232.282.151.480.610.270.12-0.59-0.86-0.17-1.22-0.95-0.23-0.89-1.21-0.74-0.68-0.03-0.80-1.15-0.501.360.060.660.750.270.210.820.531.31-0.12-0.15-0.050.670.540.070.21