Paramount Resources Financial Ratios for Analysis 2011-2024 | PRMRF

Fifteen years of historical annual and quarterly financial ratios and margins for Paramount Resources (PRMRF).

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
2023202220212020201920182017201620152014201320122011
0.711.790.610.530.570.821.063.730.510.230.180.870.74
-0.050.130.290.230.270.22-0.760.470.460.440.34
-0.050.150.400.300.360.29-3.190.890.860.780.52
47.5175.7557.3334.0041.6347.5353.1337.8262.8467.7659.9552.5191.51
29.5947.7931.54-5.08-22.21-78.61-103.3619.00-165.24-25.20-41.38-144.02-124.62
29.5947.7931.54-5.08-22.21-78.61-103.3619.00-165.24-25.20-41.38-144.02-124.62
29.5947.7931.54-5.08-22.21-78.61-103.3619.00-165.24-25.20-41.38-144.02-124.62
37.5439.5530.25-2.063.03-62.069.62535-218.00-22.47-45.81-67.69-121.54
29.4431.0922.22-3.76-10.89-40.6539.63472-215.02-21.57-25.61-33.34-95.98
0.360.500.270.170.230.220.090.120.150.100.090.090.14
-------------
10.259.817.516.046.807.452.7210.338.605.835.875.666.02
35.6037.2248.5860.4653.7049.0313435.3342.4362.6262.1664.4560.67
13.4420.159.09-1.11-4.22-16.317.5071.28-164.260.91-7.83-10.83-28.16
13.4420.159.09-1.11-4.22-16.317.5071.28-165.200.93-7.86-10.87-28.28
10.7115.696.10-0.65-2.49-8.923.6056.60-32.410.39-3.30-4.52-13.44
13.4419.247.92-0.80-3.24-11.985.8371.28-39.210.48-4.22-6.09-18.54
17.9818.3014.9411.5011.7713.3213.9911.674.05----
4.695.492.710.451.481.310.840.320.621.060.470.640.00
2.912.692.13-0.781.33-1.02-1.747.26-2.99-6.49-6.77-6.04-

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-31
0.750.670.710.740.881.031.790.730.400.550.610.480.460.460.530.590.610.530.570.691.320.510.820.401.180.301.060.795.724.683.7310.100.452.220.510.540.810.290.230.240.270.200.180.160.280.350.870.220.430.49-
------0.050.090.070.100.130.180.230.260.290.320.300.280.230.260.310.280.270.240.260.130.220.17---0.160.710.770.760.590.570.520.470.400.490.490.460.430.400.430.440.300.300.28-
------0.050.100.080.110.150.220.300.350.400.460.440.380.300.350.450.380.360.320.340.280.290.21---0.182.503.343.191.471.321.100.890.680.960.960.860.770.670.760.780.430.430.39-
50.3454.1316.6557.2150.7751.5876.2776.2375.8074.4870.5260.9943.7037.7136.7831.8614.0942.8143.3641.6550.3127.2365.8741.6814.3342.1150.2744.4363.2867.7056.8630.2523.7748.7811456.3857.3954.8552.9072.4278.4670.5158.4258.2765.4361.7146.8352.7151.7650.40-
21.2817.4844.6027.1928.0925.6730.1557.2456.6948.4523.91123-31.13-28.80172-29.34-74.18-103.58-18.91-25.20-4.01-48.05-90.45-43.47-131.13-57.12-198.19-57.47-11.2648.22849-82.13-113.32-62.85-653.31-66.33-47.10-52.54-86.752.18-11.61-2.66-31.43-48.97-51.85-43.38-312.09-81.73-72.03-40.44-
21.2817.4844.6027.1928.0925.6730.1557.2456.6948.4523.91123-31.13-28.80172-29.34-74.18-103.58-18.91-25.20-4.01-48.05-90.45-43.47-131.13-57.12-198.19-57.47-11.2648.22849-82.13-113.32-62.85-653.31-66.33-47.10-52.54-86.752.18-11.61-2.66-31.43-48.97-51.85-43.38-312.09-81.73-72.03-40.44-
---------------------------------------------------
23.0420.7152.6626.9125.3347.9254.3945.4148.155.0635.47131-46.35-58.09144-31.60-87.31-63.32-15.5582.01-8.67-57.34-61.65-21.01-137.24-52.84-95.3714297.4648.426572,1602.84-53.55-607.26-176.66-104.31-105.92-145.54-9.5692.37-8.62-4.49-87.43-47.43-47.57-352.79-102.17-84.57268-
18.2915.3045.1020.2519.4836.7743.0736.5336.913.5226.07101-37.32-45.80183-17.63-74.00-115.96-14.5668.85-55.47-48.54-34.36-12.04-101.38-39.32-50.6820765.6031.917091,906-41.08-50.41-656.08-155.18-63.63-87.65-107.14-11.1772.31-10.330.52-69.80-37.250.59-278.02-83.770.04228-
0.100.100.060.100.090.130.140.140.120.120.100.080.050.050.050.040.030.070.060.050.050.040.090.040.030.040.040.020.030.030.010.030.030.030.030.030.030.020.030.030.030.030.020.020.030.030.030.020.020.03-
---------------------------------------------------
2.772.711.592.532.902.942.672.683.302.252.782.041.841.501.691.721.272.871.912.182.181.253.011.891.111.471.300.871.371.601.152.452.032.281.791.871.781.261.541.631.962.111.371.831.531.191.681.361.351.13-
32.4633.1756.7735.5231.0030.6333.6633.5527.2440.0332.3444.0348.8360.0253.2252.2670.6231.3347.1741.3041.3771.9129.8847.5381.2261.3669.4910365.6556.3678.0536.7944.3639.4350.1948.1350.4671.4058.4355.3645.9742.6865.9149.2658.8575.4353.5866.1866.9179.68-
2.311.923.182.522.215.927.617.256.300.603.9512.14-3.62-4.0515.15-1.37-4.39-13.70-1.586.81-5.94-3.55-5.58-1.08-6.07-3.47-4.578.772.651.2511.9566.51-6.13-9.03-104.47-15.00-4.67-5.52-6.96-0.604.39-0.840.03-3.78-2.19-3.19-17.99-3.60-3.3013.31-
2.311.923.182.522.215.927.617.256.300.603.9512.14-3.62-4.0515.15-1.37-4.39-13.70-1.586.81-5.94-3.55-5.58-1.08-6.07-3.47-4.578.772.651.2511.9566.51-6.17-9.09-105.07-15.33-4.76-5.63-7.09-0.614.48-0.840.03-3.79-2.20-3.20-18.05-3.61-3.3213.36-
1.841.532.542.031.814.795.935.214.470.412.657.54-2.03-2.308.83-0.77-2.47-7.81-0.933.74-3.00-1.87-3.05-0.48-2.67-1.63-2.204.452.211.039.4948.32-1.42-1.69-20.61-5.10-1.71-2.14-2.94-0.291.85-0.340.01-1.64-1.04-1.33-7.52-1.82-1.746.92-
2.311.923.182.522.215.927.276.595.840.543.449.98-2.79-3.0010.83-0.93-3.06-9.93-1.215.05-4.11-2.57-4.10-0.82-4.52-3.01-3.557.282.651.2511.9556.19-1.75-2.08-24.93-6.08-2.02-2.63-3.67-0.362.24-0.430.01-2.14-1.32-1.81-10.13-2.52-2.319.59-
18.2618.1417.9818.0117.4117.2818.3016.6116.0315.5214.9414.3812.5512.1111.509.579.299.6011.7712.0711.6512.4813.3212.6913.0013.8713.9915.0711.9611.8211.6711.17-------------------
2.061.004.693.272.221.365.493.872.620.952.711.621.180.480.450.160.090.171.481.080.780.511.311.230.800.510.840.580.230.040.320.370.310.430.620.530.290.111.030.740.430.370.450.520.330.260.620.000.290.000.00
0.460.202.912.512.460.442.691.621.300.592.131.360.800.61-0.78-0.73-0.49-0.181.331.06-0.38-0.09-1.02-0.35-1.00-0.25-1.74-1.05-0.54-1.007.267.12-0.240.20-2.98-2.46-2.15-1.60-6.28-5.25-2.45-1.42-6.54-4.61-2.77-1.72-5.83--2.08--