Performance Shipping Financial Ratios for Analysis 2010-2024 | PSHG

Fifteen years of historical annual and quarterly financial ratios and margins for Performance Shipping (PSHG).

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
20232022202120202019201820172016201520142013201220112010
5.212.051.282.634.384.190.280.181.419.316.086.0413.995.20
0.170.420.330.340.23--0.330.420.360.470.28-0.18
0.240.820.570.600.34-0.091.900.780.580.900.38-0.21
75.9361.8413.6643.7743.1534.60-2.64-0.5738.1450.2641.5446.3756.0445.04
54.9440.49-23.1810.17-100.78-15.98-72.22-61.107.1319.5011.0015.8218.82-27.10
54.9440.49-23.1810.17-100.78-15.98-72.22-61.107.1319.5011.0015.8218.82-27.10
68.7453.37-2.3224.97-39.874.05-36.64-21.4328.7038.9331.8638.1943.340.17
63.7248.29-27.698.82-107.01-206.9016.04-448.92-28.195.99-106.1710.5413.45-34.89
52.2515.97-26.6012.34-508.76-206.9016.04-448.92-28.195.90-106.1710.3613.32-34.89
0.370.260.250.270.050.260.100.120.140.130.170.170.130.05
11.909.457.3511.931.6026.3714.6612.9310.3911.6616.089.476.48-
13.168.259.6212.001.5823255.6270.4882.5878.25101263166-
27.7444.2337.9330.412311.576.565.184.424.663.611.392.20-
29.7723.32-11.573.83-7.16-55.342.92-163.97-7.331.26-34.872.501.76-
29.7723.31-11.573.83-7.16-55.342.92-163.97-7.331.26-34.872.501.76-2.37
23.4312.39-6.972.35-5.16-52.851.64-55.91-4.020.79-18.111.771.73-1.90
24.7313.61-7.812.53-5.52-55.342.92-109.17-4.270.81-18.331.811.76-1.95
18.9937.182582862889914,840-25.903.514.697.428.95-
1.915.25-9.3239.94-21.95-5.23-4,438.870.001.913.950.961.160.80-0.04
2.95-12.27-11.62-81.76-133.591,467-2,376.08--10.38-4.05-1.55-4.40-4.30-21.06

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
2024-06-302024-03-312023-12-312023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-12-312013-06-302012-12-312012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-31
5.61--5.21-2.052.801.62-1.28-1.85-2.63---4.38---4.19--0.430.280.07-0.110.180.100.150.101.410.405.07---13.37-7.94--2.4013.9924.6015.708.235.20---
0.150.18-0.17-0.420.320.280.380.33-0.330.370.340.340.350.370.230.15----0.29---0.48-0.33---0.420.170.36---0.48-0.33--0.31---0.300.18---
0.200.22-0.24-0.820.540.470.610.57-0.590.590.600.520.540.590.340.17----0.400.040.090.220.911.441.901.280.601.400.780.690.58---0.91-0.49--0.45---0.430.21---
71.5874.62-80.4077.3774.5070.2550.2121.7218.2016.1812.466.94-7.7940.7253.9545.1734.8041.6522.8746.5250.0636.4530.5024.8524.784.37-17.59-50.04-8.32-9.63-10.1915.7132.7238.8041.8938.50-53.7549.92-30.18-50.2851.9250.2359.2153.6766.98100.00100.00--
47.8250.32-62.9359.2057.1952.8426.95-19.09-18.15-18.41-24.10-33.27-116.114.8632.2315.4643.00-7.06-30.55-4.30-2.60-17.21-19.70-22.43-42.95-54.38-84.58-146.52-77.97-77.11-78.91-30.31-3.958.4414.748.01-23.6118.33--0.04-20.3220.5115.3828.257.4915.40100.00100.00--
47.8250.32-62.9359.2057.1952.8426.95-19.09-18.15-18.41-24.10-33.27-116.114.8632.2315.4643.00-7.06-30.55-4.30-2.60-17.21-19.70-22.43-42.95-54.38-84.58-146.52-77.97-77.11-78.91-30.31-3.958.4414.748.01-23.6118.33--0.04-20.3220.5115.3828.257.4915.40100.00100.00--
-----------------------------------------------------
49.6651.10-58.4653.1585.8448.2423.16-24.28-25.41-23.11-29.03-33.98-88.204.0828.959.59-131.32-289.31-34.44-3.31-6.50-119.62-674.75-49.37-212.47-129.64664-195.84-155.33-1,588.10-100.15-49.01-59.25-56.605.14-3.62-10.995.05--41.20-14.9915.0113.4027.86-15.077.93100.00100.00--
47.4349.05-56.9315.6633.9147.0121.92-133.96-21.26-23.11-29.03-33.98-88.814.0828.9520.70123-289.31-34.44-3.31-6.50-119.62-674.75-49.37-212.47-129.64664-195.84-155.33-1,588.10-100.15-49.01-59.25-56.605.14-3.62-10.995.05--41.20-14.9915.0113.3727.88-15.217.93-0.48-2.11--
0.070.07-0.11-0.090.110.110.060.07-0.060.050.020.060.100.09-0.080.060.040.050.060.050.040.040.030.030.020.010.020.030.020.040.030.040.04---0.04-0.04--0.040.050.050.020.030.03---
9.68--2.80-2.3311.553.69-1.84-2.54-1.61----2.90---4.79---3.52---2.29---2.71-3.14---3.47-4.02--2.132.67-------
5.03--3.80-3.052.872.03-2.54-3.66-0.85----2.50---55.25---18.24---11.56---19.78-21.38---24.05-28.15--11959.98-------
17.91--23.69-29.5331.3844.43-35.38-24.61-106----35.99---1.63---4.94---7.78---4.55-4.21---3.74-3.20--0.761.50-------
4.01--7.89-15.318.423.96--2.81--2.89--2.70---13.89----0.41----12.68----9.31----3.69-0.35---0.39--2.66--0.910.63-------
4.014.68-7.89-15.318.423.96-2.41-2.81--2.89-3.03-2.700.394.691.3713.89-19.03-1.39-0.17-0.41-6.82-43.88-2.93-12.68-6.7628.28-8.36-9.31-127.96-3.55-6.34-3.69-3.670.35---0.39--2.66--0.910.631.30-0.310.30-0.02---
3.283.77-6.21-8.145.242.52-1.42-1.69--1.77-1.83-1.660.252.980.8410.02-15.94-1.36-0.17-0.39-6.51-30.24-1.97-7.14-3.5614.56-2.79-3.17-45.94-1.95-2.16-2.03-2.150.22---0.20--1.76--0.620.621.29-0.310.20-0.02---
3.423.85-6.55-8.945.752.85-1.50-1.89--1.92-1.91-1.780.263.040.8610.71-16.24-1.39-0.17-0.41-6.82-31.36-2.93-12.68-6.7614.82-8.36-6.20-127.96-3.55-6.34-2.15-3.050.22---0.20--1.79--0.630.631.30-0.310.21-0.02---
20.43--18.99-37.1831.32141-258-270-286---288---991---4,840-------25.903.353.48---4.47-5.66--8.898.95-------
0.810.440.001.022.135.251.48-0.60-17.31-9.32-3.97-4.59-4.1439.940.0030.360.00-21.950.000.000.00-5.230.00-9.910.00-4,438.870.00-3,377.910.000.000.000.000.001.910.000.990.000.000.000.320.000.480.000.670.310.000.000.000.300.000.000.000.00
0.810.44-1.012.13-12.27-2.57-2.11-22.51-11.62-4.00-7.18-4.90-81.76--40.05--133.59---1,467-1,326--2,376.08--902.12------10.38--3.75---0.56-0.58--4.55-4.91---0.30----