PubMatic Financial Ratios for Analysis 2018-2024 | PUBM

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

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
202320222021202020192018
1.481.671.731.711.61-
----0.82-
----4.60-
62.8468.2174.3072.3168.2968.53
0.7615.8025.9121.357.475.00
0.7615.8025.9121.357.475.00
17.5329.1636.0831.9318.6017.15
3.9314.6128.5621.238.105.67
3.3311.2024.954.325.834.46
0.380.400.410.400.55-
------
0.710.820.790.680.97-
513447462539377-
3.009.1922.0115.1749.97-
3.4110.4622.5615.7394.29-
1.284.4710.297.173.20-
3.009.1922.0115.178.92-
5.905.924.963.582.31-
1.451.531.571.422.891.10
0.940.670.87-0.411.650.42

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312018-12-31
1.351.441.551.481.561.651.781.671.641.802.021.731.781.882.001.71-----
---------------------
---------------------
64.4762.6061.8871.3959.0360.4256.9369.1066.5369.9067.0277.6372.4273.6471.7979.6472.2465.1464.53--
-1.90-5.92-8.2824.13-0.90-11.26-19.2622.2414.9215.548.4037.0124.1820.4115.2339.4820.612.773.63--
-1.90-5.92-8.2824.13-0.90-11.26-19.2622.2414.9215.548.4037.0124.1820.4115.2339.4820.612.773.63--
---------------------
-0.453.54-4.0527.242.96-8.18-16.6922.637.3215.4611.3344.6624.6619.9215.6938.5620.772.804.60--
-1.272.93-3.6822.112.79-9.04-10.6017.205.1612.408.7637.3723.2919.9811.2833.4716.492.483.19--
0.100.100.110.120.100.110.100.120.110.110.110.140.130.130.130.15-----
---------------------
0.190.190.220.230.220.250.220.240.230.240.250.260.250.250.250.26-----
472470409399412367411381387377360342354354357351-----
-0.350.70-0.856.310.61-1.94-1.924.091.142.751.7910.986.124.912.6710.73-----
-0.400.79-0.977.170.70-2.22-2.184.661.312.821.8311.256.305.072.7711.13-----
-0.130.29-0.392.690.29-0.98-1.021.990.551.370.965.133.082.591.475.07-----
-0.350.70-0.856.310.61-1.94-1.924.091.142.751.7910.986.124.912.6710.73-----
5.455.705.795.905.645.675.865.925.645.485.154.964.344.023.743.58-----
1.130.650.491.450.940.550.241.531.190.700.341.571.070.600.220.850.990.851.090.000.00
0.530.420.330.940.590.310.100.670.550.360.260.870.540.300.17-0.25-0.180.030.80--