Quanta Services Financial Ratios for Analysis 2009-2024 | PWR

Fifteen years of historical annual and quarterly financial ratios and margins for Quanta Services (PWR).

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
1.471.631.501.681.691.841.921.901.892.262.222.502.263.193.19
0.370.410.420.210.240.220.150.100.130.020.00---0.04
0.670.690.730.270.340.310.180.110.160.020.000.000.000.000.04
14.0714.8115.0514.8313.2113.2513.1213.2512.2015.0915.3915.8413.3916.2417.89
5.405.115.115.464.584.844.004.193.145.547.427.864.656.727.30
5.405.115.115.464.584.844.004.193.145.547.427.864.656.727.30
8.348.888.358.206.917.056.306.855.767.829.7010.377.7110.2210.69
4.644.124.805.104.724.103.744.023.025.519.187.854.616.457.04
3.572.883.743.983.322.633.332.594.113.836.275.183.164.224.89
1.291.271.011.331.451.581.461.431.451.241.111.150.890.840.81
10214113018918989.9610274.9688.3116917013058.1058.7481.45
4.734.653.824.124.414.744.775.104.674.304.464.464.374.744.82
77.1078.5595.6288.4982.8176.9476.5471.5678.1484.8681.9381.8883.5477.0775.71
11.959.489.6110.3910.048.218.386.004.256.359.238.113.854.315.26
85.79145-230.8225.2225.1520.7719.1312.919.8610.7117.3814.917.599.0011.08
4.623.803.835.384.884.184.913.742.524.606.765.952.783.343.97
7.555.635.568.187.616.377.125.423.686.259.238.113.854.315.05
43.1837.7735.8731.4528.4825.4624.6722.1019.3320.7519.6017.6916.1215.6214.81
10.597.644.017.683.572.332.372.483.221.131.720.780.961.031.87
8.135.181.696.142.010.630.961.272.280.070.76-0.140.240.461.10

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.231.301.361.471.611.681.631.631.601.561.511.502.411.751.721.681.691.741.781.691.821.972.001.841.861.821.911.921.852.041.961.901.931.861.821.891.761.962.122.262.252.322.252.222.222.722.632.502.312.332.322.262.422.933.243.193.213.393.743.193.603.223.31
0.370.310.330.370.400.420.430.410.430.430.430.420.390.230.240.210.220.250.300.240.320.290.270.220.200.190.190.150.170.120.110.100.130.110.110.130.100.050.030.020.020.000.000.00----0.030.01--------0.040.040.040.040.04
0.660.540.580.670.660.740.750.690.750.760.750.730.640.300.310.270.290.350.440.340.480.420.370.310.260.230.240.180.200.140.120.110.150.130.130.160.110.050.030.020.020.000.000.000.00--0.000.030.010.000.000.000.000.000.000.000.000.040.040.040.050.05
15.5914.5012.3913.7015.0714.3412.9415.1115.4514.7613.8215.2415.9414.9213.7916.0016.8014.1812.0214.2414.1211.2512.9713.4914.2612.5512.4513.0313.4413.7312.2214.6314.8211.1711.8611.7412.1312.1512.7814.7815.7014.3715.4413.7316.6016.3715.0317.1416.4515.3614.0013.1215.5715.248.3514.2115.7517.9317.2619.3818.9116.9415.86
6.645.493.095.587.125.532.845.876.434.922.963.577.405.394.216.038.024.512.924.746.252.774.264.806.454.633.112.165.384.993.455.616.371.982.180.194.173.684.524.326.126.575.135.778.587.957.529.618.307.095.936.477.515.71-3.175.267.847.455.657.359.117.375.23
6.645.493.095.587.125.532.845.876.434.922.963.577.405.394.216.038.024.512.924.746.252.774.264.806.454.633.112.165.384.993.455.616.371.982.180.194.173.684.524.326.126.575.135.778.587.957.529.618.307.095.936.477.515.71-3.175.267.847.455.657.359.117.375.23
---------------------------------------------------------------
5.874.772.935.006.254.672.115.565.143.252.313.087.075.333.895.907.754.302.094.695.722.455.874.145.633.922.341.855.074.753.265.426.271.752.000.034.033.584.464.276.086.485.2012.418.577.937.499.608.337.035.936.437.435.73-3.175.287.896.445.377.068.877.125.00
4.523.362.353.654.853.292.153.683.502.082.132.675.203.903.325.845.392.951.403.804.060.964.291.834.172.801.564.583.422.902.224.163.610.921.20-0.2711.162.462.873.334.414.413.099.775.654.764.555.926.294.733.446.124.163.15-2.074.185.213.793.174.468.124.112.89
0.340.350.320.360.370.340.320.330.340.320.300.310.310.340.320.350.360.310.340.370.380.350.370.440.420.390.360.380.390.380.390.390.370.340.320.360.360.310.300.320.340.310.300.290.300.280.310.330.290.280.280.230.280.240.200.190.290.220.180.240.210.230.21
19.8720.3419.6528.4229.1327.6324.2236.3138.4337.4636.2539.2845.4941.0645.6948.4763.1044.5648.2947.9142.9536.8430.1224.9927.0427.0622.3926.6526.1420.1621.2520.2719.5221.2420.7922.2726.3429.4735.4343.8045.9038.6041.8646.1838.5530.1835.7736.2422.8920.3515.8115.0514.2713.7714.6613.3421.8817.5618.6623.7519.8424.1624.10
1.261.261.231.311.301.241.221.201.231.201.181.151.121.171.011.071.101.061.071.131.051.081.091.321.301.261.161.251.321.361.371.401.301.291.151.171.141.151.131.111.151.161.171.191.151.151.241.261.061.221.191.131.241.241.111.051.531.301.111.431.181.121.08
71.3871.2873.2468.6369.3772.6574.0674.8873.4274.8376.1878.0080.5877.1288.7883.9481.9685.1284.4479.4585.5883.4382.7468.1069.0971.4377.7672.0868.3066.0265.6764.2068.9769.5278.4276.8278.9078.2079.4381.0378.5677.8476.6975.9078.4978.3172.8671.4384.6673.9375.4779.7672.6072.3981.3285.7258.7769.4680.9062.8676.4580.0883.34
4.222.921.983.404.562.911.763.233.011.871.652.083.792.652.083.953.941.911.092.973.510.753.251.603.272.021.063.052.411.831.432.672.240.520.66-0.081.430.841.221.282.081.771.363.342.451.922.012.792.401.751.441.681.681.04-0.490.711.971.050.771.432.261.230.80
-187.0821.8018.6824.4137.3039.7164.9649.27151-415.20-62.25-49.878.366.104.969.5910.094.942.987.449.291.807.954.057.674.872.626.955.923.773.015.755.011.191.53-0.183.311.492.452.153.923.322.596.284.513.423.635.144.893.713.103.313.662.21-1.021.493.902.151.603.014.862.711.80
1.581.200.811.321.801.130.691.291.180.740.650.831.641.361.072.051.970.920.501.441.550.351.580.821.741.100.581.781.351.120.871.671.340.320.39-0.050.850.580.850.921.501.321.012.441.791.441.492.051.681.271.051.211.250.80-0.380.551.540.840.601.081.760.930.61
2.662.011.322.152.751.681.011.921.721.070.951.202.322.041.593.113.061.430.772.252.400.542.391.242.611.650.852.592.001.611.272.421.960.460.58-0.071.290.801.181.262.041.771.363.332.451.922.012.792.321.731.441.681.681.04-0.490.711.971.050.741.372.171.180.76
48.0344.9443.5043.1841.2739.4638.0437.7736.3835.9235.7735.8733.3132.2531.4131.4529.9328.4527.5728.4827.4726.5626.2125.4625.7124.6924.3024.6724.0423.0222.3522.1021.6721.2019.7819.3319.6220.4420.3520.7521.1320.7420.2219.6019.1418.5618.2917.6917.5416.9516.6516.1216.0615.9315.8715.6215.3515.0114.8814.8114.2613.7813.62
9.094.201.5910.593.851.110.267.643.711.380.574.012.302.180.877.685.825.051.553.57-0.68-1.30-0.572.331.441.180.172.371.100.01-0.022.481.321.751.263.222.091.340.831.13-0.03-0.26-0.281.721.140.760.210.78-0.040.16-0.350.960.440.24-0.021.03-0.100.160.021.871.360.860.56
6.062.571.218.131.66-0.13-0.215.181.42-0.02-0.111.690.931.210.346.144.794.331.122.01-1.92-2.13-0.960.630.110.30-0.220.960.14-0.59-0.301.270.501.121.002.281.290.820.570.07-0.84-0.78-0.590.760.190.02-0.06-0.14-0.69-0.17-0.500.24-0.15-0.15-0.180.46-0.54-0.17-0.191.100.790.450.36