PhoneX Holdings Financial Ratios for Analysis 2009-2025 | PXHI

Fifteen years of historical annual and quarterly financial ratios and margins for PhoneX Holdings (PXHI).

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
20222021202020192018201720162015201420132012201120102009
6.196.317.905.272.011.071.922.362.730.391.380.880.410.94
--0.660.770.940.010.340.27--0.59----
0.00-1.983.3815.141.750.560.36--0.37--2.03--
11.7910.519.059.202.685.566.1513.0871.1892.2590.6849.7064.5963.59
6.634.832.282.38-4.86-9.51-1.95-17.85-85.93-79.21-276.29-106.14-55.49-10.09
6.634.832.282.38-4.86-9.51-1.95-17.85-85.93-79.21-276.29-106.14-55.49-10.09
6.925.493.884.40-2.300.990.58-14.64-63.45-66.65-252.65-87.18-20.24-8.70
6.644.851.702.21-6.90-11.75-3.92-18.55-109.35-79.36-371.28-74.50-51.44-13.98
5.315.501.682.21-6.90-11.75-3.92-9.72-109.35-79.36-379.32-74.50-60.63-13.98
8.777.096.736.897.456.343.711.111.883.260.953.1015.361.92
16.0711.0217.1714.6723.939.2910.013.32---17585.0012.34
53.6263.8723024324944222058.4947.1625.1015.4026411726.76
6.815.711.591.501.460.831.666.247.7414.5423.701.383.1313.64
54.8845.6340.4777.70-1,228.10-257.13-29.21-18.82-283.71640-756.75-245.571,202-34.39
54.8846.7851.89280261-670.10-697.77-488.35-283.70289-1,622.231,9721,026-923.45
46.5239.0111.3315.21-51.41-74.47-14.56-10.82-205.86-258.71-352.06-230.60-792.55-26.88
54.8845.6313.6117.78-76.28-254.68-19.34-13.80-283.701,015-756.582,0231,203-34.39
0.390.300.110.070.010.170.630.710.34-0.140.37-0.56-5.2150.52
0.210.000.090.000.18-0.23-0.02-0.35-0.55-0.39-1.83-7.93-12.55-11.04
0.210.000.080.000.18-0.23-0.03-0.35-0.55-0.40-1.83-7.97-13.32-11.50

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
2023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
6.396.196.159.519.036.3111.209.579.077.907.878.045.855.274.524.532.232.010.780.790.901.072.062.122.131.922.762.563.192.360.901.111.412.732.840.831.720.390.510.450.951.382.140.732.720.880.090.300.400.410.500.690.480.940.580.280.61
-------0.520.560.660.670.690.650.770.750.740.880.940.030.020.020.010.440.430.410.340.330.350.350.27--------0.59-0.36-----------------0.42
--0.00---0.001.061.261.982.012.241.833.383.042.877.5115.144.663.213.401.750.790.760.690.560.510.550.540.36--------0.37-0.26-------2.03-0.09-0.04------0.020.061.62
10.3013.729.7310.8912.2610.3910.4411.0310.156.897.8010.5911.325.737.6314.168.954.646.043.13-4.362.325.404.039.874.848.337.004.038.9419.8020.7332.6942.0688.5290.9485.7792.3691.8692.6992.2090.4790.5791.9588.69442-143.2450.9349.5756.7860.5065.2766.7960.6774.1060.9854.01
5.578.814.855.196.914.084.505.425.340.212.281.594.69-0.69-0.377.332.81-3.50-0.08-3.51-14.11-39.93-1.00-3.251.96-3.57-0.03-0.23-4.49-12.99-10.91-19.68-68.58-55.07-122.27-76.41-127.56-54.20-43.62-92.78-153.97-169.07-335.80-333.44-319.28-1,150.88-830.54-56.64-48.59-49.09-330.22-4.17-14.304.66-14.60-100.85-111.01
5.578.814.855.196.914.084.505.425.340.212.281.594.69-0.69-0.377.332.81-3.50-0.08-3.51-14.11-39.93-1.00-3.251.96-3.57-0.03-0.23-4.49-12.99-10.91-19.68-68.58-55.07-122.27-76.41-127.56-54.20-43.62-92.78-153.97-169.07-335.80-333.44-319.28-1,150.88-830.54-56.64-48.59-49.09-330.22-4.17-14.304.66-14.60-100.85-111.01
---------------------------------------------------------
5.598.844.865.196.914.084.274.796.30-0.391.780.904.130.56-1.076.712.15-4.86-2.81-5.11-16.75-41.52-2.16-4.66-2.70-5.46-1.66-0.13-9.31-13.96-10.90-19.67-68.59-55.04-122.22-76.39-282.94-50.73-50.50-92.39-149.34-145.76-53.76-1,039.85-455.75356-862.40-53.48-45.675.05-342.82-4.11-14.364.83-27.91-115.59-113.39
4.426.903.843.046.916.724.274.796.30-0.481.780.904.130.56-1.076.712.15-4.86-2.81-5.11-16.75-41.52-2.16-4.66-2.70-5.46-1.66-0.13-9.31-1.71-10.90-19.67-68.59-55.04-122.22-76.39-282.94-50.73-50.50-92.39-149.34-169.18-53.76-1,039.85-455.75411-862.40-53.48-47.423.63-414.31-4.11-14.364.83-27.91-115.59-113.39
2.672.792.232.252.461.752.101.992.121.631.961.292.191.761.771.971.841.881.521.740.921.431.160.981.030.851.011.020.930.801.311.320.890.710.290.740.370.890.840.990.550.330.210.130.060.060.540.911.701.611.110.581.231.290.410.100.72
7.335.004.665.055.372.734.563.653.554.264.423.077.263.885.663.634.415.924.543.951.922.163.572.452.262.314.502.862.772.507.4910.179.12-------------23.85-11047.3310.847.5712.398.418.943.623.688.93
16.7317.0622.1220.1820.6015.7822.8840.5037.6455.7472.1923.7111361.9897.6081.5934.5963.0186.6015976.0199.5572.8897.8834.9550.1210993.3070.7442.1721.9019.4915.0217.8211.0615.358.576.848.986.607.085.295.774.585.825.284.172.814.9412.2020.0027.0537.0117.9517.345.568.42
5.385.284.074.464.375.703.932.222.391.611.253.800.801.450.921.102.601.431.040.571.180.901.240.922.581.800.830.961.272.134.114.625.995.058.145.8610.5013.1510.0313.6312.7117.0215.5919.6415.4817.0421.5931.9918.207.384.503.332.435.015.1916.2010.68
13.8822.7010.147.5618.9813.769.8121.7734.40-2.7912.624.4829.515.04-9.0760.4548.27-218.46-40.09-61.13-95.81-204.46-5.92-10.39-6.18-9.26-3.00-0.26-16.82-2.38-32.38-53.11-110.07-53.94-49.72-161.33-174.631111846,348-251.59-101.97-18.52706-41.5423.5082.4453.10119-8.85628-2.80-22.597.96-15.49-14.29-488.86
13.8822.7010.167.6319.3414.1010.1623.8239.28-3.5816.946.8552.1818.15-67.65596-30.6446.3841.59103858-532.8460.60157-761.10-221.27-31.6713.73296-61.79-1,543.10-370.16-309.87-53.94-66.922,919-355.0850.4269.156,189-252.11-218.60-18.54703-42.39-188.6881.9941.7294.81-7.56570-696.201762141561485,230
11.8119.248.586.8217.0311.768.979.5213.36-0.783.501.169.070.99-1.9013.263.94-9.15-4.28-8.90-15.35-59.22-2.52-4.56-2.79-4.62-1.68-0.13-8.67-1.37-14.24-25.94-61.13-39.14-35.57-56.72-105.54-45.08-42.58-91.09-82.13-47.44-11.44-133.53-27.0622.06-466.65-48.60-77.475.84-382.20-2.37-17.646.22-11.57-11.70-81.87
13.8822.7010.147.5618.9813.769.8110.5615.21-0.944.201.3810.451.15-2.2515.645.69-13.57-38.98-59.71-94.20-202.51-3.30-5.92-3.66-6.13-2.00-0.17-10.91-1.75-32.38-53.11-110.06-53.94-49.72-161.30-174.611772516,383-251.55-101.95-18.51706-42.31-193.5382.4553.11120-8.85628-2.80-24.867.96-15.48-14.00-282.49
0.450.390.360.320.300.300.270.210.170.110.110.100.090.070.060.070.030.010.040.060.090.170.520.550.600.630.680.620.620.710.120.130.180.340.470.140.28-0.14-0.090.000.130.370.68-0.366.81-0.56-7.07-5.08-5.27-5.21-8.4345.7740.8850.5255.9959.722.68
0.110.210.170.140.120.000.050.02-0.050.090.060.030.090.000.04-0.02-0.010.180.220.170.08-0.230.08-0.04-0.05-0.020.11-0.05-0.11-0.35-0.17-0.18-0.15-0.55-0.36-0.17-0.14-0.39-0.27-0.26-0.16-1.83-0.93-2.10-2.57-7.93-5.64-6.82-5.97-12.55-6.55-2.200.82-11.04-12.04-13.43-10.76
0.110.210.170.140.120.000.050.02-0.050.080.060.030.090.000.04-0.02-0.010.180.220.170.08-0.230.08-0.04-0.05-0.030.11-0.05-0.11-0.35-0.17-0.18-0.15-0.55-0.36-0.17-0.14-0.40-0.27-0.26-0.16-1.83-0.93-2.23-2.68-7.97-5.64-6.82-5.97-13.32-7.30-2.960.15-11.50-12.12-13.49-10.78