PYXUS INTERNATIONAL, INC Financial Ratios for Analysis 2009-2024 | PYX

Fifteen years of historical annual and quarterly financial ratios and margins for PYXUS INTERNATIONAL, INC (PYX).

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
2024202320222021202020192018201720162015201420132012201120102009
1.451.711.631.871.561.912.122.122.212.102.582.362.282.802.351.99
0.770.810.760.681.090.820.760.820.770.790.780.710.710.740.670.66
6.937.065.883.64-19.526.914.766.915.055.524.503.493.643.532.482.82
15.3713.6313.8512.1214.7113.9213.3412.6611.8611.789.6012.8213.3713.2217.1815.98
6.754.902.54-4.51-0.764.846.065.0910.594.714.487.247.206.359.709.05
6.754.902.54-4.51-0.764.846.065.0910.594.714.487.247.206.359.709.05
8.126.864.94-1.162.437.488.567.8712.686.576.409.439.398.3111.5310.57
0.76-1.18-4.84-9.43-9.46-2.38-0.87-2.314.81-0.43-2.622.372.521.573.214.84
0.13-2.04-5.01-8.83-17.33-3.912.84-3.673.44-1.35-4.351.071.37-3.423.435.87
1.231.210.970.870.870.970.940.870.971.261.351.171.101.161.211.28
1.852.131.891.611.782.322.292.212.122.472.862.162.222.272.322.71
10.599.186.126.386.055.595.796.364.578.2510.907.766.236.009.2710.78
34.4639.7559.6757.1760.3065.2562.9957.4179.7944.2233.5047.0558.5560.8439.3633.86
2.17-26.96-45.24-49.20354-37.0618.35-30.6123.83-14.45-41.387.208.83-22.8320.2440.16
2.82-37.03-60.20-75.41190-82.8528.12-43.9031.52-17.29-48.107.939.91-26.2522.8547.29
0.19-2.42-4.83-8.12-15.33-3.832.64-3.213.33-1.72-5.891.291.50-3.994.187.55
0.49-5.03-10.77-15.52-32.65-6.534.31-5.505.52-3.00-8.952.102.53-6.016.7513.51
5.875.677.2510.16-7.6519.4331.3523.0630.8621.9128.2039.0337.8136.2944.3237.18
-8.60-5.51-7.95-9.06-39.20-27.42-34.051.59-15.24-6.2529.92-0.155.35-20.8510.503.78
-9.27-6.04-8.38-9.99-44.82-32.10-36.220.27-16.92-7.2128.14-3.591.94-28.019.822.91

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.441.451.641.531.591.711.471.701.701.631.641.662.021.871.941.911.101.561.561.601.651.911.791.811.822.122.002.031.962.122.112.001.662.212.041.992.172.102.061.751.882.581.781.651.912.362.732.162.402.282.172.111.912.802.482.011.872.352.412.261.861.99
0.780.770.780.790.820.810.760.810.810.760.730.700.730.680.590.59-0.021.090.910.890.870.820.800.800.760.760.770.830.840.820.820.800.750.770.840.850.840.790.810.780.780.780.720.730.740.710.740.750.770.710.730.740.700.740.650.640.650.670.670.710.670.66
8.046.936.777.768.537.066.977.787.585.885.224.844.353.642.602.59-4.73-19.5216.1213.2910.886.916.786.665.314.765.348.058.216.917.396.605.675.058.539.187.635.526.606.236.064.504.735.484.893.493.894.704.663.644.004.383.863.532.392.973.142.482.853.543.122.82
13.2114.4417.4714.2015.3316.0013.3913.2411.8514.0015.2113.2012.6411.2616.4711.817.4713.8015.1815.7214.3514.4614.2412.4614.2311.6115.3815.5010.3411.0814.3312.9113.049.9414.0013.2311.0410.4014.1610.8713.354.8212.8111.987.4212.4311.8915.0911.6212.0913.3213.8515.5612.7811.6112.4216.3018.3514.9015.8221.4316.45
6.371.679.017.427.634.446.355.342.02-0.457.051.382.46-5.443.55-2.92-16.59-5.412.243.78-2.505.187.503.191.615.098.428.82-0.205.838.504.74-2.0219.087.886.34-1.094.836.244.811.102.467.656.89-2.079.517.058.641.486.428.897.196.572.375.788.229.037.909.1410.0612.478.11
6.371.679.017.427.634.446.355.342.02-0.457.051.382.46-5.443.55-2.92-16.59-5.412.243.78-2.505.187.503.191.615.098.428.82-0.205.838.504.74-2.0219.087.886.34-1.094.836.244.811.102.467.656.89-2.079.517.058.641.486.428.897.196.572.375.788.229.037.909.1410.0612.478.11
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1.34-1.790.712.141.17-2.321.56-0.85-5.56-6.39-1.01-6.46-5.59-29.40-2.9833.44-38.73-12.24-6.50-5.09-14.31-0.291.46-5.47-9.360.091.521.58-11.210.430.67-2.89-13.0415.182.25-0.30-11.001.100.830.30-9.16-1.913.37-5.30-9.074.883.293.67-5.823.193.742.19-0.15-1.831.033.283.803.454.79-0.596.613.85
0.73-2.510.721.300.17-5.06-0.36-0.30-4.26-6.38-7.02-2.46-3.45-31.84-2.1534.99-35.07-32.59-6.05-4.31-22.34-1.69-0.97-13.84-0.26-0.7018.510.23-11.75-0.05-3.40-4.02-12.0713.772.39-5.08-9.750.090.67-1.37-9.51-5.362.03-6.56-9.602.463.053.19-8.592.572.38-0.720.37-19.87-0.383.632.823.357.18-0.223.537.31
0.350.240.330.360.260.260.400.300.190.280.270.240.200.250.220.170.150.290.190.190.140.320.260.200.140.330.230.230.140.310.220.190.140.370.250.210.150.450.240.310.130.350.330.330.170.320.340.260.170.400.240.250.180.290.280.270.220.300.350.340.200.29
0.540.370.560.610.400.440.820.500.310.550.490.430.340.470.410.320.290.600.350.400.290.760.540.360.270.820.450.410.280.800.460.360.240.830.450.370.270.890.450.560.220.790.740.630.310.590.680.480.320.820.400.420.310.570.560.490.390.560.760.640.340.61
2.762.092.172.342.271.952.862.191.801.802.021.531.371.851.811.631.372.001.741.641.211.841.731.621.142.021.771.851.162.261.521.251.161.761.411.160.962.921.691.970.962.852.351.641.222.102.171.481.022.262.051.671.451.492.022.192.882.272.173.461.862.44
32.6343.0341.4738.4139.6746.1031.4941.1850.1449.9144.4958.8565.5848.5249.6355.2465.7745.0351.7454.8774.5049.0252.1155.4979.2444.5350.8048.7377.3539.8159.0672.1877.5751.1763.9777.8494.0830.8153.3245.8094.1431.6038.3154.7873.4942.7941.4060.8788.6439.7743.8653.8262.1260.2244.6541.1031.2239.7041.4826.0248.3436.82
3.23-6.582.655.260.53-14.06-1.44-1.01-8.88-16.73-15.19-4.32-4.70-50.79-2.1727.0154.82222-24.39-14.87-47.61-5.16-2.29-24.04-0.50-1.6832.390.53-18.33-0.25-7.49-6.90-13.0536.716.82-13.55-15.040.361.41-3.79-10.45-13.304.66-17.46-11.964.476.235.72-10.076.023.62-1.220.42-32.92-0.484.773.414.7212.26-0.404.2411.42
4.11-8.553.416.940.72-19.32-1.93-1.38-11.97-22.26-25.10-6.86-7.24-77.86-3.0239.1938.61119226-192.29-246.29-11.54-4.38-45.65-0.82-2.5741.190.78-27.91-0.36-10.80-9.66-17.9448.578.22-16.79-18.330.421.66-4.50-12.31-15.465.33-19.63-13.274.936.886.39-11.386.754.09-1.390.48-37.86-0.535.313.825.3313.92-0.474.9313.45
0.28-0.580.260.450.04-1.26-0.14-0.09-0.80-1.79-1.88-0.60-0.69-8.38-0.486.05-5.18-9.59-1.15-0.84-3.16-0.53-0.25-2.71-0.07-0.244.300.05-1.65-0.03-0.77-0.78-1.645.120.60-1.09-1.420.040.15-0.43-1.21-1.890.66-2.17-1.660.801.050.82-1.441.020.58-0.180.07-5.75-0.110.970.630.982.53-0.070.742.15
0.72-1.500.571.090.10-2.62-0.34-0.19-1.72-3.98-4.07-1.29-1.27-16.02-0.8811.1955.89-20.42-2.26-1.64-6.03-0.91-0.45-4.84-0.12-0.397.410.09-2.98-0.05-1.32-1.38-3.318.511.08-2.01-2.460.070.27-0.84-2.25-2.881.30-4.68-3.141.301.601.43-2.361.730.98-0.320.13-8.67-0.171.721.181.584.00-0.121.423.84
6.125.876.316.005.775.676.236.146.537.257.919.299.8910.1615.1815.56-16.97-7.659.2411.2214.2919.4324.0525.1631.0531.3530.2820.2319.8323.0623.2625.3227.0930.8619.2617.5419.4321.9124.5524.3225.6128.2031.7129.9535.0439.0338.9436.5234.3837.8137.2836.0536.7536.2948.1248.3245.4644.3243.7438.3639.3537.18
-9.90-8.60-8.67-10.22-11.43-5.51-4.42-11.47-9.70-7.95-7.39-9.25-7.44-9.06-8.30-7.96-10.05-39.20-42.25-13.47-18.67-27.42-37.33-46.33-30.25-34.05-47.65-45.53-33.671.59-4.73-15.05-1.78-15.24-38.81-40.41-26.41-6.25-35.70-37.90-39.5729.9217.67-19.39-27.25-0.15-1.58-19.08-21.445.35-4.88-17.06-6.52-20.85-11.05-27.51-15.5310.50-2.88-15.94-17.873.78
-10.10-9.27-9.10-10.47-11.57-6.04-4.73-11.60-9.79-8.38-7.79-9.53-7.59-9.99-9.08-8.32-10.55-44.82-47.86-15.41-20.80-32.10-40.65-48.61-31.12-36.22-49.37-46.82-34.200.27-5.70-15.81-2.20-16.92-40.19-41.45-27.06-7.21-36.21-39.44-40.4428.1416.19-20.68-28.05-3.59-4.03-20.85-22.131.94-7.74-18.88-7.60-28.01-16.77-30.25-16.579.82-3.02-15.89-18.052.91