Qualstar Financial Ratios for Analysis 2009-2025 | QBAK

Fifteen years of historical annual and quarterly financial ratios and margins for Qualstar (QBAK).

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
201920182017201620152015201420132012201120112010201020092009
3.573.903.303.06-3.993.542.585.91-9.039.03-13.96-
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26.2141.2539.9327.54-33.8923.6827.3321.61-36.77-30.417.79-
-0.5212.186.17-12.88--9.99-51.62-82.35-24.09--4.79--22.48-7.09-
-0.5212.186.17-12.88--9.99-51.62-82.35-24.09--4.79--22.48-7.09-
-2.2712.897.62-10.95--8.29-49.95-80.96-23.51--4.08--21.35-6.56-
-0.1912.186.17-12.85--10.14-51.40-81.97-23.95--3.74--20.45-20.45-
-0.0512.156.01-12.85--10.14-51.40-81.97-24.04--3.72--20.45-20.45-
1.341.221.241.30-1.210.860.630.59-0.57--0.46-
3.902.484.095.02-2.892.635.642.99-2.04--2.05-
5.686.765.915.95-5.567.753.345.70-6.09--7.27-
64.2653.9961.8161.36-65.6647.1110964.00-59.93--50.20-
-0.1020.2810.85-25.01--16.54-61.65-70.28-16.397,556-2.33-10.70--8.20-
-0.1020.2810.85-25.01--16.54-61.65-70.28-16.39-21.22-2.33-10.70--8.20-
-0.0714.867.47-16.66--12.24-43.99-51.28-14.25-21.22-2.13-9.77--7.76-
-0.1020.2810.85-25.01--16.54-61.65-70.28-16.397,556-2.33-10.70--8.20-
3.503.612.892.37-3.874.477.2212.27-14.29----
-0.060.080.51-0.060.00-1.16-3.08-3.17-0.750.00-0.710.00-0.86-0.540.00
-0.100.070.49-0.08--1.23-3.23-3.40-0.82--0.76--0.89-0.55-

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
2019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.573.343.263.633.903.843.713.443.303.203.093.023.063.403.353.47-3.513.993.913.563.27-3.243.182.50-2.785.276.02-6.798.197.069.039.709.957.71-8.0913.9611.2614.2713.02
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24.5325.7623.4132.2132.3839.7344.0148.6544.1538.4039.5736.4918.3328.5432.6630.19--1.5134.7532.6931.1836.93--7.7743.8721.04-29.5437.8227.34-25.8223.2637.0734.6332.2839.3740.3032.3229.9833.0826.0925.2134.16
-6.281.00-0.794.760.7212.8414.6720.1021.64-5.372.602.38-18.83-1.99-13.71-19.30--62.88-7.82-16.29100.00-9.70--84.93100.00-115.93--112.36100.00-54.30--13.04-28.470.28-2.36-13.21-8.252.29-16.81-21.41-23.99-28.30-37.70-22.25
-6.281.00-0.794.760.7212.8414.6720.1021.64-5.372.602.38-18.83-1.99-13.71-19.30--62.88-7.82-16.29--9.70--84.93--115.93--112.36--54.30--13.04-28.470.28-2.36-13.21-8.252.29-16.81-21.41-23.99-28.30-37.70-22.25
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-5.931.32-0.324.940.7212.8414.6720.1021.64-5.372.602.38-18.24-1.99-14.18-19.26--62.84-7.82-17.36-6.94-9.70--84.66-7.30-115.34--111.82-49.87-56.36--12.00-27.311.23-1.02-12.10-7.213.19-14.83-19.74-21.96-25.82-33.17-17.33
-5.411.32-0.324.940.5812.8414.6720.1021.10-5.372.602.38-18.24-1.99-14.18-19.26--62.84-7.82-17.36-6.94-9.70--84.66-7.30-115.34--111.82-49.87-56.36--12.00-27.311.23-0.79-12.10-7.213.19-14.41-19.91-22.19-25.85-33.03-17.57
0.340.350.320.280.290.310.330.320.370.360.310.330.310.350.310.27-0.250.300.250.300.26-0.190.210.12-0.130.130.13-0.150.120.140.150.140.130.16-0.120.110.110.100.11
1.021.010.960.700.680.701.080.941.141.571.231.371.341.230.850.68-1.010.720.640.790.69-0.810.710.62-0.800.520.61-0.560.440.470.540.520.420.57-0.550.460.480.490.39
1.451.701.541.641.611.541.661.481.761.901.651.251.411.541.421.61-1.661.401.561.341.84-1.481.301.00-0.861.101.32-1.711.251.151.571.911.462.05-1.461.711.761.641.89
61.8852.9158.5754.9955.9758.3854.2660.6851.0047.4754.3971.8163.8658.4763.3455.84-54.3064.2957.8266.9648.80-60.7069.1590.25-10481.9868.18-52.6471.7578.2657.4647.0561.5843.96-61.6052.5451.1354.9247.66
-2.760.71-0.161.970.235.476.779.0511.38-2.831.191.18-8.41-1.01-6.34-7.35--22.52-3.21-5.98--3.64--22.15--20.66--18.15--8.41--2.00-3.440.20-0.13-1.76-1.000.56-3.04-2.62-2.56-2.90-3.61-1.97
-2.760.71-0.161.970.235.476.779.0511.38-2.831.191.18-8.41-1.01-6.34-7.35--22.52-3.21-5.98--3.64--22.15--20.66--18.15--8.41--2.00-3.440.20-0.13-1.76-1.000.56-7.51-2.62-2.56-2.90-3.61-1.97
-1.850.47-0.101.400.174.004.916.347.83-1.920.800.78-5.60-0.70-4.42-5.19--15.85-2.38-4.40--2.54--15.70--14.21--14.03--7.22--1.80-3.140.18-0.12-1.63-0.920.51--2.40-2.42-2.72-3.40-1.86
-2.760.71-0.161.970.235.476.779.0511.38-2.831.191.18-8.41-1.01-6.34-7.35--22.52-3.21-5.98--3.64--22.15--20.66--18.15--8.41--2.00-3.440.20-0.13-1.76-1.000.56--2.62-2.56-2.90-3.61-1.97
3.503.593.583.623.613.623.423.182.892.562.432.402.372.572.602.76-3.173.873.994.224.33-4.795.865.99-8.9110.5111.32-13.5613.8214.3014.29---------
-0.060.110.080.110.080.050.390.240.510.480.380.03-0.06-0.14-0.21-0.090.00-0.22-0.230.16-0.93-0.220.00-2.90-1.62-0.940.00-1.83-1.39-0.590.00-0.50-0.59-0.44-0.71-0.48-0.690.00-0.91-0.61-0.54-0.17-0.99-0.80
-0.100.070.060.110.070.050.390.240.490.480.380.02-0.08-0.15-0.22-0.11--0.27-0.270.10-0.97-0.24--2.97-1.67-0.98--2.01-1.47-0.62--0.51-0.59-0.44-0.76-0.51-0.71-0.01-0.94-0.64-0.55-0.17-1.02-0.83