QuinStreet Financial Ratios for Analysis 2009-2024 | QNST

Fifteen years of historical annual and quarterly financial ratios and margins for QuinStreet (QNST).

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
1.341.681.671.782.161.712.021.901.692.422.672.672.473.353.441.34
---------0.100.290.220.210.210.210.38
--------0.120.110.530.330.320.300.320.78
7.548.369.2312.1910.7013.5414.4510.138.9810.6814.3817.5423.4827.5528.1030.30
-4.57-3.59-0.812.411.272.363.87-3.56-6.34-6.80-38.22-29.117.6912.1811.7113.33
-4.57-3.59-0.812.411.272.363.87-3.56-6.34-6.80-38.22-29.117.6912.1811.7113.33
-0.67-0.292.105.213.614.335.790.24-1.27-0.11-28.98-18.5216.1018.9517.3219.46
-4.95-3.68-0.995.073.812.364.08-4.43-6.48-7.18-39.00-30.806.5111.1911.0111.97
-5.11-11.86-0.904.073.6913.733.94-4.07-6.52-7.09-51.82-22.083.516.753.826.63
1.661.721.391.291.371.401.841.721.541.381.020.710.730.770.771.22
----------------
5.498.577.156.587.616.025.906.806.306.106.737.957.018.366.517.83
66.5142.5951.0655.4847.9960.6561.8353.6457.8959.8254.2345.9352.0543.6856.1046.63
-14.45-29.97-1.847.987.0728.0410.74-10.34-15.57-14.76-100.86-24.163.847.667.1023.60
-58.28-98.44-4.5619.9412.3159.4120.56-21.10-33.17-33.11-251.30-86.4356.8635.0324.42-25.57
-8.50-20.43-1.255.245.0519.257.23-7.00-10.06-9.75-52.88-15.682.565.184.748.11
-14.45-29.97-1.847.987.0728.0410.74-10.34-15.57-13.29-71.52-18.923.026.035.5914.70
3.914.245.365.494.904.413.082.602.743.043.306.507.837.506.435.50
0.220.220.530.920.890.720.540.410.020.140.421.180.991.591.352.18
0.120.160.480.880.860.680.530.38-0.020.140.311.150.941.481.262.09

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
1.311.341.351.511.591.681.571.621.621.671.861.911.841.781.741.851.772.161.971.831.731.711.871.912.142.021.771.751.961.901.911.901.751.692.092.342.462.422.422.562.702.672.682.852.712.672.772.822.812.472.653.052.973.353.072.893.003.443.56----
----------------------------------0.110.110.100.100.250.260.280.290.210.220.210.220.230.240.210.210.220.210.200.210.230.240.210.210.23----
--------------------------------0.120.120.120.120.120.110.470.500.520.530.340.360.320.330.350.360.310.320.310.320.280.300.330.360.300.320.37----
10.178.798.495.596.178.139.876.378.608.039.357.8011.3412.2913.3210.7712.2310.1011.2310.8210.6011.9215.3812.6614.2315.0115.2214.0113.1313.4012.466.037.679.3210.207.108.9411.1513.489.448.3510.3614.2515.1617.3719.6619.1813.9917.0921.7722.3024.4425.1726.5627.0427.5928.9429.0127.0026.5129.92-32.99
-0.43-0.73-3.16-9.29-7.99-4.10-0.82-6.84-3.41-1.480.70-6.032.473.294.09-0.172.10-0.673.121.101.332.86-0.802.744.715.415.581.911.551.950.53-11.78-6.73-4.47-3.91-9.77-8.03-5.16-3.56-8.07-10.78-151.43-3.87-4.26-0.103.172.77-131.471.184.456.509.3810.0311.3311.2111.6614.4513.1411.177.1115.24-18.71
-0.43-0.73-3.16-9.29-7.99-4.10-0.82-6.84-3.41-1.480.70-6.032.473.294.09-0.172.10-0.673.121.101.332.86-0.802.744.715.415.581.911.551.950.53-11.78-6.73-4.47-3.91-9.77-8.03-5.16-3.56-8.07-10.78-151.43-3.87-4.26-0.103.172.77-131.471.184.456.509.3810.0311.3311.2111.6614.4513.1411.177.1115.24-18.71
---------------------------------------------------------------
-0.51-0.84-4.51-9.21-7.92-4.05-0.90-7.00-3.58-1.670.55-6.242.303.043.87-0.3613.851.6011.170.981.012.80-0.822.824.715.306.112.231.64-1.300.72-11.96-6.73-4.65-3.93-9.88-8.29-7.15-4.50-8.25-9.09-150.45-5.10-5.74-1.431.760.46-133.32-0.023.235.348.098.9710.0910.2910.5713.7213.509.686.1914.45-17.49
-0.49-1.09-4.18-9.42-8.53-42.89-0.28-5.95-3.15-3.371.48-4.491.942.233.290.3510.541.2810.821.310.892.800.8150.754.694.866.042.231.65-1.680.73-11.96-4.86-4.21-4.02-9.94-8.79-7.09-4.27-8.21-9.09-146.20-3.72-66.56-1.22-2.09-2.74-88.49-0.170.233.094.905.436.855.897.107.247.054.090.812.81-3.08
0.700.540.480.380.390.390.420.340.350.350.350.290.360.340.350.330.330.330.360.350.370.380.390.360.510.510.570.480.490.470.470.400.390.410.410.340.370.350.290.260.260.240.190.180.180.180.180.170.160.170.180.170.190.180.210.200.230.200.21----
---------------------------------------------------------------
1.611.771.691.641.831.921.641.881.901.801.941.951.811.721.861.892.011.811.751.701.701.611.721.651.721.631.711.801.791.851.841.601.661.681.641.601.581.531.681.621.681.611.711.891.911.971.761.741.751.621.861.791.781.952.041.861.671.721.92----
56.0550.7353.1954.8249.1646.7955.0447.9547.3150.0246.4646.0849.8652.3448.4147.5344.6749.6151.3253.0553.0455.8152.2654.5752.3655.2752.7150.1150.3448.6448.9856.4054.2953.7254.8456.1757.0258.6953.7155.4853.4755.9352.6047.7247.1545.6451.1151.6751.4155.4848.4050.2650.6646.1244.0448.3553.8052.3146.93----
-0.62-1.00-3.28-5.37-4.75-24.32-0.17-2.85-1.59-1.730.74-1.881.031.141.750.175.370.595.590.660.501.530.4425.013.463.655.321.571.19-1.160.49-6.73-2.89-2.67-2.60-5.10-4.87-3.71-2.33-3.94-4.43-68.04-1.11-18.33-0.33-0.57-0.78-23.04-0.040.060.831.241.501.811.862.122.472.211.87----
-2.31-4.03-14.38-19.08-16.24-79.89-0.39-6.97-3.92-4.291.71-4.512.462.854.660.4114.871.0210.101.291.013.250.7946.026.396.9911.483.732.33-2.361.02-14.59-6.04-5.69-5.68-11.51-10.97-8.32-5.27-9.27-10.69-169.52-5.05-91.29-1.11-2.03-3.07-100.13-0.500.889.948.168.458.3010.9718.1311.257.615.92----
-0.34-0.59-2.02-3.60-3.29-16.58-0.12-2.04-1.11-1.180.51-1.320.700.751.140.113.520.423.860.460.331.050.3218.362.372.463.441.070.81-0.780.34-4.73-1.89-1.73-1.64-3.41-3.23-2.45-1.24-2.10-2.37-35.67-0.71-11.80-0.22-0.37-0.50-14.86-0.030.040.560.841.031.231.231.391.661.481.21----
-0.62-1.00-3.28-5.37-4.75-24.32-0.17-2.85-1.59-1.730.74-1.881.031.141.750.175.370.595.590.660.501.530.4425.013.463.655.321.571.19-1.160.49-6.73-2.89-2.67-2.32-4.56-4.37-3.34-1.76-2.90-3.20-48.24-0.88-14.22-0.27-0.44-0.60-17.61-0.030.050.650.971.211.431.441.621.961.741.44----
3.923.913.973.924.074.245.265.205.295.365.515.485.535.495.385.255.184.904.804.534.464.414.284.243.113.082.852.702.652.602.602.562.702.742.772.802.903.043.103.123.203.305.505.526.496.506.466.447.857.837.827.807.697.507.277.026.706.436.15----
-0.250.22-0.08-0.16-0.090.22-0.110.060.110.530.380.360.100.920.650.420.320.890.650.360.180.720.550.430.200.540.300.190.050.410.180.050.030.020.02-0.110.070.140.110.01-0.080.420.300.240.091.180.720.510.240.990.930.520.221.591.160.600.191.350.880.950.770.001.74
-0.250.12-0.16-0.21-0.120.16-0.150.030.100.480.340.350.100.880.630.400.320.860.620.350.170.680.530.420.190.530.290.190.050.380.160.030.02-0.02-0.02-0.130.060.140.120.03-0.070.310.190.140.061.150.690.490.240.940.880.490.201.481.070.540.171.260.820.890.74-1.65