Revlon Financial Ratios for Analysis 2009-2024 | REVRQ

Fifteen years of historical annual and quarterly financial ratios and margins for Revlon (REVRQ).

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
0.961.321.241.161.071.231.591.571.661.451.191.551.491.30
0.002.562.501.721.631.411.301.491.541.472.312.472.507.77
-0.28-1.71-1.79-2.62-2.92-3.68-4.38-3.11-2.90-3.24-1.81-1.70-1.68-1.16
57.8059.1554.8156.5156.4457.2260.7165.1265.5763.5364.6464.2965.5463.37
4.034.96-11.882.51-3.32-0.886.6511.2712.1312.6414.2915.3015.1213.18
4.034.96-11.882.51-3.32-0.886.6511.2712.1312.6414.2915.3015.1213.18
11.1413.63-2.3310.254.825.5412.5617.3018.0618.2419.4920.5120.3618.75
-32.43-9.66-24.17-6.82-11.38-6.070.365.786.054.727.516.836.044.38
-34.03-9.95-32.51-6.52-11.47-6.80-0.942.932.11-0.393.663.9624.773.77
0.800.850.750.810.850.880.770.971.000.741.131.161.221.63
1.782.031.862.352.132.312.163.634.273.114.314.343.963.98
5.625.425.415.715.956.065.517.828.125.906.466.366.697.13
65.0067.3967.5363.8761.3960.2766.2946.7044.9261.9056.4657.4254.5551.18
25.3110.2733.2413.5327.8324.052.77-10.09-6.15-4.12-9.43-7.97-46.96-4.69
18.946.9721.676.9213.009.020.88-4.31-2.76-1.72-6.54-6.02-37.20-3.99
-27.07-8.51-24.49-5.54-9.75-6.06-0.563.012.041.224.954.7730.096.11
25.31-16.02-49.80-9.80-17.60-9.84-0.834.963.331.9412.3311.6870.6431.78
-47.19-35.96-33.87-22.27-19.56-14.42-11.62-11.04-12.12-11.37-12.40-13.21-13.24-19.59
-4.44-0.20-1.82-1.29-3.24-2.652.293.013.322.351.991.681.862.12
-4.69-0.47-2.01-1.83-4.32-4.711.162.092.261.811.591.421.571.84

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
2022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.961.001.231.251.321.311.371.391.240.971.020.701.161.130.971.011.071.041.011.101.231.251.361.481.591.611.671.731.571.751.711.751.661.681.591.471.451.501.451.401.191.271.501.561.551.461.451.391.491.271.251.211.301.331.271.35
0.000.00-2.692.562.672.582.502.502.182.082.481.721.731.771.711.631.571.591.481.411.361.341.321.301.271.461.471.491.521.521.561.541.441.441.461.472.022.062.142.312.422.352.402.472.422.382.462.506.887.758.567.775.946.646.60
-0.28-0.30-0.25-1.65-1.71-1.68-1.70-1.72-1.79-2.30-2.34-2.27-2.62-2.67-2.64-2.76-2.92-3.21-3.13-3.41-3.68-4.17-4.13-4.25-4.38-4.93-3.21-3.14-3.11-2.96-2.93-2.80-2.90-3.28-3.29-3.29-3.24-1.99-1.95-1.88-1.81-1.73-1.77-1.74-1.70-1.73-1.76-1.71-1.68-1.18-1.16-1.15-1.16-1.22-1.19-1.18
59.3355.7056.7658.9560.9257.5560.5357.0358.5450.8951.5056.3456.8954.9357.2357.0158.2353.4657.2256.7358.3156.4158.4355.3756.5059.7664.9264.9962.3764.4166.5667.5565.4765.1566.4265.2061.9163.6464.4364.9064.9663.4065.1665.0162.2963.4965.2966.0065.0165.3967.3564.4263.6763.8662.5263.40
12.342.75-6.674.9410.946.542.92-2.854.53-2.03-16.92-41.1010.972.80-1.65-4.214.340.35-9.56-11.002.48-0.810.81-7.243.176.8910.728.1410.5211.6612.5810.3115.1511.4812.579.116.8213.0618.0715.2525.805.5011.9913.4021.1113.2913.6113.4218.3612.3214.4314.8618.0815.428.2710.42
12.342.75-6.674.9410.946.542.92-2.854.53-2.03-16.92-41.1010.972.80-1.65-4.214.340.35-9.56-11.002.48-0.810.81-7.243.176.8910.728.1410.5211.6612.5810.3115.1511.4812.579.116.8213.0618.0715.2525.805.5011.9913.4021.1113.2913.6113.4218.3612.3214.4314.8618.0815.428.2710.42
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-26.94-32.02-62.38-11.93-1.25-9.15-12.16-19.06-4.76-8.93-39.33-55.433.39-7.79-11.66-13.68-3.37-7.54-20.47-16.64-2.30-6.54-3.90-12.88-3.05-0.814.383.734.566.899.641.809.164.856.613.341.366.9312.79-1.0119.11-1.015.545.9013.266.582.425.4310.783.766.352.366.047.85-0.093.53
-30.26-32.62-62.27-13.971.61-10.19-13.61-21.57-37.31-9.33-36.48-47.223.69-7.49-11.17-13.58-9.48-1.69-20.19-16.10-9.78-4.86-5.65-6.29-4.56-0.781.702.504.751.325.39-0.210.543.093.641.17-6.742.857.17-2.1212.86-4.323.112.5711.170.031.853.1280.233.925.000.723.717.080.064.19
0.240.190.180.200.250.210.210.180.250.160.120.160.230.200.190.180.250.210.200.180.260.210.210.200.260.190.260.230.270.250.250.230.260.250.260.220.240.260.270.260.290.290.300.290.280.310.320.300.340.400.420.400.430.410.400.39
0.510.460.420.440.580.480.440.430.560.450.330.410.670.520.440.440.590.520.460.470.660.520.520.590.820.470.820.731.070.770.820.811.100.880.880.871.070.850.920.891.100.890.930.901.110.860.860.871.120.830.870.941.050.860.820.73
1.671.471.551.421.601.331.581.411.781.401.211.391.651.311.461.461.721.481.591.471.771.451.661.581.891.251.821.632.131.811.881.892.101.841.841.771.941.721.861.751.671.771.751.741.541.821.891.831.871.851.901.821.901.931.751.88
53.8261.2958.0163.3956.1567.5856.8763.8350.6064.2974.6564.8754.4868.6061.4561.5852.3460.6456.6461.1750.8962.0354.3256.8447.6572.0549.4155.3642.2349.7147.8447.5842.9248.7848.8850.8646.4752.4448.4351.3453.7650.7651.5451.7158.5549.5147.5949.2748.1448.7847.2749.3547.4646.6351.4647.80
6.706.1211.743.22-0.492.573.354.9012.562.818.1914.90-1.663.625.506.696.651.0812.3810.7210.094.675.525.875.510.80-1.92-1.85-4.46-1.27-4.130.12-0.36-2.49-2.52-1.481.51-1.77-4.290.69-8.782.20-1.61-1.25-5.60-0.01-0.87-1.51-42.53-1.27-1.58-0.21-1.24-2.210.01-1.16
5.024.508.462.22-0.331.752.263.268.181.724.978.67-0.851.852.763.263.110.485.414.303.781.641.871.931.750.24-0.79-0.78-1.91-0.56-1.820.06-0.16-1.03-1.03-0.610.63-1.22-2.960.48-6.091.67-1.24-0.97-4.23-0.01-0.68-1.18-33.69-1.07-1.34-0.18-1.05-1.880.01-0.99
-7.17-6.06-11.01-2.820.41-2.17-2.80-3.95-9.25-1.50-4.23-7.700.68-1.45-2.13-2.49-2.33-0.34-3.93-3.01-2.54-1.04-1.21-1.26-1.12-0.140.560.561.330.411.35-0.040.120.740.740.41-0.450.872.13-0.364.61-1.270.910.733.350.010.540.9427.261.592.060.291.612.88-0.011.62
6.706.1211.74-5.450.77-4.30-5.29-7.34-18.81-3.31-8.88-22.061.20-2.64-4.25-4.76-4.21-0.61-7.28-5.11-4.13-1.68-1.87-1.87-1.66-0.210.880.882.190.662.17-0.070.191.101.120.68-0.711.814.55-0.7911.48-3.122.171.768.210.021.202.2163.997.4710.671.628.3910.93-0.056.50
-47.19-43.07-40.09-35.43-35.96-36.62-34.52-34.76-33.87-28.31-27.69-25.64-22.27-22.25-21.59-20.91-19.56-18.22-18.42-16.03-14.42-13.12-12.80-12.15-11.62-10.59-10.63-10.63-11.04-11.72-11.83-12.39-12.12-10.73-10.90-11.22-11.37-11.84-12.08-12.51-12.40-13.00-12.71-12.98-13.21-13.23-12.92-13.09-13.24-18.66-19.23-19.52-19.59-19.77-20.33-20.70
-4.44-4.55-0.810.12-0.20-1.60-0.73-0.53-1.82-4.80-3.07-1.46-1.29-3.14-0.78-0.54-3.24-5.62-3.60-1.85-2.65-5.21-2.62-1.632.29-1.30-0.99-1.903.01-0.050.05-0.493.320.89-0.12-0.872.350.110.22-0.321.990.34-0.41-0.391.680.390.060.461.860.960.770.602.121.500.350.34
-4.69-4.70-0.890.08-0.47-1.72-0.78-0.54-2.01-4.94-3.12-1.49-1.83-3.52-1.01-0.65-4.32-6.40-4.16-2.11-4.71-6.53-3.37-1.921.16-1.93-1.34-2.042.09-0.56-0.28-0.592.260.31-0.38-0.941.81-0.23-0.02-0.431.590.06-0.58-0.461.420.20-0.050.421.570.740.640.541.841.290.240.30