Radiant Logistics Financial Ratios for Analysis 2009-2025 | RLGT

Fifteen years of historical annual and quarterly financial ratios and margins for Radiant Logistics (RLGT).

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
1.491.371.541.351.501.271.321.181.171.261.291.241.111.211.231.16
0.000.010.260.140.270.210.240.230.200.500.150.530.590.660.911.09
0.010.030.380.190.400.300.360.340.281.010.191.181.492.069.70-11.99
29.4726.1520.9924.6124.4825.8423.7625.0323.8524.6128.4228.4528.5230.6731.1033.26
1.162.594.022.912.052.781.561.35-0.042.103.012.391.512.541.69-6.99
1.162.594.022.912.052.781.561.35-0.042.103.012.391.512.541.69-6.99
3.474.735.334.824.024.513.302.981.543.394.373.752.623.192.81-5.70
1.212.543.993.291.812.491.251.10-0.681.592.371.971.202.472.16-7.05
0.961.903.052.571.231.540.970.36-0.710.761.151.180.641.401.33-7.10
2.162.762.932.402.853.332.762.692.971.652.983.713.513.605.205.53
----------------
6.628.576.487.6711.789.516.036.667.703.945.355.935.704.886.787.67
55.1042.6156.3447.6030.9938.3860.5254.8047.4292.5568.2761.6064.0874.7553.8647.56
3.9110.3623.3814.628.9513.657.813.98-2.907.0512.6623.7018.2448.962641,479
10.0526.8078.6949.6683.63283352-27.2622.07-9.67-219.19-40.49-13.61-89.07-93.79233
2.215.399.156.314.126.493.421.70-1.311.954.424.502.465.327.36-39.18
3.9010.3017.3312.616.5510.835.903.05-2.323.5310.7111.217.5216.7124.64-134.52
4.484.343.993.242.792.572.702.522.441.991.190.480.350.190.03-0.02
0.351.980.490.280.580.780.090.300.440.050.200.080.100.090.090.11
0.181.830.350.060.490.66-0.020.200.38-0.050.190.070.080.080.070.10

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.411.451.491.511.501.451.371.521.571.501.541.611.551.521.351.351.331.301.501.491.291.291.271.241.351.351.321.281.281.231.181.261.181.201.171.361.361.331.261.241.231.291.291.251.281.451.241.211.131.291.111.251.161.231.211.211.241.241.231.241.251.191.161.18
0.010.000.000.000.000.000.010.120.200.170.260.370.360.190.140.150.170.180.270.320.210.230.210.230.320.240.240.240.260.260.230.200.180.200.200.280.280.280.500.170.170.150.150.120.200.590.530.560.580.660.590.680.660.640.660.610.740.860.910.981.041.111.091.07
0.010.010.010.010.020.020.030.160.270.230.380.620.580.270.190.210.230.250.400.500.300.330.300.330.510.350.360.360.390.390.340.280.250.290.280.420.420.401.010.220.210.190.190.170.331.481.181.371.521.981.492.182.031.922.061.562.916.389.7044.28-27.63-10.03-11.99-14.99
23.9328.2729.4028.7830.8328.8528.5627.4526.6223.1122.7118.9121.1921.6223.5824.0125.2726.1418.1926.9627.7127.6928.6025.6024.5125.0725.0623.8322.9123.0324.6725.1525.2025.1225.5123.4423.0723.5321.7626.5126.0426.8027.1627.8228.8930.2728.5729.6827.5328.1028.0028.7227.8929.5729.8630.9931.8730.4532.5131.4729.4131.0031.3636.16
3.301.872.37-0.490.831.741.652.562.573.295.393.962.993.493.702.302.752.722.820.402.092.393.062.313.392.212.850.721.361.130.341.112.231.730.57-0.26-1.240.772.611.481.432.453.283.282.562.864.993.49-0.341.412.390.421.521.561.812.972.932.892.132.591.520.490.980.92
3.301.872.37-0.490.831.741.652.562.573.295.393.962.993.493.702.302.752.722.820.402.092.393.062.313.392.212.850.721.361.130.341.112.231.730.57-0.26-1.240.772.611.481.432.453.283.282.562.864.993.49-0.341.412.390.421.521.561.812.972.932.892.132.591.520.490.980.92
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3.282.242.38-0.310.761.831.722.412.303.415.324.212.723.375.192.552.422.452.730.131.802.052.742.003.151.942.610.401.000.76-0.060.802.071.60-0.22-1.07-1.760.271.391.291.392.493.253.200.512.294.492.85-0.440.981.93-0.101.301.541.773.022.652.872.593.002.360.610.501.27
2.441.662.32-0.380.491.241.351.711.742.554.373.071.952.544.182.111.741.761.690.031.281.612.181.421.441.181.850.081.610.16-0.510.221.060.69-0.35-1.25-1.22-0.080.850.810.311.031.571.320.231.422.911.210.030.511.10-0.110.580.910.821.831.611.692.071.371.400.34-0.180.99
0.680.540.560.510.550.560.590.560.590.730.770.800.680.780.720.720.730.610.920.580.700.680.760.760.870.740.770.710.710.670.700.690.730.700.690.630.700.700.640.850.870.820.870.800.760.870.960.920.980.900.970.890.991.211.251.471.481.521.441.371.431.291.311.23
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2.271.621.701.681.851.801.832.062.022.011.702.142.112.082.292.132.242.273.791.892.082.042.192.262.432.161.671.671.681.601.731.861.751.711.791.801.911.721.541.581.661.541.571.611.661.561.541.541.731.461.571.551.691.681.701.791.861.941.881.701.771.711.811.75
39.6555.5752.9253.5148.5349.8649.1143.7444.5944.7252.9442.0242.6043.1739.3242.2340.2739.7023.7247.6543.2944.0241.1839.7637.0641.7453.7753.9753.6056.1652.0748.4551.3352.7950.1550.0047.1552.4358.4657.0154.1358.4357.4756.0154.3057.8858.4958.3352.0661.4857.3657.9053.3253.4852.9650.2648.3646.3747.8752.8250.7152.5249.6551.40
3.031.612.31-0.300.541.381.592.202.454.298.667.733.914.647.093.352.682.334.510.102.022.553.622.595.292.433.700.543.050.72-0.410.742.131.55-0.09-1.42-1.630.292.603.051.993.655.204.230.756.4714.896.760.463.638.28-0.265.2310.2210.1127.0035.3667.96112282-186.20-16.027.62-61.38
9.894.735.94-0.731.293.384.115.806.9712.4129.1632.5522.4013.9024.0614.4714.3016.4542.121.9316.1827.7374.87-559.69-103.7756.70167-15.71-50.75-5.262.79-19.88-36.43-15.570.719.7211.86-1.78-3.57-206.35-28.28-60.44-90.06-30.70-5.57-15.07-25.44-7.35-0.38-3.15-6.180.16-3.55-29.75-18.40137-208.69-52.47-39.72-18.01-17.28-3.251.20-7.79
1.680.911.31-0.170.310.750.831.051.051.863.392.581.352.013.061.541.301.122.080.040.931.141.721.172.111.111.620.241.340.30-0.170.350.970.68-0.04-0.60-0.680.120.721.120.711.291.821.550.251.262.821.150.070.491.12-0.030.631.181.102.782.552.703.121.972.140.52-0.201.30
3.021.612.31-0.300.541.371.581.931.963.556.424.852.523.756.112.852.231.923.300.071.601.972.872.003.611.862.800.412.260.53-0.310.601.751.24-0.07-1.02-1.170.211.302.531.653.094.403.710.602.687.042.960.191.243.41-0.081.783.633.4510.549.049.2110.446.226.991.77-0.694.39
4.574.544.484.394.414.374.344.284.184.073.993.753.433.333.243.012.912.792.792.682.672.622.572.482.422.712.702.612.592.512.522.542.532.482.442.452.512.541.991.271.251.221.191.151.110.510.480.400.360.360.350.310.270.220.190.100.070.040.030.01-0.01-0.03-0.02-0.01
0.320.000.350.340.250.161.981.621.360.530.49-0.14-0.39-0.310.280.070.040.260.58-0.030.120.000.780.650.320.120.090.070.00-0.020.300.310.260.070.440.390.320.100.050.170.110.050.200.240.250.050.080.100.100.000.100.080.170.010.090.110.060.020.090.02-0.02-0.010.110.07
0.25-0.040.180.190.150.111.831.491.290.510.35-0.26-0.47-0.340.06-0.09-0.060.220.49-0.120.07-0.030.660.570.280.10-0.02-0.02-0.07-0.050.200.240.210.060.380.340.280.08-0.050.120.080.040.190.230.250.050.070.090.09-0.010.080.070.160.000.080.100.050.020.070.02-0.02-0.010.100.06