RumbleON Financial Ratios for Analysis 2015-2024 | RMBL

Fifteen years of historical annual and quarterly financial ratios and margins for RumbleON (RMBL).

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
202320222021202020192018201720162015
1.221.481.681.061.001.125.626.170.03
0.730.650.400.870.630.220.090.00-0.36
5.812.900.8911.626.412.190.180.00-0.90
26.3430.2817.127.596.028.663.81--
-5.09-17.83-0.96-4.46-4.50-14.96-109.19--
-5.09-17.83-0.96-4.46-4.50-14.96-109.19--
1.686.420.18-3.46-3.87-14.01-96.26--
-11.35-20.94-3.40-6.00-5.37-16.10-117.35--
-15.77-17.92-1.05-6.00-5.37-16.10-117.35--
1.481.420.905.417.411.440.40--
2.903.143.8018.0213.772.742.48--
27.1752.1023.0144.2699.1018.4712.66--
13.447.0115.868.253.6819.7628.83--
-203.03-113.35-2.25-547.02-350.55-81.72-59.68-20.632.38
2193747.40112323-534.60-68.50-20.632.38
-23.15-22.73-0.95-32.48-39.84-23.12-47.23-16.14-58.19
-54.65-40.23-1.36-68.63-129.27-63.57-54.17-20.613.23
3.0112.6928.912.0411.0933.3522.223.42-0.57
-2.19-2.94-4.657.85-35.66-31.61-19.41-0.07-0.02
-2.97-3.30-5.477.79-35.61-31.62-20.66-0.07-0.02

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-31
1.121.121.101.221.251.291.331.481.491.551.551.681.731.871.001.061.141.060.971.001.161.230.961.122.892.144.795.620.732.025.446.17----
0.720.690.690.690.670.660.650.650.440.440.450.400.440.480.950.870.750.800.830.630.430.360.050.220.260.420.120.090.310.200.170.00----
5.905.815.885.363.753.403.242.901.151.081.080.891.021.6835.4111.624.979.9216.686.412.822.512.192.190.681.250.190.180.920.260.200.00----
25.1926.6926.8422.8827.2127.8027.0040.2530.0632.3023.6320.9416.9011.5910.7210.9114.3310.03-0.917.095.455.786.278.4410.429.096.921.286.151.6110.80-----
1.804.571.69-22.30-0.060.21-0.21-148.463.707.535.093.69-10.260.45-2.71-5.752.552.83-13.77-10.77-3.39-3.63-3.06-7.56-34.65-32.33-43.65-93.44-60.10-1,562.30-1,828.52-----
1.804.571.69-22.30-0.060.21-0.21-148.463.707.535.093.69-10.260.45-2.71-5.752.552.83-13.77-10.77-3.39-3.63-3.06-7.56-34.65-32.33-43.65-93.44-60.10-1,562.30-1,828.52-----
------------------------------------
-3.80-0.24-3.44-31.94-5.92-4.55-5.47-153.911.154.492.592.25-15.02-2.01-4.27-7.801.271.24-15.26-11.84-4.03-4.81-3.71-8.53-36.39-34.04-44.73-99.89-62.53-1,623.92-2,373.15-----
-3.80-0.21-3.35-54.15-4.88-3.55-5.05-130.270.803.402.054.80-10.19-2.01-4.27-7.801.271.24-15.26-11.84-4.03-4.81-3.71-8.53-36.39-34.04-44.73-99.89-62.53-1,623.92-2,373.15-----
0.360.380.340.340.320.370.320.220.290.320.360.420.221.311.030.911.590.911.291.121.921.941.931.060.790.800.560.190.460.010.00-----
0.750.710.640.690.690.850.730.410.821.131.481.691.077.563.872.948.792.412.632.064.213.753.952.023.072.272.411.202.790.09------
9.839.519.196.1910.0410.239.817.8910.767.968.4010.715.256.254.897.4810.345.7017.5214.9716.7121.1617.0613.6099.7088.6223.765.9711.56-2.40-----
9.159.469.8014.558.978.809.1711.418.3711.3010.718.4017.1414.4118.4212.038.7115.795.146.015.394.255.286.620.901.023.7915.087.78-37.46-----
-13.45-0.75-11.11-159.47-9.42-7.01-8.70-126.220.762.811.954.79-5.51-9.43-240.25-120.1815.6414.59-408.16-116.60-33.61-37.60-27.36-31.88-52.69-68.95-32.62-23.95-72.88-35.44-13.89-15.18----
9.480.659.3817218.4915.3021.72416-2.92-10.77-5.05-15.7314.29-37.3517.7824.56-8.56-5.29103107379-235.39-573.42-208.59-61.21-94.37-39.16-27.491,275-96.21-28.33-15.18----
-1.35-0.08-1.15-18.18-1.56-1.23-1.61-25.310.281.070.752.01-2.23-2.65-4.40-7.132.021.13-19.68-13.25-7.72-9.36-7.16-9.02-28.91-27.24-24.89-18.95-28.80-23.60-10.27-11.88----
-3.82-0.23-3.45-48.91-3.11-2.37-3.05-44.800.421.571.082.89-3.08-4.93-13.05-15.083.902.87-70.00-43.00-19.24-24.11-25.97-24.81-39.03-39.91-28.72-21.74-50.44-28.19-11.57-15.16----
-2.652.63-10.4310.9911.7512.6930.3730.3928.6428.9127.3910.600.792.044.243.212.4511.0922.7429.9128.6933.3517.2610.5017.1422.228.5910.6613.313.42----
1.940.830.09-2.19-1.11-0.340.55-2.94-1.841.801.99-4.65-4.29-5.39-5.627.8511.720.26-9.51-35.66-22.25-30.12-6.32-31.61-19.96-13.54-4.47-19.41-8.76-5.49-0.51-0.07-0.23-0.09-0.070.00
1.900.800.06-2.97-1.58-0.700.44-3.30-2.111.711.91-5.47-5.39-5.42-5.627.7911.640.18-9.58-35.61-22.22-30.08-6.29-31.62-20.04-13.63-4.50-20.66-9.96-6.48-0.51-0.23-0.23-0.09-0.07-