Ringcentral Financial Ratios for Analysis 2010-2024 | RNG

Fifteen years of historical annual and quarterly financial ratios and margins for Ringcentral (RNG).

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
20232022202120202019201820172016201520142013201220112010
1.341.221.242.111.913.552.111.782.122.092.450.990.77-
1.491.420.800.820.340.54-0.000.120.080.280.99--
-3.08-3.394.134.560.521.15-0.120.170.270.552970.67-
69.8467.7371.8872.6674.4176.6775.9275.7670.5465.0961.6760.7958.1755.29
-9.03-32.66-18.92-9.57-5.06-2.44-1.06-3.38-10.44-20.56-25.56-29.54-17.55-14.52
-9.03-32.66-18.92-9.57-5.06-2.44-1.06-3.38-10.44-20.56-25.56-29.54-17.55-14.52
8.07-14.25-2.404.954.736.314.672.46-5.69-15.84-19.97-24.13-13.05-11.99
-7.12-43.96-23.43-6.93-6.31-3.87-0.78-4.20-11.26-21.94-28.75-30.82-17.61-14.55
-7.50-44.22-23.59-7.01-5.94-3.89-0.83-4.26-10.84-21.98-28.72-30.90-17.63-14.55
1.130.960.620.540.620.751.401.511.381.171.111.812.88-
--------37.6744.9029.1453.9120.60-
6.046.396.856.726.957.1410.7912.5815.4628.7452.7142.57182-
60.4057.1553.2954.2852.5551.1433.8429.0223.6112.706.928.572.01-
32.88182-111.00-26.91-7.19-8.25-1.84-12.48-29.15-50.09-72.5847.8632.59-
17.1582.5486.87-62.48-9.52-9.82-1.93-13.70-32.93-50.09-72.58-49,845.67-957.51-
-8.50-42.40-14.59-3.80-3.70-2.93-1.17-6.42-14.94-25.67-31.75-55.86-50.81-
-16.15-76.08-21.66-4.93-4.73-3.83-1.84-12.45-25.65-46.10-52.31-268.07-957.51-
-5.38-5.063.593.418.583.922.931.751.531.411.020.000.07-
4.212.011.66-0.400.780.910.540.410.07-0.17-0.72-0.67-0.04-0.03
3.411.100.87-1.320.250.420.190.18-0.17-0.44-1.04-1.13-0.34-0.24

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302011-12-312010-12-31
1.121.091.091.341.741.361.441.221.211.191.251.241.461.451.672.112.692.703.161.912.852.993.083.554.074.324.712.111.932.011.871.781.782.012.042.122.041.811.962.092.092.792.952.450.79------
1.681.641.621.491.371.431.401.421.181.020.970.800.970.940.860.820.820.650.680.340.510.510.530.540.550.550.56----0.000.010.100.110.120.140.060.070.080.090.170.170.289.94------
-2.81-2.91-2.95-3.08-3.72-3.35-3.47-3.39-6.69-43.4133.524.1330.5414.816.514.564.731.942.120.521.031.061.121.151.221.241.29----0.120.130.140.160.170.200.210.240.270.280.300.290.55-1.51------
70.4070.2070.8270.2069.7369.5169.8969.4067.1067.5166.7569.6773.3672.3472.4872.7372.8972.4372.5573.5574.4175.0774.7776.6177.4176.3376.2776.1976.3775.3575.6776.5775.7875.6574.8872.6070.9169.5468.5467.8165.9262.9862.9062.1761.9261.1161.33-62.04--
0.54-0.90-1.87-7.88-9.71-8.36-10.22-48.71-35.86-22.13-22.14-23.02-20.05-19.35-11.92-8.59-9.77-10.55-9.53-8.06-4.57-3.34-3.70-1.80-4.04-2.89-0.90-0.15-0.20-2.19-1.996.16-7.29-6.86-6.91-7.19-7.59-13.49-14.65-15.10-18.99-24.27-25.36-22.84-19.44-34.79-26.48--30.55--
0.54-0.90-1.87-7.88-9.71-8.36-10.22-48.71-35.86-22.13-22.14-23.02-20.05-19.35-11.92-8.59-9.77-10.55-9.53-8.06-4.57-3.34-3.70-1.80-4.04-2.89-0.90-0.15-0.20-2.19-1.996.16-7.29-6.86-6.91-7.19-7.59-13.49-14.65-15.10-18.99-24.27-25.36-22.84-19.44-34.79-26.48--30.55--
---------------------------------------------------
-1.98-1.95-4.32-7.90-8.22-2.69-9.62-53.71-55.74-32.55-32.07-26.14-35.25-29.150.07-0.51-6.760.24-22.62-10.07-5.53-4.24-4.69-3.08-5.41-5.07-1.79-0.030.26-1.72-1.955.91-8.19-8.40-7.58-8.22-8.33-13.55-16.12-16.49-21.02-24.99-26.68-29.43-20.98-36.47-28.85--32.25--
-1.29-2.49-4.88-8.27-7.55-3.98-10.19-54.13-55.91-32.76-32.28-26.39-35.39-29.25-0.05-0.55-6.900.18-22.70-9.99-5.46-4.30-3.16-3.01-5.48-5.16-1.81-0.090.21-1.76-1.995.83-8.24-8.46-7.64-8.32-8.25-11.62-16.25-16.35-21.05-25.25-26.74-29.48-21.11-36.12-28.89--32.34--
0.330.320.310.290.260.280.260.250.220.190.180.170.210.190.170.150.140.140.140.170.220.210.210.210.210.200.190.390.450.450.450.420.410.400.390.390.370.350.350.330.290.270.240.310.69------
--------------------------------27918324.109.879.779.0810.0011.659.648.997.788.137.85------
1.541.601.571.571.601.671.691.691.911.921.821.931.921.912.111.901.981.951.981.951.972.042.002.002.342.402.713.023.283.613.583.484.113.803.384.355.065.775.648.097.6510.3112.4614.8916.83------
58.5256.1657.2157.4156.1053.7753.1853.3947.0346.8749.5246.7246.9147.1942.6247.3645.5346.0845.5646.2745.6244.1744.9845.0338.4137.5033.1529.7627.4524.9625.1225.8721.9223.6826.6520.6717.8015.5915.9411.1311.768.737.226.045.35------
1.442.795.459.408.694.5511.5358.84116423-309.48-34.92-324.23-120.23-0.09-0.59-7.040.09-12.38-3.39-3.45-2.60-1.92-1.79-3.18-2.85-0.98-0.050.17-1.38-1.664.72-6.53-6.59-5.95-6.30-6.16-8.20-11.48-10.49-11.99-12.60-11.55-21.0434.97------
0.861.593.014.904.292.185.3326.6732.2622.1522.2427.33142162-0.45-1.38-15.010.14-19.15-4.49-4.41-3.41-2.59-2.13-3.38-3.18-1.11-0.060.18-1.48-1.825.18-7.24-7.35-6.70-7.12-7.04-9.44-11.48-10.49-11.99-12.60-11.55-21.0434.97------
-0.43-0.81-1.52-2.43-1.93-1.10-2.66-13.70-12.29-6.33-5.88-4.59-7.47-5.64-0.01-0.08-0.990.03-3.24-1.74-1.20-0.91-0.66-0.63-1.13-1.02-0.35-0.030.09-0.79-0.912.43-3.34-3.36-2.98-3.23-3.06-4.05-5.64-5.37-6.12-6.86-6.43-9.21-14.57------
-0.97-1.78-3.40-4.62-3.25-1.98-4.66-24.58-20.44-9.98-8.97-6.81-10.28-7.61-0.01-0.11-1.240.03-3.96-2.23-1.70-1.26-0.90-0.83-1.43-1.27-0.43-0.050.17-1.38-1.664.71-6.47-5.94-5.29-5.55-5.33-7.71-10.64-9.65-10.97-10.49-9.62-15.17-312.57------
-5.97-5.71-5.61-5.38-5.17-4.98-4.94-5.06-2.55-0.400.513.590.491.012.343.413.326.115.588.584.414.294.053.923.733.663.502.932.092.011.791.751.661.611.541.531.451.421.341.411.471.561.671.02-0.41------
3.812.411.034.213.022.091.132.011.591.150.621.661.140.670.41-0.40-0.370.430.150.780.850.540.250.910.610.370.160.540.370.230.120.410.310.200.070.070.030.01-0.01-0.17-0.10-0.16-0.04-0.72-0.84-0.54-0.420.00-0.540.000.00
3.172.000.823.412.431.680.911.100.930.710.410.870.560.300.20-1.32-1.060.08-0.010.250.460.260.120.420.290.150.060.190.120.070.030.180.150.110.03-0.17-0.15-0.11-0.06-0.44-0.33-0.32-0.09-1.04-1.21-0.80-0.59--0.83--