Rollins Financial Ratios for Analysis 2009-2024 | ROL

Fifteen years of historical annual and quarterly financial ratios and margins for Rollins (ROL).

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
202320222021202020192018201720162015201420132012201120102009
0.710.710.720.670.760.960.891.051.071.121.160.900.780.610.52
0.300.030.110.160.25----------
0.420.040.140.220.36--------0.090.11
52.1751.4752.0451.4850.7050.9051.0250.9150.4549.8649.2749.0548.8148.7148.69
18.9818.3018.4617.4015.7517.0017.5616.5016.2315.4914.2913.8613.4412.6812.12
18.9818.3018.4617.4015.7517.0017.5616.5016.2315.4914.2913.8613.4412.6812.12
22.2221.6922.0421.0719.7720.5520.8819.6819.0718.4817.2216.8616.5615.8815.58
19.0818.5119.9016.7812.9617.0617.5916.5616.3715.5514.3313.9013.3712.6311.76
14.1513.6714.7112.3410.0912.7210.7010.6410.249.759.228.768.367.927.82
1.181.271.201.171.161.661.621.721.751.751.811.841.871.841.90
44.0343.9940.1934.0051.0256.6554.7256.2857.4950.2755.3854.6655.4549.0053.98
14.2814.2414.6314.4013.9014.8714.5515.0615.8515.6715.7215.7416.4316.1417.11
25.5625.6424.9525.3426.2724.5425.0924.2323.0223.2923.2223.1922.2222.6121.33
37.6429.0932.0928.3424.9332.5427.3929.4429.0329.7528.1431.3731.0830.2131.74
-94.4621,122-364.38-204.28-141.3323119311111318712616,135-410.26-149.10-118.20
16.7617.3717.6414.4511.6621.1717.3318.2617.9317.0316.6816.0815.6014.5414.83
26.4228.2028.5823.6718.5732.5427.3929.4429.0329.7528.1431.3731.0830.2131.74
2.392.572.261.911.661.451.331.161.070.940.890.720.660.600.53
1.080.950.820.890.650.610.480.460.400.390.330.290.310.250.22
1.040.910.910.850.600.560.430.400.320.340.290.250.280.220.19

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
0.780.780.720.710.820.810.790.710.780.981.030.720.780.730.660.670.710.760.730.760.790.770.820.960.980.900.800.890.921.261.141.051.101.061.031.071.201.131.041.121.071.050.961.161.111.040.960.901.000.870.830.780.730.680.610.610.590.620.560.520.540.490.44
0.250.290.300.300.350.200.050.030.080.160.200.110.040.060.090.160.140.220.280.250.280.31--------------------------------------0.000.000.00
0.340.410.440.420.540.250.050.040.100.210.270.140.060.080.120.220.180.300.400.360.400.46-------------------------------0.030.080.090.080.090.060.110.180.230.27
53.9654.0051.1550.8953.7753.1950.3350.3952.2952.8449.9950.4153.0253.3351.1650.3452.8153.8048.5249.7451.7151.6549.3750.2451.5551.9749.5749.9651.4352.8449.5949.9551.5152.3449.5949.7351.1051.5049.2249.1350.9450.5548.5348.4649.9850.3048.0846.7949.8950.4348.8447.6949.0350.1848.1347.2648.8550.3348.2447.3948.6050.2348.40
20.9320.4517.7018.4421.0818.8617.0618.1319.9318.8615.8116.5019.5120.9316.4719.2319.0418.8911.7424.558.8016.9112.9615.9718.3518.7214.4816.5318.3019.8015.2313.6118.8418.5614.4714.1617.8018.3814.0613.4817.1117.6913.0912.6015.9916.2911.7011.2515.2015.8912.7112.1514.5415.5211.0610.8713.4614.8711.139.7812.8514.6710.78
20.9320.4517.7018.4421.0818.8617.0618.1319.9318.8615.8116.5019.5120.9316.4719.2319.0418.8911.7424.558.8016.9112.9615.9718.3518.7214.4816.5318.3019.8015.2313.6118.8418.5614.4714.1617.8018.3814.0613.4817.1117.6913.0912.6015.9916.2911.7011.2515.2015.8912.7112.1514.5415.5211.0610.8713.4614.8711.139.7812.8514.6710.78
---------------------------------------------------------------
20.2219.6216.6619.4520.4718.4017.7018.5320.0819.0115.9316.9319.5420.9922.3817.6918.6618.7111.3514.238.2916.6013.0616.0718.4318.7714.4816.5318.3319.8715.2613.6218.8618.7214.5114.2918.1218.4514.0913.5317.1317.7813.2012.6816.0216.3311.7211.4315.2015.8812.6911.9914.5215.4710.9910.7713.4314.8511.098.6112.7814.5910.60
14.9414.5112.6114.4315.2013.4213.4112.7414.9314.2312.4911.8614.4315.4917.3012.7813.6313.628.8710.037.9212.2710.3111.4613.6613.6411.878.1311.4212.3810.739.8611.7111.629.058.7611.2711.499.158.7010.6811.068.228.6110.0010.267.737.489.479.897.977.479.089.696.866.868.369.276.957.697.938.956.51
0.330.320.280.290.320.320.310.310.350.330.280.300.340.330.290.290.320.300.280.290.320.300.340.410.430.430.390.400.430.440.410.420.460.450.400.430.460.460.410.430.470.460.410.440.480.480.420.440.480.490.440.450.510.500.440.450.500.510.450.460.490.490.43
10.7410.8210.2411.0911.6911.7510.5911.0312.1911.4110.1610.2911.329.948.018.649.077.5011.6713.0615.3614.4113.1114.0114.6814.3412.9813.8514.2313.1912.8414.0614.9113.3913.0614.2415.0813.5512.2112.4315.0713.9012.7113.6615.3014.3913.1913.7615.6113.6513.6213.5915.5612.9711.1112.4113.9813.3511.9513.3814.2612.6510.85
3.453.643.513.503.553.833.483.493.603.713.603.623.613.793.703.573.593.633.363.493.573.443.463.633.423.583.603.603.533.673.743.693.683.663.563.873.813.833.743.823.823.733.623.823.873.843.793.793.733.873.853.943.883.843.913.973.853.984.024.143.924.044.01
26.1024.7425.6125.6925.3423.4725.8525.7724.9824.2725.0324.8524.9423.7324.3425.1825.0524.8226.8225.8025.2126.1625.9824.7926.3425.1124.9824.9725.4824.5124.0724.3824.4324.5725.3023.2623.6423.4824.0723.5723.5324.1224.8523.5823.2723.4623.7523.7224.1123.2823.3722.8423.1723.4623.0322.6523.3622.6222.3921.7622.9322.3022.46
10.3910.478.099.4211.598.216.856.659.108.876.666.418.529.419.377.288.538.735.416.225.468.556.157.169.079.427.325.167.918.706.906.698.658.565.906.068.679.066.486.478.378.595.736.388.899.356.356.468.749.626.866.679.019.926.196.458.9110.056.477.548.9810.746.93
-38.24-30.37-19.79-23.63-25.00-41.184484,829-574.01-286.16-120.88-72.78281-410.44-106.36-52.49-103.51-57.88-22.74-35.28-27.31-30.8640.5050.8856.2972.6044.0036.2857.0426.5524.1325.1532.6234.2024.3023.4935.1947.4549.6740.6345.6050.5744.8128.5760.0186.361433,321132-731.44-158.49-87.97-117.67-68.31-32.33-31.82-42.71-52.77-29.32-28.09-28.64-26.07-14.43
4.864.683.554.194.844.244.133.975.164.693.463.524.935.144.943.714.414.102.442.912.503.723.484.665.905.934.623.264.915.484.354.155.395.283.663.745.225.313.783.704.975.083.373.784.764.883.283.314.564.873.483.344.654.883.033.104.204.763.113.523.884.402.79
7.777.445.626.617.526.566.546.458.347.445.315.718.158.838.546.087.326.823.914.643.935.916.157.169.079.427.325.167.918.706.906.698.658.565.906.068.679.066.486.478.378.595.736.388.899.356.356.468.749.626.866.679.019.926.196.458.9110.056.477.548.9810.736.92
2.722.552.412.392.282.722.612.572.432.332.252.262.242.142.011.911.901.761.631.661.641.531.461.451.501.421.351.331.331.261.191.161.171.141.101.071.061.010.950.941.000.970.910.890.830.780.740.720.750.700.680.660.660.630.610.600.580.550.540.530.510.470.45
0.870.560.261.080.760.500.200.950.700.440.180.820.610.450.240.890.690.480.190.650.500.290.130.610.430.270.150.480.390.240.120.460.320.200.080.400.290.180.090.390.320.180.080.330.260.150.080.290.240.150.070.310.230.150.070.250.190.120.060.220.180.130.04
0.820.530.251.040.740.500.210.910.670.410.160.910.570.560.360.850.660.450.170.600.460.260.110.560.390.240.140.430.350.220.100.400.270.160.070.320.230.150.070.340.270.160.070.290.230.130.070.250.220.130.070.280.210.130.060.220.170.110.050.190.160.110.03