RISKGEORGE IN Financial Ratios for Analysis 2009-2024 | RSKIA

Fifteen years of historical annual and quarterly financial ratios and margins for RISKGEORGE IN (RSKIA).

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
15.3014.6515.5516.8611.6217.5716.7520.8822.1615.1315.6519.9726.5433.2041.7639.09
----------------
----0.02-----------
49.8046.9248.3050.4150.0048.1447.0652.0955.7254.0855.5451.5853.7247.3144.7147.34
28.8925.3327.2428.6725.1923.4020.8925.5229.9129.8631.8725.6729.5319.9313.9916.83
28.8925.3327.2428.6725.1923.4020.8925.5229.9129.8631.8725.6729.5319.9313.9916.83
31.1327.5529.3430.8427.7125.9123.0427.2431.5331.1133.2927.3331.0821.6516.1218.79
47.4329.1120.9478.0718.0033.9229.7232.3638.4139.3641.4437.5637.4729.4428.5410.60
34.7223.8117.2058.4814.2125.4721.3422.0227.4626.4828.3225.8925.7522.8719.725.85
0.360.360.380.340.340.330.290.280.310.320.310.320.330.300.280.33
0.950.931.351.631.451.601.932.271.682.402.202.452.022.522.201.70
5.485.045.024.834.874.773.625.185.324.685.414.646.165.625.186.26
66.5572.4472.7075.5174.8876.5110170.4368.5578.0167.4478.5959.2764.9070.5258.34
13.869.417.2922.405.339.126.776.738.909.209.558.888.827.095.631.98
14.109.617.4623.025.539.497.086.718.879.179.528.858.797.075.611.98
12.448.506.6019.994.818.366.226.248.428.558.908.388.446.855.471.92
13.839.397.2722.365.329.106.756.718.879.179.528.858.797.075.611.98
11.1610.279.959.798.007.987.597.236.936.846.526.115.975.685.425.09
1.220.570.400.760.670.550.070.640.570.490.590.440.490.410.420.53
1.140.460.320.660.520.52-0.030.610.520.460.600.420.430.390.400.50

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
13.5715.3014.5714.6315.5814.6514.6915.1613.8615.5515.4716.3615.5316.8614.4310.9011.4811.6216.8316.5617.8817.5716.3016.6118.7616.7518.609.5521.9520.8817.1717.7619.2322.1621.4916.2116.9415.1316.0514.5013.4015.6526.3625.2427.1319.9721.2123.0422.4626.5427.3228.0524.9633.2033.9833.6138.4141.7637.6638.5741.9439.0939.22
---------------------------------------------------------------
---------------0.020.020.02---------------------------------------------
50.9550.2749.3151.2847.9347.1444.0247.0549.0048.7043.3947.9653.2250.8548.5250.6351.7750.9148.9649.8750.2047.9748.7148.3847.4840.6443.9954.1651.2951.1153.5455.4648.0162.0150.9057.2352.3353.1656.4057.3549.5361.3952.8655.2151.9150.3959.5849.8246.6662.2651.7446.7854.1650.0849.5949.7538.7654.4644.6337.0841.8542.9440.49
30.6928.9028.1432.5125.1124.6820.6126.9428.1428.2722.6427.1530.8829.7426.2529.3529.3126.2823.2425.5025.6222.8024.0824.1622.5415.5717.8529.1721.8024.2426.8429.6221.0836.4824.4031.0327.2529.7429.8833.9425.8539.3625.4834.0427.1525.3533.1623.3620.8536.7527.8621.4532.0625.1422.6621.458.8725.4114.963.0911.4611.775.15
30.6928.9028.1432.5125.1124.6820.6126.9428.1428.2722.6427.1530.8829.7426.2529.3529.3126.2823.2425.5025.6222.8024.0824.1622.5415.5717.8529.1721.8024.2426.8429.6221.0836.4824.4031.0327.2529.7429.8833.9425.8539.3625.4834.0427.1525.3533.1623.3620.8536.7527.8621.4532.0625.1422.6621.458.8725.4114.963.0911.4611.775.15
---------------------------------------------------------------
63.1347.4189.86-2.2362.6125.0161.2910.2926.18-6.421.1743.6147.3779.4511632.3485.00-43.7851.4933.7536.5444.3437.3127.7326.2819.8333.1634.5132.8322.3241.3635.5530.1653.0031.8731.4636.3236.9642.4742.6835.5246.8035.9747.3634.1247.4044.6533.5923.4549.6521.8324.0354.3537.4536.8525.9515.2549.6126.8020.4615.841.10-4.71
46.8035.7760.05-0.9150.2122.7746.0110.8120.17-0.533.1932.1935.2458.3895.9918.5161.58-30.1438.0125.8027.4832.7630.1620.9417.9915.4524.2623.3723.0412.9229.9424.0021.2739.4523.6920.6525.2922.6724.9633.8124.4230.5222.7033.6625.2431.6730.9723.0817.1539.5416.8716.1830.4925.2633.8718.6012.4133.1220.1314.3310.39-2.50-9.37
0.090.090.090.110.080.090.080.110.090.100.090.090.090.100.090.100.090.090.080.090.080.080.080.090.080.080.080.070.060.070.070.080.070.080.080.080.080.080.080.090.080.080.070.090.080.090.080.080.080.080.090.090.090.080.080.080.070.070.070.070.070.080.07
0.250.240.230.230.210.220.240.310.300.350.420.390.380.450.400.400.350.380.360.360.360.410.420.510.490.610.510.390.460.580.490.480.490.380.480.420.540.630.510.570.680.510.550.640.630.680.450.570.590.410.580.660.570.660.610.650.720.480.510.550.460.430.35
1.381.411.221.361.481.211.231.351.431.331.361.441.351.351.371.571.381.301.521.571.401.211.201.091.221.011.111.321.371.291.321.401.491.391.101.101.371.201.201.471.401.451.261.401.461.261.391.551.601.521.531.461.331.561.451.411.501.361.441.451.631.481.58
65.2463.8873.6266.4060.6374.5673.0166.8262.9867.8066.2662.3966.5766.5465.7057.4665.3669.0859.2857.3264.3174.5475.3182.5673.8388.9281.3668.1565.5869.8767.9564.3160.3664.8481.8781.7365.6374.9075.2361.3364.4562.0471.2064.2661.6971.5164.7758.1556.4059.0858.9761.8367.8657.7662.2763.7960.0965.9562.5561.9055.1360.9556.96
4.713.676.16-0.114.492.164.061.282.11-0.060.333.433.496.269.812.115.92-3.023.352.432.422.972.762.101.591.372.112.001.420.982.272.021.593.331.911.722.082.022.123.112.182.761.723.032.082.942.661.991.433.351.511.482.742.172.711.490.912.501.451.030.77-0.20-0.66
4.793.736.27-0.114.582.204.151.312.16-0.060.333.523.586.4310.112.186.12-3.133.472.522.513.092.882.191.661.432.212.101.420.982.272.011.593.321.911.722.082.022.113.102.182.751.713.022.082.932.651.981.423.341.511.472.732.162.701.490.902.491.441.020.76-0.20-0.66
4.183.295.48-0.104.061.953.661.161.89-0.050.293.043.105.588.761.865.26-2.733.052.222.222.722.551.931.471.261.901.741.310.912.131.891.503.151.821.611.951.881.982.882.012.571.642.892.002.782.521.891.363.211.451.422.622.102.621.440.882.421.401.000.74-0.19-0.64
4.703.666.14-0.114.482.154.051.282.10-0.060.333.423.486.259.792.105.91-3.013.342.422.412.962.762.091.591.372.102.001.420.982.272.011.593.321.911.722.082.022.113.102.182.751.713.022.082.932.651.981.423.341.511.472.732.162.701.490.902.491.441.020.76-0.20-0.66
11.7511.1610.7610.0510.7510.2710.069.6210.139.959.999.9710.149.799.188.278.528.008.257.978.187.987.627.417.817.597.577.277.407.237.066.847.106.936.626.646.926.846.646.556.686.526.546.476.446.115.925.936.075.975.745.585.765.685.515.385.445.425.285.183.145.093.04
0.471.220.810.320.200.570.550.330.350.400.360.180.230.760.650.370.250.670.610.420.230.550.460.240.180.07-0.060.350.200.640.500.340.200.570.380.190.180.490.370.320.190.590.410.320.220.440.340.270.180.490.340.220.090.410.310.230.170.420.340.250.150.530.43
0.451.140.760.270.160.460.510.290.340.320.330.170.220.660.570.290.230.520.510.390.190.520.440.240.18-0.03-0.120.290.150.610.470.320.190.520.360.180.180.460.340.300.180.600.420.330.220.420.320.260.180.430.280.190.060.390.300.220.170.400.330.240.150.500.42