ComScore Financial Ratios for Analysis 2009-2024 | SCOR

Fifteen years of historical annual and quarterly financial ratios and margins for ComScore (SCOR).

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
0.540.630.660.740.810.860.721.32-1.181.321.231.131.062.30
-0.100.070.460.430.240.000.01-0.070.060.030.030.050.00
0.290.110.070.900.760.320.010.02-0.150.120.070.070.080.01
44.6445.4644.6849.2448.6452.2752.0256.6758.6870.3968.6466.1567.6870.3169.68
-19.82-19.89-7.86-5.98-79.88-33.12-73.23-33.01-27.73-4.491.08-3.06-7.76-0.837.47
-19.82-19.89-7.86-5.98-79.88-33.12-73.23-33.01-27.73-4.491.08-3.06-7.76-0.837.47
8.494.714.308.65-4.19-19.80-58.81-18.65-16.215.699.587.811.636.1613.71
-20.96-17.22-13.40-13.21-87.48-37.08-70.40-30.34-28.71-4.620.73-3.69-8.07-1.007.76
-25.75-21.80-17.07-13.46-87.23-37.97-69.73-29.33-28.89-3.01-0.81-4.62-6.79-0.903.11
0.760.650.550.530.540.440.390.36-0.930.790.760.730.620.59
---------------
5.825.505.095.135.415.554.924.15-3.353.193.733.613.223.66
62.7466.3871.6671.1367.4865.7974.1987.93-10911597.7610111399.79
-141.46-46.17-22.42-20.93-130.90-28.88-42.86-12.95--5.65-1.17-6.03-8.29-0.952.68
30.2525.8919.8219.8314373.54193-165.53--17.70-3.73-22.68-44.97-5.374.08
-16.15-11.46-7.54-7.07-46.84-16.69-27.52-10.45--2.80-0.64-3.50-4.93-0.561.82
-141.46-41.56-20.92-11.36-74.42-21.85-42.73-12.84--5.26-1.10-5.83-8.01-0.912.67
11.8031.3149.3762.7973.92186229317-10311311011210597.37
6.017.542.440.20-1.46-25.16-19.62-20.0731.3429.3825.8826.9916.5716.3616.16
1.073.69-1.41-4.17-5.94-29.94-23.17-22.6229.0624.8423.2122.4312.0913.0611.98

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.460.490.540.510.510.590.630.570.600.640.660.660.530.590.740.790.800.780.810.760.750.770.860.890.890.850.720.961.041.141.32----2.002.281.141.181.081.071.181.321.361.341.291.231.161.231.141.130.981.031.071.061.081.931.922.302.472.282.13
-----0.100.100.100.070.070.070.08--0.460.460.460.450.430.410.400.250.240.240.230.190.000.000.010.010.01----0.040.030.070.070.070.080.060.060.050.050.040.030.030.030.030.030.040.040.040.050.030.030.020.000.01--
0.220.310.290.190.180.120.110.110.080.080.070.08--0.900.870.840.810.760.690.670.340.320.310.300.230.010.020.020.020.02----0.080.070.160.150.160.150.130.120.090.100.100.070.090.060.060.070.070.080.070.080.040.040.030.010.010.000.01
39.4742.3247.1944.5443.4743.2849.7444.4643.7143.6848.4446.8341.3841.6651.6647.1749.2548.8550.7949.7546.3447.7952.4351.9349.1855.3951.2451.3552.4353.0956.2155.1155.7060.008,11366.6068.8171.5070.8170.1870.9669.5268.3769.8369.0967.2465.3765.8866.2167.2469.4866.7166.7867.6369.7769.9370.5171.3471.7970.3869.1067.23
-2.25-2.16-25.722.27-50.57-4.183.49-60.83-12.37-11.22-2.58-4.35-12.42-12.69-1.94-4.58-3.10-14.24-6.21-10.35-280.95-22.08-21.50-17.05-50.90-43.70-77.56-133.51-39.01-42.57-31.90-32.90-43.21-23.1918,9372.43-3.08-10.52-6.90-7.31-2.81-0.400.751.211.420.96-2.30-2.08-9.881.71-6.28-9.15-10.62-4.85-2.63-7.004.253.608.828.797.904.15
-2.25-2.16-25.722.27-50.57-4.183.49-60.83-12.37-11.22-2.58-4.35-12.42-12.69-1.94-4.58-3.10-14.24-6.21-10.35-280.95-22.08-21.50-17.05-50.90-43.70-77.56-133.51-39.01-42.57-31.90-32.90-43.21-23.1918,9372.43-3.08-10.52-6.90-7.31-2.81-0.400.751.211.420.96-2.30-2.08-9.881.71-6.28-9.15-10.62-4.85-2.63-7.004.253.608.828.797.904.15
--------------------------------------------------------------
-2.61-1.40-28.843.69-49.42-8.14-0.08-56.55-4.81-8.401.632.92-20.67-39.12-12.75-12.37-12.49-15.19-20.66-10.61-293.12-25.75-25.08-23.56-53.14-47.24-76.60-127.36-37.78-39.59-29.03-30.54-39.98-21.0219,2071.00-3.00-11.05-6.68-7.08-3.40-0.860.410.991.310.23-2.74-2.67-10.670.97-7.06-9.62-10.66-4.73-3.02-7.264.323.599.038.698.354.76
-6.93-6.10-34.37-1.83-52.07-13.65-3.83-60.67-9.75-13.94-1.06-2.09-25.57-41.28-14.68-12.64-11.74-14.73-22.48-11.20-288.51-26.90-24.89-23.95-55.21-48.57-69.86-129.65-38.84-40.44-29.83-30.97-40.78-14.3519,4411.04-5.24-8.39-2.95-3.97-4.00-1.020.22-0.11-0.57-2.94-2.36-4.85-10.93-0.76-5.26-6.70-14.16-0.63-0.97-4.671.970.634.622.963.780.90
0.180.180.190.180.180.160.170.160.150.140.150.150.140.140.130.130.130.130.130.130.130.110.110.110.100.100.100.090.090.090.10----0.170.150.260.250.240.230.220.210.200.200.200.200.200.190.190.200.200.200.180.180.180.180.160.160.160.160.15
--------------------------------------------------------------
1.591.561.491.961.721.451.441.921.621.451.341.141.371.471.301.471.381.321.321.591.361.621.451.661.441.491.251.351.171.151.11----1.191.141.050.921.020.920.880.851.081.141.051.001.231.060.940.971.171.091.110.941.231.201.100.971.191.250.96
56.5257.7860.4045.9652.2661.9262.7246.7855.6861.8967.1879.2765.6161.3269.3961.2065.0668.1167.9556.7166.1755.4862.2554.1662.3060.2571.7366.6577.2378.0981.00----75.8078.6686.0698.0788.5497.6910310683.3178.6986.0689.9972.9785.0995.4792.6577.2082.6280.8495.4073.2274.9081.7992.9275.5772.1193.88
-3.73-2.05-50.623.06-50.58-6.340.10-36.90-2.50-4.351.291.00-9.34-16.65-5.77-4.75-4.33-5.37-8.26-3.98-103.50-5.15-4.93-4.33-9.77-9.38-10.95-18.00-4.60-4.70-3.52----0.25-1.11-4.33-1.52-1.98-1.93-0.440.09-0.04-0.20-1.03-0.82-1.62-3.46-0.24-1.73-2.24-4.99-0.20-0.30-1.310.540.151.060.660.840.20
0.630.4010.82-0.9816.953.31-0.0619.851.953.63-1.14-0.787.1714.855.474.594.305.439.034.4511612.1912.5611.8426.4420.9549.35147-184.82-95.57-45.05----0.58-2.36-13.57-4.75-8.21-9.54-1.740.27-0.12-0.64-3.53-3.10-6.56-15.02-1.14-9.37-14.77-29.10-1.04-1.69-7.600.950.281.610.991.290.31
-0.36-0.22-5.780.50-8.65-1.510.03-9.17-0.80-1.410.430.31-2.96-5.65-1.95-1.65-1.52-1.89-2.96-1.48-38.20-2.86-2.85-2.58-5.72-4.99-7.03-12.27-3.60-3.70-2.85----0.18-0.81-2.17-0.75-0.96-0.93-0.230.05-0.02-0.11-0.59-0.48-0.98-2.10-0.15-1.03-1.34-2.82-0.12-0.17-0.830.350.100.720.460.600.14
-3.73-2.05-50.623.06-50.58-5.680.09-33.16-2.32-4.051.210.93-9.34-16.65-3.13-2.54-2.36-2.97-4.70-2.36-61.98-3.86-3.73-3.31-7.49-7.62-10.92-17.93-4.57-4.66-3.49----0.24-1.07-4.02-1.41-1.84-1.79-0.410.08-0.04-0.19-0.99-0.80-1.57-3.36-0.23-1.67-2.15-4.76-0.19-0.28-1.270.520.151.050.660.840.20
9.3710.7911.8018.0018.6729.6231.3130.8643.9847.0249.3748.0148.3454.1462.7965.6167.7469.9273.9282.6385.34178186193198199229252293303317----19921798.1910396.3997.0210311311511211111010810811111210610410610510499.2196.8397.3794.6393.1191.22
3.131.406.016.203.401.557.547.835.252.712.44-0.272.674.700.20-0.52-0.51-1.36-1.46-0.97-3.53-0.53-25.16-25.40-26.95-16.22-19.62-9.63-7.74-0.68-20.07-17.36-10.120.4631.3424.0320.2216.4929.3825.0816.8211.4625.8822.5021.4910.8026.9919.8014.626.8916.5711.5512.379.5516.3615.9313.049.3816.1611.827.541.49
0.700.161.072.550.880.303.694.993.461.88-1.41-3.110.773.73-4.17-3.78-2.74-2.48-5.94-4.59-6.00-2.18-29.94-28.71-29.31-17.19-23.17-12.27-9.14-1.73-22.62-19.09-11.77-0.5429.0622.4118.9815.6624.8421.1714.0410.3523.2120.4320.159.8922.4316.8312.796.5212.097.929.728.5613.0613.7811.398.3011.988.734.87-0.38