Spok Holdings Financial Ratios for Analysis 2009-2024 | SPOK

Fifteen years of historical annual and quarterly financial ratios and margins for Spok Holdings (SPOK).

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
1.331.291.712.072.302.912.992.773.002.872.571.581.604.483.17
------------0.10--
------------0.11--
80.7178.9977.1679.1279.6780.8883.4082.9364.1665.7864.0663.7264.5968.5468.41
15.270.18-19.50-15.30-9.86-1.876.2512.3413.2414.0621.6920.8122.1824.5119.82
15.270.18-19.50-15.30-9.86-1.876.2512.3413.2414.0621.6920.8122.1824.5119.82
18.502.83-1.137.691.434.4813.0519.5620.6022.6129.0430.7731.3735.2134.82
16.060.74-19.23-14.69-8.37-1.296.7512.7913.8713.6421.6220.9724.6225.7220.02
11.2716.25-15.60-29.85-6.72-0.87-8.947.7942.3210.3613.1312.2835.8533.4023.32
0.610.550.570.530.500.520.490.460.490.590.640.680.661.011.36
-----18.9717.0015.3629.6725.6433.9424.4730.08459-
5.965.015.284.955.315.235.767.598.387.9711.509.9811.3912.6611.99
61.2172.8869.0973.7368.7169.7563.3848.1143.5745.7931.7436.5732.0528.8330.45
9.5712.77-12.77-22.04-4.30-0.54-5.274.3424.357.4310.2010.7333.8442.2542.54
24.2530.39-29.77-43.78-8.75-1.09-10.237.8444.2016.4224.6830.6410842.3642.60
6.888.94-8.94-15.95-3.37-0.45-4.403.6020.776.148.428.3623.6433.7731.64
9.5712.77-12.77-22.04-4.30-0.54-5.274.3424.357.4310.2010.7330.3842.2542.54
8.198.528.7610.3513.1114.1614.4315.6915.7812.7012.4711.5911.208.367.06
1.290.320.411.370.610.520.771.821.951.922.293.253.663.524.38
1.120.13-0.370.600.360.220.311.521.691.571.832.823.313.143.65

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
1.281.301.331.331.351.311.331.291.371.411.451.711.822.002.032.072.122.192.212.302.322.532.542.912.732.873.122.992.802.792.972.773.113.053.103.002.992.883.182.873.042.892.822.572.222.121.781.581.891.591.561.601.421.371.234.485.164.193.883.172.992.382.03
---------------------------------------------------0.100.070.100.15--------
--------------------------------------------------0.010.110.120.160.24--------
79.5478.9279.5579.5881.3181.5580.3092.8980.3779.2963.6476.0076.7478.0077.8572.6882.6483.4977.8292.7081.7881.6963.4597.5980.8381.3063.7513865.7564.2463.5613964.9664.8364.0481.4558.8858.0358.3175.9061.8662.1162.8965.3662.5463.6964.5156.3765.8265.8566.3060.9365.5664.3067.0468.3968.8969.0367.9166.9267.5669.7869.10
14.2313.1714.0112.0317.5417.0414.228.8910.497.16-25.63-60.25-9.92-4.50-4.83-65.237.258.84-11.02-30.95-6.82-5.042.670.34-3.67-5.771.358.207.625.693.3310.6513.2912.5912.7813.8314.4211.7213.039.0116.2115.0116.1522.5219.2022.7822.108.8923.6724.6825.1312.2726.3424.8023.3323.1828.4223.2523.3318.7221.5917.0421.78
14.2313.1714.0112.0317.5417.0414.228.8910.497.16-25.63-60.25-9.92-4.50-4.83-65.237.258.84-11.02-30.95-6.82-5.042.670.34-3.67-5.771.358.207.625.693.3310.6513.2912.5912.7813.8314.4211.7213.039.0116.2115.0116.1522.5219.2022.7822.108.8923.6724.6825.1312.2726.3424.8023.3323.1828.4223.2523.3318.7221.5917.0421.78
---------------------------------------------------------------
14.7714.2814.7312.8418.3317.6415.209.7411.167.73-25.47-59.93-9.50-4.25-4.73-64.847.999.53-10.42-29.54-5.40-2.373.180.42-3.03-4.681.908.078.936.273.5611.0913.6312.9613.4514.0216.1112.2713.158.1316.0814.4816.0422.4319.2322.5122.139.3323.6525.3424.6911.7225.1535.2423.1523.6032.5223.5723.4619.1421.8817.0221.96
10.5010.0812.139.9112.5612.989.3972.858.655.71-21.33-48.26-6.96-2.01-6.37-124.368.4010.52-12.18-24.05-3.36-1.701.780.43-1.98-2.880.80-48.868.543.542.066.858.957.737.591459.147.048.1413.489.348.749.7614.6611.6013.0613.033.9114.6015.0914.9228.3517.0028.5370.9074.1827.1322.1414.155.5513.2459.5512.52
0.160.160.160.150.160.160.140.140.150.150.150.140.130.130.130.140.120.110.120.120.120.120.120.130.130.120.120.130.120.110.110.110.120.110.120.120.140.140.150.150.150.150.150.170.150.160.160.160.180.180.180.140.180.190.170.240.260.280.300.310.320.350.37
--------------------7.235.8910.630.614.905.059.48-10.037.849.228.20-8.657.577.378.223.8310.0110.526.234.627.108.999.358.537.317.196.226.955.856.837.427.068.738.187.77108-------
1.631.491.611.461.411.431.471.241.251.271.451.281.331.301.261.251.271.211.371.311.271.031.141.341.231.141.161.471.611.731.721.871.941.882.152.092.102.182.062.042.282.142.473.002.902.912.632.362.582.712.872.422.762.221.962.973.974.032.792.702.812.973.53
55.1760.4556.0061.8063.8762.8661.4272.7071.8070.9762.1970.1167.7369.2471.6271.8870.8574.5365.7368.6770.8887.7979.1367.3872.9778.8077.3861.1155.8151.9952.2948.2146.4047.8641.8043.0442.9441.3043.7044.1039.4542.1036.5130.0231.0130.8834.2038.1834.8733.1831.3337.1532.6740.4845.8130.3422.6722.3132.2433.2732.0730.3525.52
2.342.162.642.052.692.841.8514.161.911.23-4.51-9.60-1.30-0.37-1.17-23.231.281.53-1.87-3.80-0.51-0.250.270.07-0.30-0.420.12-7.361.190.480.270.941.221.041.0420.861.571.231.422.481.671.561.792.972.182.632.700.813.103.263.305.694.387.9618.4721.998.978.005.622.295.6928.318.34
6.415.806.945.216.717.024.5133.685.403.37-11.88-22.37-2.70-0.75-2.36-46.142.583.14-3.90-7.73-1.07-0.510.560.14-0.60-0.830.23-14.302.170.880.481.702.161.871.8837.863.552.723.145.473.753.594.227.195.536.897.362.308.789.459.6218.1015.5030.5889.3922.058.998.025.642.295.7428.968.76
1.691.581.971.481.962.021.359.911.290.84-3.10-6.72-0.92-0.27-0.84-16.810.981.20-1.46-2.97-0.40-0.200.220.06-0.25-0.350.10-6.150.990.400.220.781.040.890.9017.791.291.011.192.051.391.301.502.451.782.142.130.632.562.652.673.983.125.4911.9217.587.156.204.301.704.2820.714.61
2.342.162.642.052.692.841.8514.161.911.23-4.51-9.60-1.30-0.37-1.17-23.231.281.53-1.87-3.80-0.51-0.250.270.07-0.30-0.420.12-7.361.190.480.270.941.221.041.0420.861.571.231.422.481.671.561.792.972.182.632.700.813.103.263.305.114.097.1715.6621.998.978.005.622.295.6928.318.34
7.717.817.918.198.288.348.448.527.787.938.128.769.8410.0210.1410.3513.0012.9112.7813.1113.8313.9614.0814.1614.3514.4414.6614.4315.6915.5915.6515.6916.1916.0916.0215.7812.7712.7612.7012.7012.8312.7012.6112.4712.1912.0111.8011.5911.9711.7011.5711.2010.8010.579.968.367.777.367.137.067.166.995.27
1.000.460.101.290.710.550.130.32-0.01-0.30-0.250.410.490.200.041.371.090.340.070.610.560.040.060.520.610.300.050.770.700.320.181.821.430.970.461.951.571.170.291.921.460.830.352.291.791.060.723.252.351.490.713.662.691.460.573.522.761.760.784.383.292.271.16
0.890.390.051.120.590.460.100.13-0.10-0.36-0.28-0.37-0.09-0.20-0.150.600.52-0.04-0.080.360.35-0.100.000.220.350.13-0.010.310.350.070.041.521.220.820.391.691.401.040.251.571.170.610.241.831.440.820.612.822.051.310.643.312.471.310.503.142.581.660.713.652.761.820.91