Streamline Health Solutions Financial Ratios for Analysis 2009-2024 | STRM

Fifteen years of historical annual and quarterly financial ratios and margins for Streamline Health Solutions (STRM).

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
0.650.951.120.990.420.630.840.941.151.151.931.150.960.730.820.90
0.330.200.220.04-0.350.280.290.320.350.210.480.470.150.110.10
0.560.270.290.130.240.640.460.480.560.600.321.020.890.210.150.11
51.0846.1850.6549.8654.8663.6258.2057.4059.7452.9353.7551.2248.1035.8746.9045.57
-86.95-43.52-61.95-52.41-60.75-23.71-10.77-17.63-19.86-48.19-22.17-3.511.44-10.527.43-8.27
-86.95-43.52-61.95-52.41-60.75-23.71-10.77-17.63-19.86-48.19-22.17-3.511.44-10.527.43-8.27
-24.35-26.19-40.68-29.70-39.06-10.467.262.850.88-18.26-2.3714.6717.308.0623.196.28
-82.95-45.43-39.17-53.40-66.45-26.22-13.08-19.12-15.12-46.69-41.47-34.780.22-10.987.30-8.37
-82.74-45.72-37.642.6117.13-26.22-12.73-22.31-19.87-47.24-45.26-23.370.07-16.767.07-8.44
0.540.400.280.440.370.700.660.650.570.500.430.430.681.101.040.97
----------------
4.502.873.723.664.205.337.555.466.563.883.102.343.485.335.868.90
81.0412798.0099.8286.8168.4848.3766.8555.6894.1611815610568.4362.2341.03
-99.38-32.04-20.32-27.44-39.01-94.57-31.46-43.60-26.77-63.21-39.73-39.960.16-44.7414.75-19.37
286480119-77.99-149.4553.3026.9048.2651.59180-217.7278.380.36-44.7414.75-19.37
-44.80-18.50-11.19-18.47-19.70-18.48-8.35-12.40-8.60-21.53-17.87-9.730.05-18.427.35-8.22
-67.06-25.59-15.83-26.29-39.01-61.39-22.53-30.87-18.10-41.30-31.51-20.770.08-37.8613.15-17.41
4.799.2510.678.307.864.487.389.0112.7915.3624.3315.9611.4910.0313.8711.37
-0.59-2.17-1.21-2.820.001.071.600.774.72-2.470.23-0.154.395.353.367.43
-1.02-2.76-1.73-3.71-1.71-1.230.13-1.134.30-4.73-0.60-3.47-0.170.26-3.510.21

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
0.610.760.650.610.650.800.950.900.760.911.122.042.962.370.990.941.081.340.420.420.500.630.630.550.670.850.840.750.760.810.940.751.000.991.151.241.111.101.151.021.161.281.930.511.201.091.151.280.891.070.960.760.670.640.730.620.800.750.820.790.770.820.90
0.400.380.330.300.220.210.200.210.250.230.220.23--0.040.040.060.08--0.330.320.350.280.270.250.280.300.310.320.290.300.280.280.320.320.330.350.350.240.240.210.21-0.530.540.480.500.260.450.470.200.160.190.150.000.210.200.110.210.100.100.10
0.780.720.560.500.310.290.270.290.350.320.290.29-0.080.130.130.120.120.240.190.740.560.640.450.440.390.460.490.520.540.480.500.460.580.560.550.570.620.600.400.390.330.322.291.221.281.021.090.360.820.890.250.200.250.210.320.300.270.150.270.110.110.11
46.8747.4154.4553.0748.9347.7549.4142.5846.5345.9349.0752.4349.8651.3046.6044.0053.1755.3439.6955.0754.7667.5467.9063.9859.4863.0561.1463.2656.3051.5951.6551.4366.2159.1157.8859.4267.9950.5048.6755.4858.2948.8844.3053.4463.1050.9347.3853.4453.2951.4050.8250.1546.9144.1728.4142.6343.7327.2857.4241.9439.8542.3740.29
-49.49-51.96-20.63-211.10-45.03-56.19-27.22-50.86-44.33-53.53-34.85-69.28-83.16-83.19-43.98-70.96-43.57-52.95-100.07-51.32-73.89-27.59-54.70-10.15-26.67-5.80-1.454.63-16.15-31.65-16.50-26.66-7.70-20.70-23.50-5.00-1.77-58.59-75.01-39.68-28.43-51.69-73.02-17.0311.03-21.34-17.53-4.62-0.4812.352.578.430.49-6.13-15.603.23-0.60-33.8825.92-6.94-0.430.75-3.91
-49.49-51.96-20.63-211.10-45.03-56.19-27.22-50.86-44.33-53.53-34.85-69.28-83.16-83.19-43.98-70.96-43.57-52.95-100.07-51.32-73.89-27.59-54.70-10.15-26.67-5.80-1.454.63-16.15-31.65-16.50-26.66-7.70-20.70-23.50-5.00-1.77-58.59-75.01-39.68-28.43-51.69-73.02-17.0311.03-21.34-17.53-4.62-0.4812.352.578.430.49-6.13-15.603.23-0.60-33.8825.92-6.94-0.430.75-3.91
---------------------------------------------------------------
-62.62-63.26-25.31-196.17-43.45-53.41-31.62-50.33-54.57-46.771.57-79.34-2.62-83.12-44.18-70.88-46.24-54.08-108.91-56.18-80.84-30.56-56.77-12.59-28.85-9.05-0.880.10-18.52-34.44-16.24-29.07-9.93-22.14-21.94-6.34-6.51-30.31-86.41-32.99-31.40-38.41-33.85-92.65-7.80-41.56-106.49-17.65-8.709.190.376.97-0.05-6.73-16.092.23-1.52-33.0525.68-7.20-0.290.62-4.38
-62.62-63.26-25.55-194.21-43.59-54.41-32.35-50.47-54.61-46.96-0.50-78.16-2.09-72.59-39.91-39.95-39.31129-89.67134-24.439.89-56.66-12.63-28.89-9.090.620.05-18.56-34.48-15.97-30.19-15.63-27.93-27.82-11.22-10.32-35.04-77.27-36.93-34.90-41.73-36.77-98.14-9.62-47.14-116.4034.59-9.189.030.106.86-0.17-6.78-36.482.12-1.62-33.1925.24-7.20-0.440.44-4.32
0.110.100.130.150.110.090.110.100.110.100.100.090.080.070.110.100.100.100.080.110.080.100.170.160.150.170.160.190.160.160.150.170.170.150.130.140.160.120.120.120.120.110.100.130.160.130.120.120.200.220.180.290.280.290.310.260.270.220.360.260.250.240.20
---------------------------------------------------------------
1.280.871.071.391.551.110.781.501.391.111.301.431.000.860.961.571.791.830.951.210.690.751.301.921.721.671.892.271.261.431.292.001.901.611.482.000.940.950.931.120.660.760.710.810.700.640.661.622.001.720.921.521.541.871.491.441.501.882.021.911.951.781.84
70.1710484.2364.8058.1881.2711660.1264.8380.8469.4663.1389.7810593.9057.3550.2249.2194.6374.6313111969.1146.8452.3453.7947.5939.6271.3663.0669.8845.0047.3755.9961.0144.9295.8394.8897.2580.7113711912711112914113655.6245.0852.4697.9059.1758.3448.1360.4562.6959.8247.7744.4847.1446.0450.5448.81
-17.63-15.83-7.28-60.31-8.09-8.77-6.14-9.19-11.48-8.86-0.01-13.03-0.23-8.06-9.09-5.82-6.09-4.90-15.14-8.34-26.18-9.46-49.98-7.41-15.68-5.110.230.09-11.86-20.30-8.70-15.54-5.24-10.04-8.79-2.61-3.20-10.60-25.32-9.65-9.10-9.89-6.57-112.18-7.76-25.85-58.0014.60-4.015.670.064.09-0.10-4.31-27.191.17-0.97-15.2418.16-4.18-0.250.23-2.06
32.4835.8720.9719842.7966.3892.0375.2731.8035.360.0964.29-0.36-12.73-25.84-15.45-15.47-11.89-57.99-102.4215.636.2528.175.8913.605.61-0.19-0.078.6416.759.6316.747.5115.7916.946.087.3424.4172.0052.2974.84190-36.0033.169.1528.40114-58.29-6.5111.720.134.09-0.10-4.31-27.191.17-0.97-15.2418.16-4.18-0.250.23-2.06
-7.18-6.56-3.28-28.98-4.72-5.14-3.55-5.04-5.74-4.65-0.01-7.02-0.19-6.15-6.12-4.22-4.11-3.43-7.64-4.87-5.25-2.01-9.77-2.05-4.22-1.510.060.03-2.92-5.35-2.47-4.80-1.64-3.24-2.82-0.91-1.03-3.60-8.63-3.97-3.66-4.33-2.95-11.84-1.54-5.27-14.134.53-1.852.000.022.01-0.05-1.94-11.190.56-0.44-7.169.05-1.89-0.110.11-0.87
-10.63-9.79-4.91-42.10-6.35-6.94-4.91-7.23-8.62-6.80-0.01-10.10-0.23-8.06-8.71-5.57-5.72-4.54-15.14-8.34-17.61-6.42-32.45-5.36-11.40-3.810.160.06-8.17-13.79-6.16-10.93-3.76-7.23-5.94-1.77-2.14-6.84-16.54-7.36-6.87-7.77-5.21-112.18-3.68-11.99-30.157.26-2.953.110.033.30-0.09-3.51-23.001.16-0.76-12.2516.19-3.30-0.220.20-1.85
3.764.204.795.047.928.459.259.298.769.8010.6710.5710.9410.828.308.729.059.667.868.904.564.874.486.827.268.287.387.156.927.659.019.4510.6511.3412.7913.7813.9314.2015.3618.9820.5922.2824.335.9912.2812.4015.9619.5914.2812.4611.4910.7710.139.8810.0312.4612.0612.0313.8711.2511.6011.5111.37
-0.22-0.31-0.59-0.57-0.250.03-2.17-1.48-0.94-0.40-1.21-1.31-0.400.03-2.82-1.79-0.97-0.950.00-3.26-2.00-0.971.07-0.540.370.031.60-0.86-0.73-1.110.77-0.950.11-1.944.723.160.65-0.85-2.47-1.93-3.53-3.260.230.86-1.59-3.24-0.152.414.202.364.390.941.07-0.355.350.88-0.020.003.36-0.291.17-1.397.43
-0.33-0.37-1.02-1.00-0.53-0.08-2.76-1.94-1.22-0.57-1.73-1.66-0.65-0.12-3.71-2.53-1.53-1.19-1.71-4.61-3.03-1.52-1.23-2.29-0.81-0.530.13-1.75-1.38-1.41-1.13-2.42-0.65-2.344.302.970.56-0.87-4.73-3.87-5.16-3.91-0.60-0.44-2.63-3.89-3.470.342.321.30-0.17-2.39-1.39-1.820.26-2.88-2.51-1.35-3.51-5.61-2.65-3.200.21