TruBridge Financial Ratios for Analysis 2009-2024 | TBRG

Fifteen years of historical annual and quarterly financial ratios and margins for TruBridge (TBRG).

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
2.311.681.491.791.591.821.421.444.284.493.392.833.253.434.06
0.510.370.300.270.350.440.500.48-------
1.060.600.450.380.590.821.050.97-------
48.1949.0251.6251.5152.4953.4053.1850.0451.8555.6546.6744.0045.7842.0141.69
-12.556.978.807.968.958.87-1.745.3813.7724.2225.0122.5223.8018.9918.29
-12.556.978.807.968.958.87-1.745.3813.7724.2225.0122.5223.8018.9918.29
6.6214.2214.9213.1213.6013.3813.2610.5915.5126.0126.7224.2425.2520.2019.68
-16.025.548.227.108.636.46-4.872.9913.9924.2925.2522.9124.1919.4318.86
-13.194.766.425.227.176.08-6.171.469.8615.8416.1516.2014.8912.2311.89
0.780.760.730.810.810.860.870.791.962.062.172.382.292.442.35
37021215911891.5187.2491.5078.6958.6763.4267.4361.0351.1549.8543.72
5.335.866.866.125.405.055.217.175.494.974.427.546.865.365.50
68.5262.3353.2259.6767.5872.2970.0150.9066.4673.4782.6248.4353.2468.0966.40
-24.546.858.287.1211.1011.04-12.802.4924.3440.7547.4052.4045.0240.3335.57
61.46-23.15-36.61-65.04-41.79-26.3617.23-3.3424.3440.7547.4052.4045.0240.3335.57
-10.543.684.814.376.035.38-5.471.1619.7733.1435.3838.8834.1529.8727.88
-11.994.315.805.217.216.20-6.391.2924.3440.7547.4052.4045.0240.3335.57
12.8316.0615.2013.8312.8411.359.8911.676.677.216.195.165.194.243.89
0.072.263.333.503.161.761.760.162.793.532.642.933.041.790.80
0.052.243.273.263.041.691.710.162.753.402.312.542.061.330.73

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
1.771.952.311.441.731.671.681.781.791.731.491.711.441.791.791.922.001.651.591.531.601.711.821.801.691.611.421.241.141.241.441.411.341.124.284.024.594.124.493.963.852.843.392.952.962.582.833.113.242.843.253.623.202.793.432.973.343.674.064.454.134.09
0.490.500.510.380.380.370.370.370.370.370.300.340.350.250.270.310.340.330.350.400.420.410.440.470.480.490.500.470.460.470.480.490.490.47----------------------------
0.991.001.060.620.630.590.600.600.610.610.450.530.550.350.380.460.530.540.590.700.780.760.820.910.961.001.050.920.920.940.971.000.980.89----------------------------
48.8549.8449.1146.9747.8548.7746.5147.7349.1752.9055.1650.3549.4551.2551.7751.8350.5651.7751.7952.2852.2053.6854.8552.1351.3255.1456.6251.2353.1851.0346.4250.6751.0351.8251.0350.9452.4952.8784.4547.3747.4646.9149.7144.1547.8344.6444.3344.3144.0443.3144.1646.3249.4642.4445.3441.6941.5938.3940.0441.2440.9444.82
-3.56-1.75-48.66-6.30-2.257.305.135.975.5511.5410.176.4611.297.238.949.084.618.7912.628.745.478.7513.347.743.2810.79-23.218.386.575.056.346.567.691.1110.419.5517.8116.9420.2226.5826.5223.0131.1323.5724.6920.4025.8022.1221.7020.2324.9422.9225.8821.0323.6918.7718.0713.9516.7118.5017.3020.87
-3.56-1.75-48.66-6.30-2.257.305.135.975.5511.5410.176.4611.297.238.949.084.618.7912.628.745.478.7513.347.743.2810.79-23.218.386.575.056.346.567.691.1110.419.5517.8116.9420.2226.5826.5223.0131.1323.5724.6920.4025.8022.1221.7020.2324.9422.9225.8821.0323.6918.7718.0713.9516.7118.5017.3020.87
--------------------------------------------------------------
-8.46-4.93-53.25-9.74-5.314.512.203.554.6412.179.435.4610.457.508.229.182.867.6218.066.273.236.5010.925.390.908.28-27.195.463.812.343.733.995.39-1.0010.579.8618.0517.1220.3426.7126.6422.9331.2823.8124.9420.6826.0322.7022.1220.5925.3523.3526.2021.4124.0619.3118.3814.4916.8219.1618.0721.64
-5.96-3.02-48.36-4.21-3.353.582.902.563.7210.217.143.838.775.944.237.712.965.6715.305.802.424.799.948.010.485.60-27.053.332.280.383.062.472.87-2.367.557.7812.2811.6214.3717.2616.8914.6019.2215.4315.8214.0118.5115.3318.0712.7015.5314.2416.2113.3115.4711.9511.319.2610.6612.1811.4813.36
0.210.200.200.190.190.200.190.190.190.180.190.180.170.210.200.210.180.210.210.200.190.210.220.210.210.220.250.200.200.190.190.190.200.190.480.460.480.460.470.530.550.510.550.520.620.590.620.530.570.560.560.580.670.580.690.680.670.580.620.620.570.56
54.6642.6191.9946.6145.8837.3756.7824.6837.2864.6938.8130.2424.3524.7129.7425.5218.3224.6523.8822.2716.9218.3021.8027.6922.3723.4123.9028.9929.4825.7820.3818.9719.4729.0814.4914.7116.5413.855.0314.9519.7718.7416.2321.1615.4812.3615.8611.0013.4712.5412.8211.2413.399.9013.2114.9710.4510.7611.8811.439.9211.19
1.331.231.351.311.421.461.491.641.531.651.811.851.741.561.551.481.361.381.391.331.301.281.301.221.211.261.471.501.671.701.731.721.651.671.331.281.341.241.121.111.091.081.130.931.141.431.971.531.741.701.671.651.651.561.511.461.521.401.451.521.711.59
67.7073.3966.7968.8563.3461.7460.3355.0458.6654.5849.7748.5651.8457.5758.2160.8966.1465.0564.7967.6669.3770.1669.1074.0574.2371.2961.2460.0853.9352.8451.9752.2954.4153.9667.4970.5166.9372.4780.1781.4382.8783.7179.8097.2478.9963.1345.6958.7951.6653.0053.9554.7154.3957.8459.7261.5659.1964.1961.9759.2152.4956.58
-2.79-1.36-22.76-1.56-1.231.321.090.931.323.522.431.272.902.031.562.680.922.166.092.400.992.104.753.800.232.78-15.831.461.010.161.271.021.26-1.024.504.557.356.838.3511.8012.1410.8314.5411.3613.6911.8015.9810.8413.399.6911.4210.9915.1611.2014.3411.2210.066.978.429.418.359.56
6.783.4057.015.914.60-4.92-3.67-3.00-4.01-9.79-10.73-4.57-8.96-28.13-14.26-18.54-4.81-9.95-22.92-6.47-2.32-5.75-11.34-7.36-0.37-4.3121.31-2.06-1.40-0.21-1.70-1.34-1.661.434.504.557.356.838.3511.8012.1410.8314.5411.3613.6911.8015.9810.8413.399.6911.4210.9915.1611.2014.3411.2210.066.978.429.418.359.56
-1.22-0.60-9.78-0.83-0.650.710.580.490.691.841.410.711.561.250.961.590.521.223.311.210.481.042.321.760.101.22-6.770.670.470.070.590.470.57-0.463.663.626.035.466.799.229.417.5610.868.139.848.3211.858.1210.257.068.678.3010.937.6810.628.097.545.326.607.576.557.42
-1.41-0.69-11.12-0.97-0.760.840.680.580.832.211.700.841.891.531.141.860.611.453.961.450.581.232.672.030.121.42-7.900.780.540.080.660.520.64-0.544.504.557.356.838.3511.8012.1410.8314.5411.3613.6911.8015.9810.8413.399.6911.4210.9915.1611.2014.3411.2210.066.978.429.418.359.56
12.1212.3512.8315.6715.8716.0716.0616.0015.6415.4815.2014.6614.3614.0713.8313.5313.1613.0512.8411.9811.6411.4411.3510.7310.2410.129.8911.4011.3911.5311.6711.5511.7012.086.676.887.117.137.217.086.696.386.195.735.605.315.165.775.575.275.194.934.724.384.243.973.873.823.893.893.873.85
0.82-0.140.070.940.720.672.262.101.320.823.332.402.310.963.502.341.770.553.161.841.270.581.761.090.580.231.761.361.180.720.16-0.19-0.630.062.792.371.571.233.532.361.311.202.641.300.620.502.931.621.040.773.042.191.551.301.791.270.780.530.800.560.670.34
0.80-0.160.050.910.710.672.242.091.310.823.272.342.260.933.262.111.550.393.041.721.190.541.691.030.550.231.711.331.150.720.16-0.20-0.640.062.752.331.531.203.402.301.291.192.311.000.370.322.541.410.890.722.062.101.491.281.330.850.480.410.730.430.590.31