Gentherm Inc Financial Ratios for Analysis 2009-2024 | THRM

Fifteen years of historical annual and quarterly financial ratios and margins for Gentherm Inc (THRM).

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
2.122.392.663.122.392.532.692.502.862.271.762.071.593.233.37
0.260.260.050.240.140.220.200.270.190.230.210.160.37--
0.350.350.060.330.170.290.260.370.250.310.350.260.73--
23.9422.7229.0229.3629.6729.0832.1132.1532.2729.7926.4025.5725.7029.1425.87
5.274.0110.999.778.676.949.7711.5614.1712.137.616.604.8210.101.49
5.274.0110.999.778.676.949.7711.5614.1712.137.616.604.8210.101.49
10.078.2214.7014.2713.2311.7714.2915.6817.7916.4512.3312.1211.1211.263.85
3.743.1910.888.936.095.546.9712.0515.0611.616.985.894.2910.151.00
2.752.038.936.545.034.003.548.3511.148.644.862.010.398.411.19
1.190.971.120.891.321.311.131.091.321.461.371.260.991.420.98
5.434.274.665.275.776.615.565.936.897.347.597.685.9311.6717.77
5.794.875.724.316.086.285.375.405.935.965.605.434.495.934.04
63.0074.8863.8484.6159.9958.0967.9567.6661.5861.2765.2167.2681.3761.5090.30
6.263.6414.2910.1810.098.736.3616.6424.8223.8315.1411.3010.6915.290.59
8.515.1116.9812.6513.2211.398.7921.8230.9735.8328.6025.72-48.1516.640.64
3.271.979.995.846.615.223.999.0914.7112.657.295.542.9911.080.46
4.652.7013.547.698.696.805.0712.1619.9918.4711.999.546.7315.290.59
20.4420.2519.8117.8114.8214.1715.0712.6010.588.246.647.224.462.612.22
3.610.454.273.353.573.271.352.962.872.231.751.281.460.510.20
2.48-0.733.122.902.862.15-0.021.151.361.160.700.351.010.470.16

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
2.022.112.102.122.242.312.322.392.202.482.472.662.662.702.533.123.023.533.192.392.262.342.422.532.552.602.712.693.233.233.092.502.302.212.812.862.712.392.322.272.171.901.931.761.821.811.932.071.892.092.251.591.551.631.853.233.163.353.203.373.454.514.64
0.250.260.260.260.240.240.250.260.270.050.050.050.050.070.090.240.270.300.330.140.180.180.170.220.150.160.150.200.210.230.240.270.240.250.300.190.210.200.210.230.240.190.220.210.230.270.280.160.170.180.220.370.370.40---------
0.340.350.340.350.320.330.340.350.380.060.060.060.060.070.100.330.380.430.500.170.220.230.210.290.180.190.180.260.260.310.330.370.320.340.430.250.280.260.290.310.340.310.360.350.410.480.510.260.280.300.360.730.740.841.46-------0.03
25.5425.7424.9326.2423.5423.6322.3120.3324.1322.7723.9527.1428.5129.7830.3832.0931.8319.6528.9028.4831.1129.8829.2027.6628.9528.9430.7132.2229.7632.1834.1633.2332.9730.7231.6432.5933.4830.7832.1730.3729.8929.4729.4027.2326.8225.0126.3725.8426.1325.1725.0926.2924.5524.9229.2129.7528.8830.2127.4629.0124.6423.6223.78
8.708.785.078.646.481.164.861.046.852.975.308.828.5111.9114.1214.5114.84-7.278.189.568.478.248.478.146.015.857.807.906.8410.3313.9811.1911.799.6113.8514.1916.7312.5013.0912.0711.7111.8912.919.678.505.246.616.457.126.326.525.424.635.222.435.6013.1511.639.8411.006.61-11.28-14.52
8.708.785.078.646.481.164.861.046.852.975.308.828.5111.9114.1214.5114.84-7.278.189.568.478.248.478.146.015.857.807.906.8410.3313.9811.1911.799.6113.8514.1916.7312.5013.0912.0711.7111.8912.919.678.505.246.616.457.126.326.525.424.635.222.435.6013.1511.639.8411.006.61-11.28-14.52
---------------------------------------------------------------
5.227.565.154.696.210.883.22-1.244.694.225.999.078.3511.4814.0314.0713.00-7.447.565.599.443.415.947.441.277.416.056.993.054.4713.0913.6811.2810.4112.8618.4016.7412.2912.6511.8311.7211.1211.808.607.224.667.234.545.707.096.367.691.982.843.095.4413.3011.6710.009.496.08-10.83-13.80
4.305.024.154.934.33-0.422.19-1.222.952.714.398.086.459.3211.4111.779.30-7.595.199.476.621.133.264.93-0.146.254.90-1.972.783.5010.1911.018.697.935.5113.3912.369.139.589.668.397.978.556.014.993.105.221.731.762.621.964.06-1.31-2.05-1.869.688.838.016.826.476.13-8.11-9.20
0.290.300.280.300.300.300.290.280.270.280.280.270.260.280.310.280.280.170.260.310.330.320.340.320.310.300.290.300.270.280.300.280.290.300.270.330.360.360.370.370.370.390.380.380.370.360.350.340.310.310.280.350.310.180.150.360.390.410.360.350.310.200.19
1.181.301.221.311.361.371.291.251.081.071.161.131.131.351.521.601.540.971.381.391.391.521.631.651.711.601.521.481.461.551.511.501.451.701.701.701.911.861.751.841.932.142.092.071.992.142.092.052.012.201.932.081.911.293.462.986.406.925.626.036.502.352.28
1.371.421.341.451.391.441.421.391.341.261.291.361.331.341.301.361.341.141.441.441.411.421.471.531.431.331.351.431.291.341.351.391.301.381.331.471.441.431.401.511.401.411.391.541.401.411.371.451.401.441.441.591.390.971.401.531.301.381.371.431.251.571.17
65.6363.4367.0362.2064.8362.4063.5464.7867.1971.5869.7266.3567.4267.0769.3765.9567.0178.6462.6062.3964.0463.4961.0858.6663.1567.5866.8862.7369.5467.0366.9064.7169.2465.0967.4661.2662.7063.0164.1859.7464.2563.7164.5458.4064.3263.8265.6162.0864.4762.3662.4756.6064.7092.7764.5258.9569.4065.3365.5362.8171.9057.1876.80
2.422.952.292.812.40-0.231.17-0.631.571.101.793.072.393.845.375.804.72-2.202.524.513.520.591.762.63-0.062.832.12-0.951.191.605.115.664.544.382.927.397.855.966.666.746.176.036.594.714.062.885.502.652.683.383.029.101.370.75-1.114.484.554.023.082.721.71-1.94-2.07
3.233.963.073.813.21-0.311.63-0.882.281.292.113.642.854.616.537.206.07-2.903.335.904.720.802.273.43-0.083.742.82-1.311.482.006.517.426.146.073.609.2210.218.079.3610.1310.0210.7311.518.908.396.8414.806.036.708.468.75-40.97-4.68-1.73-1.214.874.944.383.362.951.86-2.10-2.24
1.231.521.181.471.29-0.120.63-0.340.790.751.212.141.662.653.533.322.62-1.251.332.952.150.371.101.57-0.041.871.44-0.590.760.983.053.092.502.341.514.384.423.253.523.583.103.073.232.271.911.242.321.301.241.541.312.540.380.20-0.273.243.293.012.302.081.34-1.62-1.74
1.812.191.702.091.83-0.170.87-0.461.151.041.702.912.263.594.904.383.43-1.551.693.882.900.481.462.05-0.052.391.81-0.750.951.233.864.133.453.282.055.966.194.785.235.224.674.855.163.733.122.113.972.242.232.762.345.730.860.45-1.114.484.554.023.082.721.71-1.94-2.07
21.3320.4520.4620.4420.1320.3320.5420.2518.8019.4119.8019.8119.7319.4718.5117.8115.6614.3814.4314.8213.7914.0414.2214.1715.3916.1716.5915.0715.0214.4713.5412.6012.2011.5411.1910.589.739.078.298.247.867.697.136.646.225.635.397.227.146.846.844.464.784.902.702.612.582.432.322.222.152.092.11
2.330.85-0.333.612.411.780.750.450.39-0.11-0.024.273.482.521.193.352.221.540.903.572.551.200.203.271.940.890.151.350.420.17-0.582.961.941.400.172.871.821.090.242.231.250.68-0.091.750.820.800.311.280.950.560.261.460.290.290.090.510.390.160.100.200.010.04-0.07
0.97-0.12-0.682.481.611.360.56-0.73-0.38-0.57-0.193.122.601.900.892.901.901.310.802.862.000.820.052.151.080.30-0.08-0.02-0.59-0.53-0.951.150.560.56-0.291.360.850.46-0.041.160.510.25-0.280.70-0.040.250.120.350.440.290.141.010.120.150.060.470.360.140.090.16-0.010.03-0.08