Universal Electronics Financial Ratios for Analysis 2009-2024 | UEIC

Fifteen years of historical annual and quarterly financial ratios and margins for Universal Electronics (UEIC).

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
1.611.561.561.821.421.361.221.501.472.352.321.981.671.443.05
---0.000.020.030.050.040.04------
0.310.330.200.060.260.420.600.220.24---0.070.17-
23.2028.0628.7628.6722.5920.8523.8225.2027.6629.6828.6128.8127.7531.3032.00
-20.292.683.876.062.03-0.241.533.905.967.346.075.665.676.426.91
-20.292.683.876.062.03-0.241.533.905.967.346.075.665.676.426.91
-3.167.118.3110.906.274.706.038.049.3510.599.549.469.378.859.05
-21.942.102.677.141.383.851.053.875.977.195.495.325.386.596.98
-23.360.080.886.280.481.75-1.483.124.845.794.343.574.264.554.62
1.181.081.181.201.341.221.141.251.221.211.251.221.270.891.36
3.662.793.193.644.023.733.263.753.564.063.923.913.723.495.27
3.624.664.644.635.384.674.545.184.955.735.555.075.703.844.93
10178.3378.6178.8367.8278.1780.3570.4173.7863.6565.7971.9864.0194.9574.01
-54.910.151.9212.311.324.53-4.077.2711.3110.317.886.608.677.148.65
-63.970.212.5615.751.766.27-5.879.7616.0412.509.848.7211.9910.4510.16
-27.600.081.047.560.642.15-1.703.915.897.035.424.365.404.056.29
-54.910.151.9212.301.304.39-3.877.0010.8210.317.886.608.677.148.65
13.8821.1321.5322.7519.6819.0318.0419.2817.9719.8518.5516.7415.5514.1312.40
1.960.862.935.186.040.910.643.361.683.931.972.880.972.701.72
1.33-0.242.023.994.53-0.52-2.180.60-0.442.901.302.190.082.111.28

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
1.611.601.661.611.551.611.611.561.531.491.491.561.661.751.791.821.701.581.451.421.371.341.351.361.371.331.241.221.341.331.391.501.611.531.521.471.512.072.502.352.372.322.612.322.302.102.161.982.041.941.901.671.591.611.581.443.663.103.323.053.022.953.04
--------------0.000.000.000.000.000.020.020.020.020.030.040.030.030.050.050.040.030.040.040.040.040.040.04--------------------------
0.250.260.270.310.410.380.400.330.330.330.310.200.180.150.130.060.170.260.290.260.350.380.420.420.420.440.570.600.450.370.350.220.160.200.260.240.220.04----------0.030.050.060.070.080.090.130.17-------
30.1128.6928.2828.5219.0622.9222.7826.2429.9328.3027.3924.9329.4429.6830.8232.6928.7724.8628.2928.5423.1617.5321.6522.0422.0616.4622.5920.9024.5224.6425.4225.6924.7025.4224.9928.5326.6827.3028.1930.1230.5329.7728.1529.8428.4127.8028.3730.3129.1828.2527.3128.3627.6728.7026.0927.9432.5534.7630.9133.6831.3432.5630.14
0.41-4.92-7.52-2.68-13.10-8.50-54.92-1.547.743.95-0.42-2.275.725.995.728.016.674.225.306.553.05-2.020.901.512.59-6.070.55-0.272.404.11-0.233.904.804.662.026.405.637.054.607.109.337.984.615.747.357.333.406.707.645.542.235.337.666.832.404.628.319.273.769.517.997.262.16
0.41-4.92-7.52-2.68-13.10-8.50-54.92-1.547.743.95-0.42-2.275.725.995.728.016.674.225.306.553.05-2.020.901.512.59-6.070.55-0.272.404.11-0.233.904.804.662.026.405.637.054.607.109.337.984.615.747.357.333.406.707.645.542.235.337.666.832.404.628.319.273.769.517.997.262.16
---------------------------------------------------------------
-0.20-5.95-8.61-4.62-15.03-10.18-56.02-2.867.263.32-0.38-2.631.605.905.667.825.4310.634.665.752.59-2.490.000.530.7015.23-0.46-1.212.023.43-0.113.174.864.902.326.495.277.164.867.498.937.704.335.536.886.132.925.907.565.391.885.027.336.452.295.008.369.273.949.538.157.661.84
-2.60-9.06-9.41-7.28-18.08-9.69-56.62-5.624.872.15-2.20-4.37-0.613.724.657.784.029.403.854.021.33-2.61-0.55-6.520.5213.94-0.36-9.300.982.640.072.024.613.851.815.763.915.683.916.437.365.803.294.086.064.292.572.485.494.421.574.185.735.031.733.675.956.062.576.885.084.871.12
0.320.290.280.270.280.270.260.240.290.270.250.280.300.290.290.310.300.290.280.310.360.340.320.310.330.280.270.300.290.310.300.310.330.340.310.330.330.320.300.300.330.330.310.320.350.340.310.310.340.330.300.320.330.330.300.280.350.350.320.360.370.350.34
0.800.740.790.790.930.780.680.650.770.680.690.810.890.870.880.870.940.850.770.861.121.070.960.921.050.920.910.880.860.930.920.921.031.070.960.951.040.980.950.991.111.161.030.990.980.980.920.971.231.080.890.931.051.131.211.131.191.171.181.381.311.181.19
0.940.890.900.840.931.001.001.051.071.030.991.121.091.091.051.181.181.051.091.251.251.231.151.171.181.111.011.181.121.171.221.281.251.291.361.331.431.421.411.411.401.361.531.431.381.521.291.291.351.361.411.431.391.391.371.191.351.411.281.321.491.341.30
95.3010110110796.5789.9790.4385.3984.4587.0591.0780.4582.5782.9285.6676.4676.0085.5982.2372.1371.9873.2478.3576.9976.1480.9489.5576.1080.2576.9773.6170.4471.7569.7066.3367.6562.8863.2563.6763.7864.5266.1358.8963.0865.4159.1469.6969.7866.5966.3364.0562.8764.8364.8665.6975.7866.6164.0370.5168.2360.5567.4069.18
-1.65-5.13-5.10-3.97-10.67-5.21-29.08-2.572.701.13-1.08-2.29-0.321.822.253.882.085.032.172.561.02-1.94-0.38-4.220.358.17-0.22-6.650.611.660.041.152.702.401.033.622.422.801.642.823.522.851.431.913.072.211.161.162.772.160.702.143.162.730.841.782.702.861.083.442.572.410.52
-1.95-6.09-5.98-4.62-12.41-5.96-32.98-3.543.711.55-1.46-3.05-0.422.342.894.962.706.592.893.411.38-2.66-0.52-5.840.4811.20-0.31-9.580.842.320.061.553.603.291.435.133.453.431.983.424.303.521.772.383.882.851.521.543.682.910.952.954.433.861.212.613.153.361.274.043.042.870.63
-0.83-2.61-2.68-2.00-5.12-2.66-14.72-1.371.410.58-0.55-1.24-0.191.071.372.381.212.741.091.250.47-0.88-0.17-2.000.173.85-0.10-2.770.290.820.020.621.501.300.561.891.301.831.161.922.411.941.021.312.121.480.800.771.871.440.471.331.911.660.521.012.092.100.812.501.861.730.38
-1.65-5.13-5.10-3.97-10.67-5.21-29.08-2.572.701.13-1.08-2.29-0.321.822.253.882.085.032.162.521.00-1.91-0.37-4.090.347.89-0.22-6.310.581.590.041.112.592.310.993.462.322.801.642.823.522.851.431.913.072.211.161.162.772.160.702.143.162.730.841.782.702.861.083.442.572.410.52
12.3812.3213.1413.8814.0215.5016.4321.1321.1220.9621.2121.5322.4522.8122.5522.7521.4020.5519.4019.6818.7918.8019.1319.0319.7019.9118.6718.0419.9219.6019.1819.2819.8618.9918.4717.9717.8719.4119.8819.8519.5618.9818.8018.5518.1017.3416.8916.7416.4815.9615.7515.5515.2414.9514.4514.1313.0412.4112.4012.4012.0211.6211.18
0.640.21-0.221.961.561.03-0.160.860.01-1.34-1.402.931.711.18-0.475.183.090.32-0.596.042.821.46-0.330.91-0.33-0.27-0.850.64-0.39-0.33-0.853.362.611.580.211.681.480.37-0.353.932.691.780.861.970.050.52-0.742.881.830.57-0.130.970.780.300.012.700.780.990.351.721.490.690.25
0.370.00-0.321.331.030.58-0.41-0.24-0.79-1.77-1.542.021.060.74-0.733.992.32-0.12-0.734.531.700.73-0.53-0.52-1.53-1.22-1.51-2.18-2.43-1.53-1.290.600.660.36-0.30-0.44-0.25-0.61-0.792.901.921.310.711.30-0.460.21-0.942.191.400.29-0.250.080.11-0.06-0.142.110.450.770.261.281.190.530.20