United-Guardian Financial Ratios for Analysis 2009-2024 | UG

Fifteen years of historical annual and quarterly financial ratios and margins for United-Guardian (UG).

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
7.997.264.957.958.618.558.3313.1114.6915.0411.4915.2512.9712.496.05
---------------
---------------
49.6652.7858.7455.6558.4060.2659.1254.6962.8660.4663.6162.2560.5961.7459.90
26.3031.7940.6833.1039.6841.5040.3731.4544.9340.8347.3644.1142.7936.8640.25
26.3031.7940.6833.1039.6841.5040.3731.4544.9340.8347.3644.1142.7936.8640.25
27.2732.8641.7334.6040.9742.9341.9233.1946.1742.1748.5945.9544.5738.5341.60
29.8625.4242.2037.8844.3440.6542.8034.3047.3042.7955.9950.1047.9240.1843.23
23.7120.2333.4430.0835.0132.3729.6423.9532.8930.1238.2934.9432.8927.6929.22
0.841.191.140.921.101.071.010.720.890.840.991.000.940.980.71
4.483.594.073.444.653.613.953.894.024.303.484.203.853.974.62
6.958.907.687.926.488.046.816.7414.988.448.389.008.6712.589.73
52.5441.0347.5246.1056.3245.4053.6354.1224.3643.2443.5540.5442.0929.0137.52
22.6727.7347.4331.9244.7839.8433.7318.6831.5927.4841.4737.6333.4229.1224.77
22.6727.7347.4331.9244.7839.8433.7318.6831.5927.4841.4737.6333.4229.1224.77
19.9824.1538.0527.7338.5234.6929.9117.3629.3725.4137.7234.8630.9227.0020.73
22.6727.7347.4331.9244.7839.8433.7318.6831.5927.4841.4737.6333.4229.1224.77
2.482.022.142.252.312.382.483.013.173.213.102.793.072.843.17
0.680.551.160.780.971.080.870.501.130.971.261.170.970.860.88
0.650.541.130.770.951.060.860.461.120.961.201.120.910.770.85

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
6.667.676.677.997.888.395.867.266.535.596.124.957.598.128.057.959.985.987.988.618.307.338.438.5510.596.627.038.339.8410.6710.0113.1110.7011.559.3914.6911.6711.559.9215.0415.8512.219.6011.4915.4710.538.9715.2516.8811.9910.9912.9711.968.749.5812.4915.857.919.476.0513.1612.059.67
---------------------------------------------------------------
--------------------------------------------------------------0.00
53.9653.9552.1853.6842.8046.0757.4545.1155.4853.2956.0657.2058.4759.0160.3347.8258.2857.0058.1960.3758.1955.2659.4957.0464.2060.4558.7761.0065.0455.8454.6352.5953.8952.8960.3258.2863.2465.9661.6062.9648.3062.9563.8163.3464.4162.4364.2967.1262.1760.7760.4059.5463.2459.9059.9061.4562.3262.5860.4560.3961.1657.4560.30
31.0232.8831.5430.3523.6119.5532.3623.3728.4533.0938.6437.0739.9441.4344.4321.4232.2536.0139.4443.2238.6337.0839.1932.8145.7344.3540.9942.3246.2340.5531.1931.4435.9923.7631.8121.9246.7951.4047.2544.6821.6142.0148.2648.6145.1944.9050.0838.7345.2146.1044.9035.4247.1842.6445.5936.4046.7620.9143.1738.0245.2234.4842.07
31.0232.8831.5430.3523.6119.5532.3623.3728.4533.0938.6437.0739.9441.4344.4321.4232.2536.0139.4443.2238.6337.0839.1932.8145.7344.3540.9942.3246.2340.5531.1931.4435.9923.7631.8121.9246.7951.4047.2544.6821.6142.0148.2648.6145.1944.9050.0838.7345.2146.1044.9035.4247.1842.6445.5936.4046.7620.9143.1738.0245.2234.4842.07
---------------------------------------------------------------
35.8335.5535.8335.7125.7521.9037.0430.5617.9622.0229.5638.3340.3746.4443.4931.9438.7750.7530.0446.4540.8241.2648.6725.7849.8345.3738.1244.6549.8342.4833.0935.4037.8627.6433.7228.8748.8353.1648.4747.2023.6443.8249.7355.0455.2054.7658.8763.5246.6647.2146.7639.2960.9044.7047.4042.8348.4724.4745.7542.0747.8537.6144.43
28.2828.2128.4328.2920.5017.4029.4224.5814.3017.4723.4230.4931.9736.7634.4325.7430.7140.1623.7836.3832.2532.9038.4521.6439.3735.8430.1131.4434.3129.2522.7725.7326.0318.9523.2122.1433.6336.6333.4035.1116.3530.2433.7438.7937.5137.0039.5948.3431.6431.9431.5929.0640.9330.1632.0232.6032.3216.7230.6429.6031.8825.2429.66
0.230.250.250.200.250.220.220.260.210.310.300.300.230.290.260.200.180.230.250.310.250.260.230.210.240.290.240.250.190.250.170.200.210.140.130.120.200.240.240.250.160.190.230.280.210.240.240.190.210.230.230.220.200.260.230.180.260.260.190.160.190.180.22
1.181.331.220.990.190.800.440.910.470.981.141.111.031.631.020.870.630.831.021.241.091.130.970.780.821.021.020.940.922.181.001.101.250.610.590.611.031.231.691.200.810.640.861.011.081.341.330.711.191.301.230.910.781.581.250.751.261.060.941.031.101.081.31
2.052.021.531.661.681.721.741.942.141.721.532.021.651.861.801.711.822.521.581.822.052.141.981.611.981.811.941.691.621.731.491.831.891.611.752.021.572.021.922.512.162.381.472.411.382.351.891.742.381.862.541.992.312.402.092.352.811.852.102.192.252.662.57
43.9444.5258.9854.0953.4652.3051.8546.5041.9752.2858.9844.5854.6348.3549.9452.6549.4535.6957.0249.4143.9242.0845.4255.8445.4349.8446.3353.1055.4752.1660.4949.3047.5655.8251.5444.5357.2944.6146.8935.9141.6537.7761.1237.3665.4038.2547.6251.6837.8348.5035.4045.2239.0437.5643.1038.3032.0848.7042.8541.0140.0933.8835.04
7.617.898.296.485.884.407.547.333.456.558.4911.378.6912.6010.245.906.3011.116.9213.089.0910.0810.075.3410.2312.068.518.917.318.014.365.435.982.883.452.877.389.828.989.512.786.258.5512.088.649.9710.8510.077.018.117.986.789.038.868.206.408.994.996.535.666.544.937.28
7.617.898.296.485.884.407.547.333.456.558.4911.378.6912.6010.245.906.3011.116.9213.089.0910.0810.075.3410.2312.068.518.917.318.014.365.435.982.883.452.877.389.828.989.512.786.258.5512.088.649.9710.8510.077.018.117.986.789.038.868.206.408.994.996.535.666.544.937.28
6.536.917.095.715.153.886.336.382.965.427.049.127.4610.828.875.125.599.255.9411.257.918.638.754.659.3110.367.377.906.577.273.955.055.382.613.082.676.728.918.018.802.585.687.6310.998.049.029.609.336.557.427.266.278.337.917.415.948.444.415.834.746.034.536.58
7.617.898.296.485.884.407.547.333.456.558.4911.378.6912.6010.245.906.3011.116.9213.089.0910.0810.075.3410.2312.068.518.917.318.014.365.435.982.883.452.877.389.828.989.512.786.258.5512.088.649.9710.8510.077.018.117.986.789.038.868.206.408.994.996.535.666.544.937.28
2.482.642.432.482.322.282.182.022.182.102.342.142.542.322.512.252.482.322.492.312.562.332.642.382.802.512.712.483.243.003.173.013.273.073.313.173.593.353.543.213.223.143.403.103.222.933.142.793.473.203.353.073.303.013.092.843.012.723.393.173.343.103.21
0.700.430.140.680.440.190.090.550.410.250.011.160.790.570.220.780.640.690.280.970.790.580.331.080.850.590.360.870.700.440.190.500.360.110.161.130.890.670.390.970.630.540.191.260.790.790.451.170.930.610.450.970.820.640.310.860.670.340.190.880.650.490.36
0.670.410.140.650.430.190.090.540.400.250.001.130.780.560.210.770.630.690.280.950.770.570.331.060.840.580.360.860.700.440.190.460.340.090.161.120.890.660.390.960.620.530.191.200.740.770.441.120.900.590.430.910.770.610.310.770.580.290.170.850.650.490.36