Upbound Financial Ratios for Analysis 2009-2024 | UPBD

Fifteen years of historical annual and quarterly financial ratios and margins for Upbound (UPBD).

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
3.123.173.362.452.372.462.772.773.323.152.912.922.872.732.67
0.700.720.750.240.330.650.710.730.710.430.410.320.350.340.36
2.332.613.060.320.501.882.472.732.490.750.690.470.540.520.57
50.6548.9848.7659.4261.5863.4563.5965.3064.6169.1769.6069.5071.2173.0672.24
4.083.506.128.439.512.11-2.33-2.25-30.746.137.9810.1810.1111.1210.77
4.083.506.128.439.512.11-2.33-2.25-30.746.137.9810.1810.1111.1210.77
36.6535.7636.5033.0235.1128.0923.6327.7929.3830.5131.7532.9931.9232.1032.14
1.321.454.247.928.380.52-4.08-3.82-32.234.516.739.168.8410.069.82
-0.130.292.947.406.500.320.25-3.55-29.083.054.165.855.676.286.10
1.471.541.531.611.691.901.901.851.660.971.031.081.031.021.13
1.601.931.801.261.231.201.131.031.020.790.840.930.870.881.02
35.9737.9536.2731.2731.7438.2038.7142.4647.2948.2252.2858.2359.7750.6943.38
10.159.6210.0611.6711.509.559.438.607.727.576.986.276.117.208.41
-0.922.3526.2935.1537.812.962.44-39.71-248.586.949.6412.3012.0312.6813.46
16.83-9.96-66.9240.4945.673.713.10-51.47-561.92846-341.991621,957619-764.96
-0.190.454.5111.8910.960.610.47-6.56-48.292.954.276.295.846.386.87
-0.280.656.4726.5925.161.030.70-10.63-71.193.965.728.377.788.358.57
10.319.438.7610.918.385.355.114.987.2326.2225.3325.2323.0021.4419.00
3.647.945.874.243.854.172.056.674.350.362.443.674.633.294.96
2.726.904.943.884.724.120.925.613.13-0.940.832.032.491.883.97

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
3.663.963.493.123.343.363.453.173.333.373.253.363.232.952.792.452.402.373.252.372.342.972.552.462.562.602.512.772.552.532.652.772.952.842.813.322.753.002.613.153.063.022.662.912.893.012.652.922.552.942.592.872.753.012.842.732.842.752.462.672.382.572.76
0.670.690.690.700.670.660.660.720.710.710.730.750.600.610.640.240.260.280.430.330.370.580.650.650.660.680.700.710.730.720.720.730.590.590.600.710.390.400.390.430.410.410.390.410.380.400.300.320.290.320.320.350.340.330.320.340.310.320.330.360.350.400.45
2.022.212.232.332.081.981.982.612.502.452.683.061.501.551.800.320.350.390.740.500.581.381.841.881.902.152.342.472.692.562.532.731.431.441.502.490.650.670.640.750.700.690.640.690.620.660.430.470.410.470.460.540.520.480.470.520.440.460.490.570.550.660.83
47.8249.4248.2750.3550.7851.7049.8350.0149.3749.7147.0948.5148.1549.2049.2459.6559.6958.4359.8661.5661.6062.2160.9863.4063.2264.6462.6064.3164.0563.8362.3564.7265.8966.7264.0266.3161.7266.0564.3368.4370.6269.8967.9071.4870.1369.7767.2170.6370.2570.2967.1070.1471.8172.5270.4973.1173.7374.1171.4172.9872.5972.7570.75
6.557.495.645.495.938.58-3.464.273.625.420.953.145.688.926.767.6311.267.846.9610.165.9819.792.492.063.974.14-1.47-8.59-1.31-0.130.16-23.282.413.685.80-141.180.836.106.455.996.015.267.184.647.3910.169.629.839.2110.5411.0210.848.2110.4810.849.2810.4412.3312.3511.089.5911.0811.27
6.557.495.645.495.938.58-3.464.273.625.420.953.145.688.926.767.6311.267.846.9610.165.9819.792.492.063.974.14-1.47-8.59-1.31-0.130.16-23.282.413.685.80-141.180.836.106.455.996.015.267.184.647.3910.169.629.839.2110.5411.0210.848.2110.4810.849.2810.4412.3312.3511.089.5911.0811.27
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4.134.312.972.703.215.80-6.181.611.403.65-0.681.553.447.214.767.1810.817.276.359.464.6218.561.270.492.402.52-3.07-10.37-3.06-2.05-1.39-24.980.742.124.37-142.69-0.734.635.044.434.473.755.323.235.978.888.688.998.149.449.979.646.979.139.547.609.5711.4611.5210.418.899.9310.04
2.893.152.53-1.110.45-4.664.660.27-0.561.84-0.370.841.805.134.107.868.995.637.026.064.8214.401.050.252.002.10-2.845.45-1.96-1.31-0.90-21.400.891.333.00-125.96-0.522.843.113.213.392.303.291.793.605.515.635.855.405.896.226.534.435.715.964.706.097.127.166.495.496.176.23
0.410.410.420.370.370.380.370.360.370.390.420.390.390.390.340.410.430.430.440.420.430.380.410.470.480.480.500.450.450.460.500.430.400.430.470.400.260.260.280.240.250.250.270.250.260.260.280.260.260.270.300.260.260.260.280.250.280.280.290.280.280.280.29
0.490.460.480.410.440.440.480.440.480.480.540.460.480.490.420.320.360.390.360.310.340.340.350.300.310.300.320.260.270.270.300.240.240.250.280.240.270.230.260.200.200.210.240.190.210.220.260.220.230.240.290.230.230.220.260.220.240.230.270.240.250.250.28
8.799.3510.119.179.359.919.988.859.048.749.579.278.959.888.997.969.438.889.607.949.189.9910.939.509.899.4110.779.1510.3410.5311.149.8011.7211.6412.3011.4512.5212.7614.1712.1611.2012.9114.3212.8315.5515.7517.8114.2316.6916.5218.6115.2916.2115.6715.7112.569.8310.2412.0510.6111.2011.9914.75
10.249.638.909.819.639.089.0110.169.9510.309.409.7110.059.1110.0111.319.5410.139.3711.349.819.018.249.479.109.568.369.838.718.558.089.187.687.737.327.867.197.056.357.408.036.976.297.015.795.715.056.335.395.454.845.885.555.755.737.169.168.797.478.488.047.506.10
5.045.694.79-2.010.73-7.297.060.50-1.053.53-0.811.912.497.435.739.5111.817.9110.368.827.2424.102.490.584.555.13-7.7812.78-5.31-3.57-2.58-55.251.221.985.06-260.66-0.291.631.941.841.871.292.001.022.023.163.093.002.733.083.683.542.372.913.172.352.993.533.953.503.053.584.02
55.2111646,95936.57-51.90-839.49133-2.135.00-16.542.50-4.8731.65-2,012.15-50.9510.9513.809.4312.4010.668.8828.213.090.735.716.52-10.0516.20-7.01-4.62-3.30-71.632.113.448.90-589.23-21.0167.03137224231-840.74-269.45-36.08-199.33-140.8732.8239.5735.8351.9181.61576-181.0411072.8611548.0656.07152-199.13-60.62-43.15-32.39
1.201.301.05-0.410.17-1.761.730.10-0.210.71-0.150.330.702.021.423.223.842.443.072.562.095.420.440.120.961.01-1.432.45-0.88-0.60-0.45-9.130.350.571.40-50.64-0.130.740.860.780.850.590.900.450.921.421.591.541.431.581.841.721.171.511.651.181.691.982.111.791.561.731.78
1.671.781.48-0.600.24-2.452.370.14-0.301.02-0.220.471.002.922.057.198.745.685.945.874.5810.130.880.201.571.63-2.333.68-1.44-1.01-0.73-14.800.500.812.02-74.65-0.180.971.181.051.100.761.220.601.241.902.162.041.942.102.522.291.561.962.151.552.082.422.652.231.972.152.20
11.1910.9110.5910.3110.8411.1811.999.439.459.448.868.7612.9112.4211.1910.9110.029.048.858.387.897.235.445.355.305.024.775.114.454.674.864.989.529.469.347.2326.4326.7426.5026.2226.1925.9425.8025.3325.2024.8725.8425.2324.8324.3023.8023.0022.4622.2621.9521.4421.0920.5119.8119.0018.2917.7317.08
2.981.080.813.643.872.571.877.947.444.813.825.874.783.692.054.245.334.610.843.854.073.331.374.173.352.631.582.052.542.101.116.677.015.684.254.354.673.554.270.361.191.302.262.443.212.091.953.674.362.702.314.634.412.712.303.292.931.321.084.964.473.162.10
2.520.620.602.723.232.181.706.906.554.293.514.944.113.321.883.884.934.350.684.724.163.481.474.123.242.621.600.921.611.360.715.616.225.214.003.133.762.824.02-0.940.140.581.830.831.871.301.612.033.211.901.852.492.891.781.881.882.060.880.843.973.692.741.92