Upland Software Financial Ratios for Analysis 2012-2024 | UPLD

Fifteen years of historical annual and quarterly financial ratios and margins for Upland Software (UPLD).

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
202320222021202020192018201720162015201420132012
2.302.121.682.621.850.630.691.191.031.050.620.57
0.790.620.620.630.710.760.540.440.270.150.400.32
3.771.671.641.702.473.201.220.810.400.330.830.63
67.6567.3167.0766.2668.9667.5865.6563.1361.8564.1967.3167.89
-55.03-12.68-11.48-8.16-10.92-3.73-11.37-11.40-14.62-28.41-11.21-16.59
-55.03-12.68-11.48-8.16-10.92-3.73-11.37-11.40-14.62-28.41-11.21-16.59
16.7812.809.019.616.1912.090.791.70-2.53-16.862.37-4.22
-61.23-22.11-22.04-19.01-23.44-13.78-17.79-16.03-18.06-31.27-19.05-19.20
-62.19-22.14-19.27-17.55-20.38-7.23-19.12-18.07-19.54-33.51-22.56-11.21
0.340.290.290.290.250.310.350.500.570.480.430.34
------------
6.585.945.465.953.973.373.584.905.004.443.742.40
55.4461.4866.8361.3491.8910810274.4772.9582.2997.70152
-142.42-22.15-18.40-16.70-21.31-12.41-20.48-22.90-22.67-28.1853.87103
43.8916.4113.8214.3510.913.4114.0535.0173.1623725.3717.78
-20.67-6.14-5.66-5.07-5.06-2.24-6.66-8.97-11.16-14.83-9.02-6.34
-29.99-8.34-7.00-6.21-6.18-3.00-9.35-12.90-16.54-24.03-14.73-12.56
4.229.5910.1710.228.434.064.403.323.834.6818.7213.75
1.560.951.381.340.520.370.420.24-0.100.24-0.202.13
1.520.921.341.300.480.320.400.19-0.160.06-0.421.77

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-31
0.992.372.342.302.392.372.242.122.031.211.171.681.651.541.702.622.551.321.261.851.561.460.570.630.640.650.820.691.281.410.831.190.870.800.721.031.341.331.081.050.39-----
1.000.990.960.790.760.750.750.620.620.620.610.620.630.620.620.630.640.770.770.710.610.570.760.760.630.630.620.540.490.420.490.440.370.380.310.270.260.260.170.150.02-----
32873.2223.653.773.203.063.081.671.671.661.581.641.691.671.641.701.813.443.302.471.571.313.273.201.771.771.661.220.960.751.020.810.620.640.460.400.380.380.330.331.01-----
70.4570.4770.2467.1569.0567.5566.8666.1167.6666.9068.5566.7367.3767.2066.9865.5165.5166.8167.3768.1069.7268.7269.5066.7767.4769.8266.3365.8765.0565.6266.1362.9264.7063.7061.0460.1762.3062.8262.1263.6664.4164.9363.78-66.45-
-4.96-7.75-129.55-13.00-10.41-12.60-178.35-17.78-0.70-13.57-18.77-2.96-7.55-12.01-23.701.45-3.61-9.74-22.52-18.94-6.72-10.44-5.29-10.600.93-1.92-1.45-8.58-8.93-12.04-17.42-3.05-6.80-13.27-23.67-15.79-10.58-14.19-17.84-21.67-10.26-7.38-76.28--7.50-
-4.96-7.75-129.55-13.00-10.41-12.60-178.35-17.78-0.70-13.57-18.77-2.96-7.55-12.01-23.701.45-3.61-9.74-22.52-18.94-6.72-10.44-5.29-10.600.93-1.92-1.45-8.58-8.93-12.04-17.42-3.05-6.80-13.27-23.67-15.79-10.58-14.19-17.84-21.67-10.26-7.38-76.28--7.50-
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-1.80-14.75-136.67-21.31-13.68-20.65-183.59-28.88-9.51-21.02-29.16-12.69-18.89-22.95-33.90-7.79-13.70-20.80-35.82-31.04-21.36-21.64-17.41-22.41-9.46-12.12-8.38-14.55-11.89-24.12-22.47-5.22-10.82-18.41-31.11-19.37-12.48-17.51-22.74-23.56-12.33-12.94-78.20--11.20-
-4.71-18.50-137.84-24.07-13.51-22.12-183.45-30.42-8.87-20.43-29.00-9.87-14.48-24.97-27.96-7.25-15.25-19.85-29.52-30.07-22.35-10.13-16.153.99-11.44-14.55-10.00-13.62-13.45-24.96-27.05-10.18-12.42-19.26-31.70-24.22-13.59-18.86-21.35-17.48-17.76-17.38-83.62--13.85-
0.120.090.090.080.080.080.080.070.070.080.070.070.070.070.070.080.070.080.080.070.080.080.100.090.110.110.090.100.100.100.130.130.140.130.130.140.140.140.140.120.17-----
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1.741.801.881.601.611.961.651.471.801.991.461.371.771.711.521.601.541.321.111.181.241.301.261.011.401.341.151.021.361.631.711.271.311.361.341.261.641.371.181.131.12-----
51.6750.0747.9556.4155.9945.9754.5461.0449.9745.2361.8365.7250.7952.6259.1856.4058.2868.3680.8176.3572.3469.1971.2088.7264.0667.1878.5188.5466.0355.2052.7270.8668.6666.1467.3771.4554.8965.7176.0379.5380.15-----
-191.07-176.31-477.76-12.68-5.80-9.03-83.94-7.34-2.11-5.26-6.95-2.36-3.59-6.11-6.51-1.85-3.92-9.30-12.62-9.33-5.64-2.30-9.202.06-4.76-5.83-3.29-4.15-3.68-6.02-10.05-3.34-3.98-6.06-9.05-7.07-3.70-5.11-5.54-3.759.87-----
0.422.7923.403.912.203.7833.705.441.533.584.791.772.474.114.741.592.972.733.854.784.442.172.48-0.572.362.871.892.854.6712.009.085.116.048.2714.9922.8222.6431.2041.3531.476.70-----
-0.31-1.55-12.73-1.84-0.97-1.58-14.51-2.04-0.58-1.59-2.15-0.73-1.08-1.82-2.00-0.56-1.14-1.65-2.27-2.22-1.80-0.82-1.650.37-1.30-1.57-0.93-1.35-1.40-2.58-3.54-1.31-1.68-2.47-4.08-3.48-1.92-2.61-2.91-1.97-2.57-----
-0.59-2.39-19.51-2.67-1.39-2.23-20.66-2.76-0.79-1.99-2.71-0.90-1.34-2.30-2.48-0.69-1.40-2.11-2.95-2.70-2.21-1.00-2.190.50-1.75-2.13-1.25-1.89-1.89-3.52-5.09-1.88-2.49-3.75-6.28-5.16-2.72-3.78-4.58-3.20-8.80-----
0.030.240.724.224.655.145.149.599.729.8610.4910.1710.0610.2410.5610.229.786.006.298.438.649.233.974.064.134.174.464.404.594.693.043.323.373.423.583.834.044.264.424.686.91-----
0.550.390.181.561.260.700.490.950.760.710.261.380.940.770.421.340.52-0.18-0.210.520.210.240.240.370.240.19-0.020.420.300.320.290.240.070.06-0.01-0.100.110.06-0.030.240.190.081.450.00-0.130.00
0.530.370.171.521.230.690.480.920.740.700.261.340.910.760.411.300.49-0.21-0.230.480.180.220.230.320.210.16-0.050.400.280.300.270.190.010.01-0.05-0.160.080.04-0.040.060.03-0.011.37--0.23-