UTStarcom Holdings Corp Financial Ratios for Analysis 2009-2024 | UTSI

Fifteen years of historical annual and quarterly financial ratios and margins for UTStarcom Holdings Corp (UTSI).

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
3.022.842.762.742.802.291.891.871.651.591.662.032.251.551.19
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27.8718.98-6.7514.5236.8127.8333.7232.7823.8017.1024.4636.5035.6724.0916.82
-43.22-31.22-33.41-95.61-9.353.776.631.97-4.26-10.87-8.05-15.826.49-25.29-56.60
-43.22-31.22-33.41-95.61-9.353.776.631.97-4.26-10.87-8.05-15.826.49-25.29-56.60
-34.15-22.68-31.07-87.02-8.374.377.273.37-2.38-8.82-5.94-13.717.25-23.69-53.20
-16.36-20.92-15.92-104.72-6.013.838.391.06-26.75-22.13-12.39-17.774.58-21.33-55.61
-24.45-35.60-36.61-97.39-5.964.167.100.34-23.19-23.38-13.82-18.414.18-22.34-58.42
0.200.160.150.200.430.650.530.480.590.460.450.380.530.370.42
14.298.9711.063.106.753.173.802.585.115.195.324.566.024.574.44
1.881.180.580.490.841.915.814.726.537.757.0712.4515.909.709.12
19430862974543319162.8077.3355.9147.0751.6329.3222.9637.6240.01
-7.49-8.70-8.53-30.59-3.954.727.670.16-32.42-26.24-15.12-16.424.35-26.23-88.11
-7.49-8.70-8.53-30.59-3.954.727.670.16-32.42-26.24-15.12-16.424.64-28.35-88.11
-4.97-5.61-5.38-19.94-2.592.723.730.07-13.69-10.84-6.19-7.291.96-8.32-24.29
-7.49-8.70-8.53-30.59-3.954.727.670.16-32.42-26.24-15.12-16.424.35-26.23-88.11
5.646.337.578.6211.1711.5710.259.409.1212.0915.1218.1921.4219.2323.63
-0.490.802.20-0.38-2.72-2.880.420.63-1.26-1.67-0.20-2.11-3.23-8.07-6.36
-0.520.782.16-0.39-2.77-2.900.340.47-1.36-1.81-0.58-2.56-3.962.48-5.86

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
2019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.802.532.312.122.291.821.822.071.892.07--1.871.851.741.741.651.871.80-1.591.631.651.631.661.791.711.832.032.122.382.222.252.031.751.631.551.621.351.151.191.311.311.44
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-0.05------------------------------------------
35.3755.0236.1728.3345.2918.9726.2040.4825.0340.5428.3340.4136.5224.3441.2026.8630.1522.2729.5114.7110.3423.9220.0714.2318.7028.6920.0131.4231.6635.5038.4539.4934.2138.3537.5831.1210.5919.7031.2633.6530.0634.31-19.7618.14
-10.23-18.11-14.84-1.11-19.727.831.7210.21-10.5911.775.5316.1513.77-8.666.27-8.528.51-3.53-10.07-9.53-18.45-5.83-8.85-10.20-22.030.46-2.65-10.01-2.75-66.273.79-8.079.6517.0310.48-18.18-32.65-37.88-6.97-25.37-35.18-45.54-108.27-49.32
-10.23-18.11-14.84-1.11-19.727.831.7210.21-10.5911.775.5316.1513.77-8.666.27-8.528.51-3.53-10.07-9.53-18.45-5.83-8.85-10.20-22.030.46-2.65-10.01-2.75-66.273.79-8.079.6517.0310.48-18.18-32.65-37.88-6.97-25.37-35.18-45.54-108.27-49.32
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-34.31-16.4513.604.52-9.564.881.2412.24-9.8411.478.5519.352.59-8.1013.28-4.99-73.08-18.53-5.55-16.71-39.23-22.59-14.82-11.51-36.16-3.09-2.38-11.07-18.62-49.87-3.97-5.964.708.7114.33-15.91-30.62-25.68-12.96-16.84-29.81-49.52-99.35-54.98
-28.21-16.0012.381.63-9.994.12-0.3017.84-19.488.417.7626.17-5.91-11.2024.19-4.84-74.80-18.789.26-16.36-43.09-25.45-14.38-10.17-41.911.05-4.41-13.44-17.66-51.48-3.23-8.914.889.6212.55-16.83-30.25-27.97-12.25-19.74-33.86-49.05-105.14-56.51
0.090.080.080.130.070.250.130.120.100.15--0.150.080.090.110.130.130.13-0.120.110.100.090.100.110.110.090.090.080.100.080.140.130.130.080.100.080.090.090.130.070.070.10
1.470.611.001.350.262.040.350.350.80---0.770.280.210.321.040.470.38-1.430.280.270.281.330.250.270.171.140.200.270.191.601.221.260.831.410.950.850.751.130.280.510.61
0.180.150.160.310.210.530.811.021.081.78--1.503.261.501.371.451.942.38-1.972.191.641.331.652.803.433.322.883.274.412.244.143.873.661.982.531.471.651.812.751.311.241.26
50160255228842917011088.2283.4750.45--59.8827.6460.1365.6461.9446.4937.84-45.6941.0054.7967.6854.6532.1426.2127.0731.2027.5620.4340.0921.7523.2524.6245.4535.5361.0354.4649.8132.7668.5772.5971.52
-3.98----1.24----3.90----2.16----23.17----12.28----10.68----3.53---1.282.844.50-4.41-9.31-6.78-3.78-6.63-15.37-11.65-26.02-16.68
-3.98-2.081.640.39-1.242.13-0.093.92-3.902.34---2.16-1.945.03-1.20-23.17-5.002.60--12.28-6.31-3.27-2.30-10.680.25-1.22-2.80-3.53-9.16-0.97-1.931.373.044.85-4.78-10.07-6.78-3.78-6.63-15.37-11.65-26.02-16.68
-2.61-1.290.950.21-0.721.01-0.042.10-1.901.24---1.00-0.942.26-0.51-9.79-2.491.24--5.08-2.71-1.40-0.95-4.380.11-0.50-1.15-1.57-4.10-0.46-0.800.581.181.59-1.45-2.96-2.12-1.10-1.81-4.24-3.45-7.80-5.75
-3.98-2.081.640.39-1.242.13-0.093.92-3.902.34---2.16-1.945.03-1.20-23.17-5.002.60--12.28-6.31-3.27-2.30-10.680.25-1.22-2.80-3.53-9.16-0.97-1.801.282.844.50-4.41-9.31-6.78-3.78-6.63-15.37-11.65-26.02-16.68
11.17---11.57---10.25---9.40---9.12---12.09---15.12---18.19---21.4220.5419.2618.3219.2320.1721.5721.9723.6327.5930.2637.92
-2.72-3.09-2.04-0.95-2.88-3.41-2.10-0.570.421.521.230.950.460.470.290.22-1.26-1.98-1.45-0.98-1.67-0.64-0.70-0.34-0.200.20-0.18-0.47-2.11-1.610.000.00-3.23-3.05-2.12-3.05-8.07-8.62-7.82-4.09-6.36-8.37-3.50-1.15
-2.77-3.14-2.07-0.99-2.90-3.43-2.13-0.600.341.481.210.950.320.320.230.21-1.36-2.08-1.53-1.02-1.81-0.77-0.76-0.34-0.58-0.11-0.42-0.66-2.56-2.04---3.96-3.80-2.59-3.122.482.123.42-3.52-5.86-8.53-3.63-1.25