Universal Financial Ratios for Analysis 2009-2024 | UVV

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

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
2024202320222021202020192018201720162015201420132012201120102009
2.964.083.375.315.536.265.945.836.655.963.682.804.313.082.752.74
0.290.300.270.280.220.210.210.220.200.210.150.120.250.210.270.24
0.700.570.510.460.350.310.300.320.300.310.300.390.450.470.540.56
19.5017.8319.4419.4618.6818.2618.2919.0619.2118.0617.0418.7819.2919.7721.7620.33
8.087.057.627.456.627.248.408.618.577.399.689.067.379.9010.328.22
8.087.057.627.456.627.248.408.618.577.399.689.067.379.9010.328.22
10.209.2810.129.718.638.9010.1110.3510.308.9511.2110.899.1611.6612.079.85
5.975.526.766.345.936.798.198.178.146.989.078.426.629.4510.307.72
4.354.834.124.413.754.685.191.014.454.395.284.793.165.516.164.58
0.940.970.810.850.901.040.940.980.951.041.121.071.081.151.051.19
1.752.041.672.031.9326.152.222.642.452.662.982.942.692.612.253.15
5.186.205.395.395.425.585.364.694.925.215.356.126.157.438.949.00
70.4758.8467.6767.7467.3065.4068.0477.8374.1970.0968.2659.6559.3949.1140.8140.54
8.999.067.487.146.057.988.398.489.5210.1612.9513.1110.1516.6818.6116.16
11.1211.399.618.736.818.599.039.168.739.2811.8311.869.1114.9616.6514.30
4.534.934.014.113.685.165.365.305.305.506.836.114.457.397.186.20
6.346.345.445.164.706.306.626.646.496.829.409.596.3110.8311.049.71
60.1858.5256.4155.0052.7955.2255.5752.4963.9661.8460.7755.1651.8551.6146.3941.33
-2.98-0.421.808.890.436.503.1910.536.708.06-0.128.237.051.885.473.25
-5.53-2.570.196.68-0.974.962.059.125.126.15-1.647.286.350.723.702.58

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.602.963.222.922.864.083.262.492.613.373.194.154.545.314.633.915.515.535.834.685.516.264.704.355.265.946.155.605.945.836.976.275.956.655.684.955.425.964.642.632.913.683.372.472.502.803.074.563.664.313.992.992.663.082.712.272.502.753.362.582.602.74
0.300.290.300.300.300.300.310.280.280.270.280.280.280.280.280.220.220.220.210.220.210.210.210.210.210.210.210.220.220.220.200.200.210.200.210.210.210.210.210.140.140.150.150.110.120.120.130.240.240.250.250.200.210.210.210.220.270.270.260.230.230.24
0.830.700.670.650.690.570.690.810.720.510.570.530.500.460.490.470.360.350.340.390.330.310.360.380.320.300.310.350.310.320.280.310.310.300.310.330.330.310.350.510.400.300.310.430.400.390.380.390.460.450.450.510.560.470.520.690.650.540.500.560.540.56
16.0719.5820.3220.6316.7117.7018.3016.9418.5518.9020.1420.4217.8520.0720.7318.2417.0217.2718.4120.1819.7517.7918.1518.4319.0219.1816.6019.0618.9218.3420.2519.2217.6717.5320.5121.4917.5715.6919.4718.3320.4614.9618.1418.3316.4916.5718.4520.4519.9516.9921.8818.6319.6817.4622.3820.0718.9719.5821.8822.7422.6216.89
2.898.8510.658.662.137.559.755.823.098.839.626.573.0310.168.944.342.704.998.739.082.539.045.9210.082.209.909.109.182.249.2112.449.48-2.7110.0111.848.17-1.927.8812.254.72-3.035.909.047.6119.956.299.4911.129.286.4213.841.527.416.8112.7311.997.637.5210.4311.7111.324.11
2.898.8510.658.662.137.559.755.823.098.839.626.573.0310.168.944.342.704.998.739.082.539.045.9210.082.209.909.109.182.249.2112.449.48-2.7110.0111.848.17-1.927.8812.254.72-3.035.909.047.6119.956.299.4911.129.286.4213.841.527.416.8112.7311.997.637.5210.4311.7111.324.11
--------------------------------------------------------------
-0.357.229.226.14-1.276.658.004.001.438.338.835.641.469.308.173.030.594.317.858.671.748.516.119.201.499.789.528.641.008.6812.588.87-4.009.9111.647.54-3.477.9211.594.40-4.245.708.656.4519.136.588.5010.208.286.4313.160.715.607.1011.7211.626.837.8310.8011.5810.684.47
0.025.236.484.41-0.407.745.243.361.593.985.354.301.826.374.941.992.302.465.145.900.704.674.425.833.475.026.955.361.26-6.387.474.72-3.105.516.994.11-3.505.416.502.44-1.103.334.543.3412.593.474.686.564.213.378.14-1.832.543.447.067.244.014.016.357.536.502.14
0.200.260.290.220.180.260.290.230.150.250.250.190.150.260.280.170.150.300.230.210.140.310.290.240.180.280.300.230.140.310.300.210.130.360.260.200.130.360.330.190.110.300.330.260.180.280.300.300.200.290.300.280.200.310.300.270.220.240.300.280.270.26
0.360.490.540.390.330.550.600.450.270.520.510.360.280.630.560.310.270.650.400.370.247.930.550.430.300.660.630.410.230.840.660.400.270.950.450.330.230.940.560.300.190.830.690.480.320.790.690.550.360.740.570.500.370.710.540.470.360.530.630.510.500.72
1.201.451.751.501.151.681.471.251.171.661.621.261.051.681.861.001.241.791.701.131.061.681.541.171.091.601.871.251.051.472.361.511.111.872.181.260.851.782.611.190.851.452.331.491.351.601.901.601.311.641.651.501.301.972.101.732.052.032.341.942.511.99
74.9161.9551.3259.8178.0353.7361.4271.9776.9854.2555.4471.4885.3553.6448.2690.0372.6750.1552.8879.5585.2653.4758.5977.2082.7956.1748.0571.7585.8761.1538.0959.7580.8648.2441.3271.6510650.4634.5075.4110662.0238.6760.2866.7756.1347.2956.3368.7654.8054.5459.8569.4245.7842.9652.0044.0044.2738.4446.2835.8545.31
-0.203.114.202.17-0.373.943.671.430.212.443.251.630.293.023.070.650.541.402.172.220.072.442.242.490.812.483.662.130.252.754.142.16-0.624.243.862.13-0.523.914.871.330.042.273.752.604.892.483.734.762.543.016.17-0.841.752.925.905.672.712.565.176.025.051.54
-0.243.855.222.73-0.464.964.651.840.273.134.211.990.363.693.810.730.611.582.342.400.072.632.412.680.882.673.952.300.272.974.131.98-0.573.883.531.95-0.483.574.451.210.042.073.422.374.442.253.374.292.282.705.54-0.751.572.625.295.092.422.294.645.384.501.37
-0.091.572.161.08-0.182.151.860.690.101.311.700.900.161.741.690.370.330.851.361.340.041.581.401.510.511.582.341.320.161.722.561.19-0.342.362.091.12-0.282.122.530.620.021.201.891.202.211.161.732.161.071.322.71-0.350.721.292.482.160.990.992.182.381.940.59
-0.142.202.951.51-0.252.762.551.040.151.772.351.170.212.182.200.500.421.091.701.740.051.931.771.960.641.962.891.670.202.153.081.47-0.422.892.611.43-0.352.623.270.960.031.652.701.953.611.822.723.011.581.873.84-0.541.131.893.813.611.591.523.103.763.110.93
58.5060.1859.3957.7257.3658.5257.0555.1755.2756.4155.2454.1954.5955.0053.7252.1752.2052.7954.8053.8854.1555.2255.6655.2154.5855.5754.5852.9252.1952.4958.6263.1562.5963.9662.4761.1961.0561.8458.9259.4860.0260.7759.9358.5656.6855.1654.7253.3151.6551.8552.1150.3651.9051.6150.4548.5946.1846.3946.7745.3743.3641.33
-2.49-2.98-1.870.42-4.18-0.42-7.38-13.88-9.051.80-2.07-4.85-5.118.891.56-6.050.000.43-6.90-11.11-4.626.50-3.84-8.41-6.663.19-1.94-8.84-4.5710.536.530.800.716.700.37-5.09-4.998.06-0.06-15.05-4.95-0.12-0.50-10.84-8.198.237.07-1.92-2.047.052.11-5.25-6.181.88-3.10-10.85-9.005.471.85-4.50-1.733.25
-3.36-5.53-3.69-0.85-4.89-2.57-8.89-14.88-9.650.19-3.16-5.32-5.626.680.36-6.90-0.33-0.97-7.65-11.58-4.834.96-4.90-9.16-7.072.05-2.67-9.29-4.819.125.530.190.405.12-0.97-6.07-5.626.15-1.45-16.31-5.65-1.64-1.53-11.53-8.547.286.36-2.53-2.286.351.70-5.71-6.310.72-4.12-11.46-9.413.700.51-5.32-2.052.58