INNOVATE Financial Ratios for Analysis 2009-2024 | VATE

Fifteen years of historical annual and quarterly financial ratios and margins for INNOVATE (VATE).

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
1.251.291.011.055.132.041.211.531.731.632.361.110.951.010.90
1.251.121.070.170.610.780.730.820.690.70-0.650.710.750.72
-5.25-9.79-16.750.921.593.482.774.422.192.33-1.862.442.942.58
15.1813.5215.2417.9144.6619.8119.6419.5212.3313.354.505.725.4852.1735.07
1.860.82-0.88-3.952.35-2.82-0.07-0.100.06-2.56-16.97-17.13-9.99-2.084.52
1.860.82-0.88-3.952.35-2.82-0.07-0.100.06-2.56-16.97-17.13-9.99-2.084.52
4.883.603.111.885.02-0.183.042.703.11-0.20-6.543.919.4424.3611.43
-2.42-2.51-6.70-6.51-3.889.22-2.44-2.94-4.16-6.31-10.86-15.84-10.31-17.2161.36
-2.64-2.49-19.06-13.34-2.927.87-3.04-6.76-3.56-3.0048.389.20-9.40-6.7763.88
1.361.421.120.110.150.300.510.550.410.772.631.010.760.551.34
53.8874.9260.0959.44----81.0731.68-----
5.116.424.885.324.715.215.075.825.323.6012.1516.955.053.678.37
71.4156.8274.8468.5877.5870.0272.0162.6968.6710230.0321.5372.3099.4343.59
25.6446.36154-8.95-5.0092.88-26.85-144.43-30.41-11.19-32.37-65.50-42.83-50.62466
8.8110.7623.12-16.40-16.70-101.70147238-44.93-14.16-34.5181.1941.1432.72-324.99
-3.73-3.65-7.99-0.80-0.322.77-1.57-3.44-1.30-1.64-20.09-14.90-8.01-8.1783.22
-7.15-6.88-16.62-7.27-1.8818.78-6.25-18.54-6.59-2.44-32.37-22.95-12.53-12.90132
-17.08-9.27-4.8079.5898.5347.6548.5223.1848.2760.5738.2549.1674.0284.72104
3.39-1.233.508.1724.7172.951.5421.21-10.542.91-14.4617.0233.0437.531.58
1.24-3.642.0912.8219.4965.73-5.4415.79-16.691.84-23.41-5.8919.7216.110.77

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.851.371.231.250.990.861.301.291.091.041.081.011.111.101.081.051.391.641.565.131.731.861.972.043.351.551.241.211.341.531.501.531.491.561.741.731.641.641.851.631.671.402.482.362.601.971.091.111.562.800.980.950.890.911.041.010.940.920.940.900.800.540.52
1.331.211.261.251.251.271.181.121.171.121.091.071.100.540.520.170.600.630.910.610.620.650.690.780.690.780.810.730.820.840.820.820.640.640.700.690.750.720.720.700.660.30----0.670.650.500.620.720.710.720.670.680.750.730.740.720.720.72-0.06-0.07
-5.53-6.26-5.07-5.25-6.33-6.68-6.92-9.79-7.75-10.12-13.41-16.75-12.321.321.290.921.511.699.691.591.601.882.223.482.203.584.292.774.595.084.644.421.801.812.352.193.092.712.772.332.050.76---0.642.011.860.981.652.542.442.602.012.132.942.742.892.582.582.71-0.31-0.07
19.9020.9515.4216.9315.6414.2613.7215.3713.8112.8312.0615.6313.9614.9317.7544.0818.5916.3415.9747.7429.5226.8427.7322.6219.6519.3617.2120.3120.1118.4819.5020.4619.1820.8217.2410.0913.3312.6314.5415.7611.8914.215.183.043.815.435.57-7.31--50.73-268.5450.4750.3632.3135.6035.7836.3036.8034.5034.9135.9933.44
2.449.200.893.882.851.57-1.261.591.56-0.100.171.750.28-3.16-6.3410.33-9.44-4.90-7.29-16.321.757.015.70-2.32-4.85-1.11-3.04-0.312.60-2.960.251.081.661.67-5.81-1.200.681.080.06-3.21-1.41-0.12-9.43-34.54-6.73-19.60-9.36-16.73---0.44-63.672.12-1.29-5.841.441.132.451.571.721.107.377.08
2.449.200.893.882.851.57-1.261.591.56-0.100.171.750.28-3.16-6.3410.33-9.44-4.90-7.29-16.321.757.015.70-2.32-4.85-1.11-3.04-0.312.60-2.960.251.081.661.67-5.81-1.200.681.080.06-3.21-1.41-0.12-9.43-34.54-6.73-19.60-9.36-16.73---0.44-63.672.12-1.29-5.841.441.132.451.571.721.107.377.08
---------------------------------------------------------------
-5.413.64-5.33-2.58-2.00-2.85-2.23-1.95-2.06-3.03-3.03-0.94-3.57-8.65-24.330.99-16.6618.15-21.22-22.86-1.823.760.96-2.2928.3817.95-8.20-2.461.12-5.93-2.71-1.48-1.630.42-10.21-5.75-2.30-2.85-5.70-7.56-6.94-0.75-9.62-35.30-6.835.16-9.32-11.44---18.34-15.03-6.33-12.14-10.05-5.904.13-7.04-1.21-0.7122313.678.71
-6.324.50-5.62-2.66-1.95-2.85-3.21-1.71-1.56-3.47-3.29-1.32-53.95-9.727.10-2.82-10.386.99-44.75-12.68-1.751.88-0.36-3.0930.4711.01-7.87-2.02-1.64-4.94-3.86-14.81-1.820.25-9.50-3.47-3.25-4.27-3.134.91-10.04-4.25-11.41-30.34-10.98234-5.46-3.86---10.09-6.83-13.47-8.46-8.88-5.362.70-6.70-0.522.2522312.977.24
0.270.350.330.350.340.340.300.360.360.350.370.370.320.040.030.040.030.030.030.040.060.070.070.080.070.150.140.140.140.130.140.160.140.130.120.130.370.350.250.310.250.250.540.600.560.150.200.78--0.130.080.140.140.370.370.360.380.350.360.330.580.63
9.2411.8412.2313.3917.0215.8912.8818.3317.6117.0118.6219.5919.52--14.22----------------37.2125.5925.8126.7516.6913.8010.1112.616.764.88---------------------
1.271.761.171.301.291.261.251.611.291.451.501.600.930.670.921.870.680.700.561.081.461.371.371.381.431.431.391.421.531.511.711.701.511.621.721.711.481.301.031.471.070.702.652.751,198-3.1713.15--0.950.560.890.762.392.462.542.332.302.272.112.082.14
70.9051.2276.8969.4169.7471.6571.8256.0569.7762.2159.8356.3396.8813597.6548.1513312916183.2061.7565.8765.8365.0362.9862.8164.9763.2958.7059.5352.5553.0559.4255.4352.2552.6360.8169.3787.3661.1383.7512933.9932.720.08-28.426.85--95.1316110111937.6336.5635.4538.6939.0939.6942.7443.1841.98
11.48-11.0211.616.996.369.136.778.067.3216.5320.359.7925.96-4.63-10.37-0.62-7.225.75-49.42-6.99-1.783.920.09-6.4551.7949.70-30.80-3.09-10.16-28.77-23.90-91.86-3.030.78-27.27-9.93-10.96-11.90-5.6911.87-15.07-2.55-8.01-25.87-1.231.48-8.86-35.74-1.01-5.46-11.72-8.67-4.79-8.32-18.31-11.2912.33-13.94-0.186.68467-6.01-3.17
3.81-3.374.602.402.022.781.931.871.623.553.691.473.64-14.07-29.40-1.13-26.2146.9811.44-23.33-8.0344.71-0.597.07372-128.2339.2016.9233.8654.9439.19151-5.691.32-67.68-14.67-11.95-12.95-6.1415.01-17.60-3.58-8.56-27.58-1.231.489.7744.305.79-227.4410.518.334.338.5419.837.30-8.868.110.12-4.66-281.02-5.54-2.95
-1.811.55-2.13-1.02-0.78-1.08-0.77-0.63-0.58-1.26-1.27-0.51-1.16-0.34-0.67-0.06-0.450.32-0.47-0.45-0.130.250.00-0.192.252.45-1.21-0.18-0.28-0.70-0.56-2.19-0.190.05-1.13-0.43-1.04-1.35-0.691.74-2.33-0.73-5.18-16.05-0.790.73-1.94-8.13-0.33-1.50-2.11-1.62-0.87-1.65-3.58-1.822.11-2.30-0.031.1974.847.664.59
-4.292.63-3.96-1.95-1.84-2.86-1.42-1.20-1.25-2.63-2.56-1.06-2.59-2.12-4.84-0.50-2.772.08-3.95-2.63-0.671.330.03-1.3014.849.33-4.81-0.72-1.38-3.46-2.93-11.79-0.880.21-5.58-2.15-1.58-2.07-1.042.58-3.84-1.78-8.01-25.87-1.231.48-2.94-12.52-0.51-2.06-3.34-2.54-1.34-2.77-5.87-2.883.31-3.60-0.051.89132-6.39-3.40
-9.49-8.43-16.70-17.07-14.95-14.02-12.75-9.27-11.67-8.40-6.48-4.80-7.0365.7354.6579.5890.6180.6715.2498.5311296.3675.1747.6571.2641.8334.2748.5225.1522.6522.7623.1857.8761.3947.4648.2749.0355.7959.1160.5764.4655.0334.0438.2549.2714145.3749.1686.2310370.1774.0271.2379.7385.7984.7291.6086.9210110497.24-29.88-31.07
-2.49-0.27-3.233.39-4.42-7.80-9.91-1.23-9.30-5.51-8.203.50-1.89-0.05-0.336.5816.339.807.6924.6020.946.336.3872.9529.59-9.050.181.548.663.967.8121.2115.0112.974.77-10.54-12.17-18.77-20.282.91-4.683.47-0.75-14.46-10.42-6.20-1.0017.0217.1711.6913.1233.0418.9611.2014.3237.4138.3116.8918.2429.571.310.990.05
-2.64-0.19-3.551.24-6.01-8.82-10.35-3.64-11.16-6.65-8.562.09-2.22-0.95-0.7410.3213.387.876.7119.4017.614.636.0065.7323.66-12.73-1.11-5.443.150.075.6115.7910.849.923.06-16.69-16.77-23.44-21.161.84-4.843.13-0.76-23.41-18.97-13.09-5.68-5.89-0.91-1.847.2219.722.340.838.6016.0621.446.4113.1814.400.800.67-0.11