Vicor Financial Ratios for Analysis 2009-2024 | VICR

Fifteen years of historical annual and quarterly financial ratios and margins for Vicor (VICR).

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
9.525.627.277.825.984.594.245.035.614.905.748.327.245.654.62
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50.5945.2449.5944.3246.7647.7244.6245.5445.2043.0240.9141.9442.1845.6744.25
12.686.8215.475.865.2611.01-0.60-3.15-0.12-6.54-10.28-1.275.4111.612.41
12.686.8215.475.865.2611.01-0.60-3.15-0.12-6.54-10.28-1.275.4111.612.41
16.9410.5318.739.589.1914.193.311.064.03-2.20-5.253.509.7615.697.56
14.877.1915.816.225.6611.31-0.04-3.01-0.11-6.42-10.28-1.195.5511.812.76
13.236.3815.766.045.3610.890.07-3.122.24-6.15-11.87-1.873.5013.291.41
0.680.740.750.751.091.321.371.301.401.451.201.081.221.221.10
1.882.152.692.882.853.213.464.025.154.893.964.234.093.845.17
7.706.106.527.236.906.676.617.948.477.947.198.048.056.467.45
47.4359.8455.9650.4652.9054.7455.2545.9543.0745.9750.7345.3845.3256.5248.98
9.915.4813.365.106.8517.300.19-4.783.79-10.78-16.51-2.095.0418.742.62
9.915.4813.365.106.8517.300.19-4.783.79-10.78-16.51-2.095.0418.742.64
9.014.7411.874.525.8614.410.16-4.063.27-9.05-14.19-1.874.4716.372.27
9.915.4813.365.106.8517.300.19-4.783.79-10.78-16.51-2.095.0418.742.62
12.1710.539.658.105.084.583.463.363.513.383.694.354.424.293.75
1.660.511.210.790.530.89-0.060.010.290.06-0.120.410.630.400.60
0.91-0.910.150.140.230.44-0.38-0.200.06-0.13-0.280.240.450.120.34

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
6.416.426.689.528.577.586.835.625.565.936.957.278.217.017.747.828.157.365.265.985.725.125.334.595.234.704.864.243.783.904.645.035.264.915.355.615.565.134.874.904.194.945.035.745.576.637.068.327.727.527.397.246.776.375.295.654.483.124.634.624.874.404.32
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49.1049.8253.8051.1051.8151.6947.5746.5845.5545.8542.5945.2150.4252.2950.3447.9842.6942.8543.1147.1546.6345.9647.3045.9549.9848.3646.2945.8244.2044.9343.4344.7148.7046.2241.9744.4243.7447.2445.1343.0043.7542.4742.8242.4041.7139.3939.5939.9143.3543.4641.0141.8341.7441.7643.2245.2047.2944.8645.1145.7843.2944.6443.27
5.780.25-19.217.9314.5616.7310.687.702.9111.065.419.8614.1020.9816.5813.777.812.87-3.741.428.553.766.849.5116.7111.215.650.780.18-0.93-2.53-5.324.27-1.14-11.80-4.77-4.561.415.64-0.29-7.08-9.40-10.22-6.58-2.46-14.90-20.25-8.440.561.280.782.062.866.709.1114.4216.578.094.985.244.054.17-3.65
5.780.25-19.217.9314.5616.7310.687.702.9111.065.419.8614.1020.9816.5813.777.812.87-3.741.428.553.766.849.5116.7111.215.650.780.18-0.93-2.53-5.324.27-1.14-11.80-4.77-4.561.415.64-0.29-7.08-9.40-10.22-6.58-2.46-14.90-20.25-8.440.561.280.782.062.866.709.1114.4216.578.094.985.244.054.17-3.65
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9.773.52-15.9711.4316.3418.4012.679.412.3611.145.6010.0914.5621.3716.8414.218.243.20-3.512.048.764.217.209.8617.0111.156.311.230.72-0.31-1.93-5.454.67-1.01-11.63-4.74-4.561.485.590.07-7.18-9.24-10.16-6.59-2.37-15.01-20.22-8.460.691.430.872.062.867.548.8314.3116.708.835.115.484.574.55-3.42
12.40-1.39-17.269.3615.3816.0211.507.641.7410.375.669.8415.6220.3317.0013.287.413.77-2.742.088.394.056.529.3716.6710.596.042.74-0.02-0.80-1.79-5.594.39-1.03-11.63-3.415.141.435.270.00-6.29-9.06-10.10-23.71-1.69-9.85-11.90-9.550.360.400.551.161.854.695.7014.8123.048.273.784.703.542.65-5.04
0.150.140.140.160.180.190.180.200.200.200.180.190.190.210.210.210.210.190.260.260.300.270.290.330.380.390.380.350.340.350.350.310.340.340.300.330.300.350.400.390.370.340.330.330.300.260.220.250.250.270.290.280.280.300.330.360.350.300.280.270.270.290.29
0.450.400.350.430.500.480.480.560.600.670.690.730.660.800.810.770.770.730.680.680.760.630.670.840.900.920.900.870.941.041.120.981.031.091.111.221.041.161.411.311.171.051.031.071.150.990.851.010.981.021.120.950.941.051.121.131.211.231.311.251.221.131.12
1.591.571.461.761.721.671.601.611.831.871.681.641.661.731.862.061.901.461.541.661.771.641.581.691.731.651.571.701.681.691.821.911.901.891.971.981.982.071.962.142.141.971.682.001.951.991.771.861.691.901.891.861.831.901.771.881.741.671.661.851.721.951.76
56.5457.5161.8151.1252.2753.8156.1855.8249.1348.0353.6854.9354.1451.9148.3443.7747.4061.6958.6054.3450.8554.7457.1153.3251.9654.6557.4152.8153.4953.1749.5447.2047.3947.6145.6645.5045.5243.4145.9442.1342.1445.6653.7145.0946.2745.1250.9048.4953.1747.3647.5948.2849.1247.4550.8447.8851.6954.0154.1948.6652.4746.1951.00
2.08-0.22-2.721.603.143.412.341.740.402.381.152.103.224.934.073.191.710.82-0.840.642.931.322.263.757.424.982.721.190.03-0.34-0.73-2.051.77-0.42-4.12-1.221.870.572.55-0.03-2.83-3.71-3.95-9.15-0.58-2.94-2.99-2.560.150.130.180.410.641.702.276.109.493.161.271.601.291.16-1.44
2.08-0.22-2.721.603.143.412.341.740.402.381.152.103.224.934.073.191.710.82-0.840.642.931.322.263.757.424.982.721.190.03-0.34-0.73-2.051.77-0.42-4.12-1.221.870.572.55-0.03-2.83-3.71-3.95-9.15-0.58-2.94-2.99-2.560.150.130.180.410.641.702.276.109.493.161.281.611.301.17-1.46
1.83-0.19-2.391.462.843.052.071.500.342.061.021.862.894.343.612.831.520.72-0.700.552.491.111.913.126.284.142.290.980.02-0.27-0.61-1.741.52-0.36-3.54-1.061.600.482.13-0.03-2.31-3.12-3.33-7.86-0.50-2.59-2.65-2.300.130.120.160.370.561.491.965.338.002.461.091.381.131.01-1.25
2.08-0.22-2.721.603.143.412.341.740.402.381.152.103.224.934.073.191.710.82-0.840.642.931.322.263.757.424.982.721.190.03-0.34-0.73-2.051.77-0.42-4.12-1.221.870.572.55-0.03-2.83-3.71-3.95-9.15-0.58-2.94-2.99-2.560.150.130.180.410.641.702.276.109.493.161.271.601.291.16-1.44
12.2911.9411.9412.2311.9011.3210.8710.5310.2810.129.839.659.419.028.518.107.807.595.095.085.024.824.744.584.383.983.703.463.403.373.363.363.423.363.363.513.603.523.483.383.363.453.563.694.054.064.184.354.474.454.434.424.404.514.404.294.013.613.793.753.703.643.58
0.900.400.061.661.170.650.230.510.490.340.101.210.890.670.400.790.340.09-0.020.530.390.13-0.050.890.560.21-0.02-0.060.02-0.02-0.030.01-0.04-0.10-0.020.290.330.310.130.060.04-0.06-0.12-0.12-0.07-0.11-0.040.410.340.310.180.630.520.410.240.400.260.110.010.600.390.270.08
0.420.11-0.110.910.590.230.00-0.91-0.65-0.48-0.400.150.210.320.190.14-0.03-0.11-0.100.230.18-0.01-0.130.440.390.12-0.07-0.38-0.24-0.16-0.10-0.20-0.20-0.22-0.070.060.190.230.09-0.13-0.09-0.15-0.16-0.28-0.17-0.18-0.070.240.230.240.150.450.370.290.170.120.090.00-0.050.340.280.210.06