Gauchos Financial Ratios for Analysis 2013-2024 | VINOQ

Fifteen years of historical annual and quarterly financial ratios and margins for Gauchos (VINOQ).

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
20232022202120202019201820172016201520142013
0.441.130.910.500.420.350.980.610.640.620.43
0.020.160.01-0.04-0.01-0.02-0.14---0.15
0.280.210.43-0.23-0.30-0.38-0.190.080.090.080.57
24.8710.2175.35-14.3019.0053.49-7.13-15.36-19.24-0.588.09
-503.38-960.24-49.09-843.98-521.48-169.53-422.90-429.92-327.31-403.69-281.55
-503.38-960.24-49.09-843.98-521.48-169.53-422.90-429.92-327.31-403.69-281.55
-359.19-873.58-42.07-815.74-487.99-155.61-411.61-425.47-314.25-389.88-256.64
-753.04-1,327.80-48.60-909.37-541.62-183.20-429.58-511.11-344.44-428.55-309.16
-753.04-1,323.41-44.59-1,001.95-574.95-206.56-454.39-658.04-443.51-460.36-348.99
0.130.090.200.110.220.550.220.220.240.200.23
0.800.780.810.620.891.391.401.481.881.432.08
3.000.913.101.253.425.861.751.843.973.794.73
12240211829210762.3420919891.8896.2977.21
-284.38-202.24-16.9567.1077.0656.24156-321.45-205.60-156.79-190.29
-289.36-203.56-16.9567.1077.0656.24156-321.45-205.60-156.79-187.50
-97.81-116.76-9.83-96.84-117.51-100.55-93.55-112.23-83.96-83.70-70.42
-279.93-169.52-16.8469.6177.9057.58178-321.45-205.60-156.79-159.88
11.852951,712-1,977.54-2,697.17-259.63-67.8896.57194237
-48.99-322.99-1,019.46-1,377.00-2,003.68-116.22-225.47-189.07-208.28-295.00-228.98
-53.95-432.23-1,310.67-1,409.16-2,049.58-124.04-251.44-205.11-223.27-322.36-239.18

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-30
0.350.420.440.830.591.051.130.880.480.660.912.842.732.750.500.510.300.370.420.740.640.380.350.460.560.720.981.391.090.750.610.860.921.060.640.791.150.640.620.440.66----
0.03-0.020.210.020.010.160.000.010.010.010.010.010.01-0.04-0.04-0.04-0.01-0.01-0.02-0.03-0.02-0.02-0.10-0.12-0.19-0.14-0.38-0.900.30---------------
1.740.370.280.490.450.300.210.120.360.390.430.030.040.06-0.23-0.44-0.40-0.38-0.30-0.31-0.31-0.44-0.38-0.31-0.30-0.40-0.19-0.35-0.600.620.080.060.060.060.090.050.040.090.080.140.10----
-5.7037.4136.9530.815.9634.5027.271.59-31.6144.0566.8591.9217.7042.023.83-34.48-105.5716.0273.07-37.35-49.4048.1082.3330.512.6554.93-13.65-19.37-34.0221.648.81-103.80-19.3114.59-52.7425.00-136.4215.3748.36-18.00-53.347.72-8.35-2.39
-566.95-383.27-1,032.14-311.15-279.28-434.60-2,596.02-434.36-601.83-417.25-35.9434.06-380.50-507.52-1,028.11-1,672.13-1,223.33-426.19-589.63-636.01-696.76-301.22-49.60-282.05-547.49-106.03-433.23-647.63-453.72-294.52-247.10-655.69-538.72-432.5254.96-272.97-1,007.71-352.28-368.74-381.99-556.36-334.28--191.55-412.46
-566.95-383.27-1,032.14-311.15-279.28-434.60-2,596.02-434.36-601.83-417.25-35.9434.06-380.50-507.52-1,028.11-1,672.13-1,223.33-426.19-589.63-636.01-696.76-301.22-49.60-282.05-547.49-106.03-433.23-647.63-453.72-294.52-247.10-655.69-538.72-432.5254.96-272.97-1,007.71-352.28-368.74-381.99-556.36-334.28--191.55-412.46
---------------------------------------------
-615.61-465.40-1,177.84-495.38-700.75-601.91-2,564.15-1,071.75-1,305.78-533.86-50.8735.74-387.17-414.62-1,268.68-1,551.27-1,283.74-436.21-621.33-616.53-741.64-318.04-47.82-289.86-632.40-111.52-449.06-685.76-466.66-275.54-263.05-675.90-855.41-439.4824.47-278.77-1,047.56-360.36-396.92-386.92-591.71-365.68--217.60-425.49
-615.61-465.40-1,177.84-495.38-700.75-601.91-2,564.15-1,071.75-1,305.78-516.88-47.6437.48-366.59-404.62-1,378.28-1,792.45-1,394.09-482.39-634.19-647.95-791.26-358.40-66.58-341.23-672.14-123.71-480.11-734.77-478.35-293.26-489.44-816.30-971.72-509.38-403.30-278.77-1,047.56-360.36-396.67-400.05-652.03-425.53--257.22-452.63
0.030.040.030.020.040.020.020.020.020.020.070.150.020.020.030.010.020.050.060.030.040.070.170.080.070.160.060.030.050.080.080.030.040.050.060.060.020.060.050.050.04----
0.240.180.160.140.340.150.140.250.340.150.380.160.240.130.130.070.240.210.080.260.330.180.170.290.350.400.420.250.450.380.410.450.360.280.560.300.470.310.200.480.59----
0.530.660.740.220.380.230.210.270.340.281.072.220.150.460.320.120.300.860.920.270.320.681.861.501.082.000.490.320.540.900.640.380.480.680.920.790.430.971.051.150.98----
17113612240423639143833326331984.2340.5958619528474630110498.2433628313348.3659.8583.5445.1018328516610014023618713297.8211421192.4585.6678.4792.17----
-108.67-57.35-109.24-29.14-59.56-21.73-88.35-25.51-35.88-14.99-6.126.86-14.12-13.7723.749.8413.4412.8423.6720.4526.0013.494.6714.7330.1722.0445.8366.71219-155.68-57.69-53.35-77.33-40.483.38-29.03-39.96-37.86-40.25-65.51-54.23----
-112.74-58.49-111.15-29.52-60.34-21.85-88.93-25.61-36.05-15.06-6.126.86-14.12-13.7723.749.8413.4412.8423.6720.4526.0013.494.6714.7330.1722.0445.8366.71219-155.69-57.69-53.35-77.33-40.483.38-29.03-39.96-37.86-40.25-65.51-53.22----
-16.50-16.70-37.57-12.16-25.92-12.83-51.01-18.61-21.17-9.03-3.555.29-9.44-9.95-34.26-13.57-26.79-21.64-36.10-20.31-29.68-22.40-8.34-24.25-46.46-18.29-27.57-21.18-23.89-22.86-20.14-23.09-37.52-20.441.38-16.15-24.27-19.84-21.49-19.02-23.68----
-105.93-57.35-107.53-23.06-58.34-21.56-74.06-25.38-35.65-14.90-6.086.81-13.98-13.6124.6310.2013.9212.9623.9320.8826.6813.814.7816.1633.7826.1652.4691.91416-108.65-57.69-53.35-77.33-40.483.38-29.03-39.96-37.86-40.25-65.51-53.22----
2.726.1511.8574.431232252956741,0681,4881,7121,8571,3861,330-1,977.54-167.86-223.17-201.00-2,697.17-138.83-165.68-252.35-259.63-222.62-218.62-179.78--78.33-24.6130.5867.8894.9310912696.57177220179194110255----
-4.85-3.42-48.99-65.84-6.47-6.31-322.99-208.19-249.70-241.29-1,019.46-784.16-629.11-392.73-1,377.00-1,075.66-608.36-313.19-2,003.68-106.44-78.53-39.73-116.22-110.81-89.77-33.21-225.47-178.41-113.93-57.61-189.07-137.74-104.98-53.74-208.28-178.46-139.62-58.40-295.00-182.71-161.41-71.750.00-136.80-109.34
-4.76-3.49-53.95-73.50-7.17-6.41-432.23-297.15-401.73-329.46-1,310.67-872.86-664.60-395.92-1,409.16-1,087.30-613.50-318.15-2,049.58-109.50-81.32-40.18-124.04-120.45-98.77-39.72-251.44-190.71-121.84-60.40-205.11-145.23-111.05-54.63-223.27-189.96-144.24-59.96-322.36-206.91-185.84-77.00--143.38-114.93