Vislink Technologies Financial Ratios for Analysis 2011-2024 | VISL

Fifteen years of historical annual and quarterly financial ratios and margins for Vislink Technologies (VISL).

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
2023202220212020201920182017201620152014201320122011
5.737.166.631.871.271.741.322.540.431.352.090.010.17
---0.03-0.360.000.140.170.110.09-0.510.23
-0.000.000.120.040.610.120.170.290.130.10-3.261.33
51.3145.9555.2439.4045.6149.8840.9952.3445.2875.1674.88-66.67
-38.56-50.00-52.38-78.18-59.43-37.67-48.91-347.73-2,131.01-3,063.54-3,406.65--8,986.67
-38.56-50.00-52.38-78.18-59.43-37.67-48.91-347.73-2,131.01-3,063.54-3,406.65--8,986.67
-32.61-43.17-24.61-69.73-47.99-29.96-39.71-262.38-1,577.79-2,447.13-2,779.56--7,460.67
-34.00-48.90-48.38-76.81-62.36-38.84-21.65-317.95-1,915.99-3,021.98-6,761.08--10,445.33
-33.21-48.20-48.38-76.81-62.36-38.84-21.65-345.45-2,246.35-3,021.98-6,761.08--10,445.33
0.610.540.501.111.231.331.310.330.060.030.01-0.01
0.951.261.272.322.051.471.911.150.660.040.04--
3.174.683.745.064.316.195.744.801.450.890.19-0.10
11577.9497.7072.1884.6759.0163.6376.012514081,922-3,650
-24.68-31.02-28.94-175.80-195.55-144.54-62.75-165.38-173.52-116.02-122.46234-234.66
-27.56-34.50-32.32-217.62-286.14-265.64-107.79-308.881,108-5,376.19-650.4758.68199
-20.29-26.14-24.06-85.10-76.46-51.62-28.25-105.04-107.74-82.02-92.67-70.27-85.37
-24.68-31.02-28.94-171.30-195.55-91.94-62.64-142.31-144.04-101.30-111.89355-180.57
15.1518.4424.729.3551.396581,3291,99360.956.391.20-0.971.11
-4.09-4.03-4.42-19.38-111.85-464.12-443.31-13.12-123.58-6.52-1.50-0.92-1.48
-4.39-4.23-4.51-19.73-117.22-450.95-480.28-13.14-124.12-6.58-1.53-1.01-1.71

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-31
4.144.795.735.335.767.307.166.627.687.336.636.685.828.351.872.302.531.601.271.421.261.521.741.331.131.301.322.281.991.892.541.030.951.040.431.101.031.721.352.322.791.352.090.580.060.040.01----
--------------0.030.050.05---0.510.430.360.240.000.000.000.070.070.070.140.160.150.180.170.120.120.110.110.090.080.110.090.110.510.28-0.51----
0.01--0.010.01-0.000.010.01-0.000.010.030.020.120.090.100.030.040.021.050.780.610.570.500.140.120.070.070.080.170.190.210.220.290.210.230.130.130.110.100.130.100.135.171.56-3.26----
56.2658.6545.4554.0053.1853.9032.5549.2352.9150.1053.1862.2952.8146.0420.4931.8359.6047.2938.7640.7252.1849.7147.4249.1952.3950.7943.9950.2931.8140.3255.5649.2950.8254.1416.7439.6834.4943.4911260.0074.8574.8072.9296.97-------
-29.46-18.59-31.90-31.91-67.10-32.67-75.14-39.30-38.07-45.83-122.97-4.40-11.88-67.95-143.12-59.17-10.94-88.79-76.71-97.82-43.66-32.49-21.03-32.42-54.36-44.50-46.78-54.07-39.03-61.55-459.12-213.02-279.88-496.993,812-2,011.64-1,039.57-680.65-8,320.00-2,824.67-2,752.76-2,042.80-749.33-13,100.00-------
-29.46-18.59-31.90-31.91-67.10-32.67-75.14-39.30-38.07-45.83-122.97-4.40-11.88-67.95-143.12-59.17-10.94-88.79-76.71-97.82-43.66-32.49-21.03-32.42-54.36-44.50-46.78-54.07-39.03-61.55-459.12-213.02-279.88-496.993,812-2,011.64-1,039.57-680.65-8,320.00-2,824.67-2,752.76-2,042.80-749.33-13,100.00-------
---------------------------------------------------
-26.71-11.67-30.07-28.21-61.11-25.19-75.33-39.23-38.16-41.08-122.876.04-11.05-65.21-141.96-58.46-12.95-82.77-76.24-99.76-48.63-37.66-23.25-26.51-67.73-38.72-86.85-52.64-7.3288.83-440.59-162.36-276.86-437.353,396-1,619.58-1,058.02-605.65-7,713.85-2,854.00-2,779.14-2,061.20-1,010.99-48,266.67-------
-26.09-11.03-29.40-27.44-60.04-24.43-74.87-38.47-37.33-40.34-122.876.04-11.05-65.21-141.96-58.46-12.95-82.77-76.24-99.76-48.63-37.66-23.25-26.51-67.73-38.72-86.85-52.64-7.3288.83-440.59-162.36-363.75-477.183,221-1,619.58-1,695.72-788.87-7,713.85-2,854.00-2,779.14-2,061.20-1,010.99-48,266.67-------
0.200.190.180.150.100.140.140.120.110.110.160.150.090.050.330.210.250.250.350.190.260.290.380.280.290.290.390.230.300.200.100.100.090.05-0.010.010.020.030.000.010.010.010.010.00-------
0.260.240.310.240.180.280.410.240.220.250.430.340.370.270.900.340.300.340.670.230.280.320.440.300.280.300.540.270.520.330.340.320.230.13-0.230.030.070.090.000.010.010.020.030.00-------
0.910.950.930.970.881.131.230.760.780.731.222.110.831.211.491.181.341.341.251.041.301.481.751.591.761.461.691.331.370.801.521.151.440.77-0.340.160.391.050.090.160.160.280.17--------
98.4394.3796.7892.8610379.9573.2411911512473.9242.6310874.6660.3976.5367.1067.0672.1386.3269.0160.6651.5356.6351.1661.5153.1767.5065.7911359.3278.4362.43117-268.3354923285.84972569550319516--------
-6.63-2.60-6.42-5.10-7.45-4.07-12.62-5.70-4.93-5.09-23.961.02-1.27-4.01-95.77-20.54-5.14-41.11-69.21-41.94-64.37-38.90-24.43-22.44-57.19-25.38-74.29-19.06-3.7130.18-72.40-28.38-46.88-47.89-70.96-20.84-27.01-21.83-30.65-21.77-20.33-29.14-16.82-99.56-183.74-81.5579.33----
-7.34-2.88-7.17-5.71-8.25-4.50-14.03-6.31-5.48-5.67-26.751.33-1.30-4.12-118.55-24.40-6.11-54.32-101.27-58.48-205.34-83.79-44.90-46.96-114.29-44.15-127.61-26.09-5.2550.69-135.23-231.79-366.27273453425358-324.20-1,420.39-140.27-85.26-2,697.93-89.3652721.4032.6119.88----
-5.09-2.06-5.27-4.12-6.09-3.45-10.63-4.75-4.20-4.29-19.920.88-1.04-3.48-46.36-11.99-3.18-20.35-27.06-18.84-12.77-10.91-8.73-7.52-19.59-11.28-33.45-11.94-2.1717.36-45.99-15.96-24.05-21.32-44.06-13.80-18.41-15.74-21.67-17.15-16.18-21.60-12.73-65.77-16.76-20.76-23.80----
-6.63-2.60-6.42-5.10-7.45-4.07-12.62-5.70-4.93-5.09-23.961.02-1.27-4.01-93.31-19.47-4.90-41.11-69.21-41.94-31.48-22.32-15.54-17.02-57.06-25.33-74.15-17.77-3.4628.10-62.30-23.87-33.07-34.64-58.90-18.27-23.66-18.34-26.76-19.74-18.61-26.06-15.37-88.50-90.54-58.66120----
13.9614.8615.1616.1917.0918.1318.4420.2621.6123.7224.7229.0228.7929.139.3515.8518.7915.9551.3999.882954966586888031,1911,3292,3702,8962,9641,9930.571.430.2260.951.382.910.476.390.790.920.941.201.270.270.70-0.97----
-0.69-0.04-4.09-2.52-1.34-0.25-4.03-4.97-3.57-2.13-4.42-3.60-3.53-2.37-19.38-13.13-10.43-10.93-111.85-59.36-72.28-98.45-464.12-370.92-323.68-188.75-443.31-238.1839.03-14.39-13.12-4.13-7.11-13.71-123.58-8.48-8.17-0.64-6.52-5.00-3.78-0.24-1.50-0.88-0.44-0.310.00-0.70-0.47-0.260.00
-0.83-0.09-4.39-2.73-1.52-0.33-4.23-5.11-3.70-2.22-4.51-3.67-3.58-2.40-19.73-13.41-10.65-11.17-117.22-62.81-87.19-100.90-450.95-364.82-326.35-191.16-480.28-277.13-2.52-52.58-13.14-4.14-7.13-13.76-124.12-8.75-8.51-0.68-6.58-5.04-3.83-0.25-1.53-0.89-0.44-0.31--0.75-0.51-0.27-