Verisk Analytics Financial Ratios for Analysis 2009-2024 | VRSK

Fifteen years of historical annual and quarterly financial ratios and margins for Verisk Analytics (VRSK).

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
1.050.400.490.560.500.490.450.810.410.501.100.671.300.330.75
0.900.570.450.500.540.500.540.630.620.840.700.831.101.401.07
8.902.111.171.191.391.321.561.792.296.812.335.72-11.23-7.34-17.00
67.3166.9865.3365.1162.5363.0063.4664.1965.2463.9460.9963.3062.9959.2952.17
42.2156.3337.0142.1426.7334.8337.3538.4739.9544.1838.5040.6540.3938.7329.40
42.2156.3337.0142.1426.7334.8337.3538.4739.9544.1838.5040.6540.3938.7329.40
52.7669.9952.6558.0039.3047.3648.6149.9852.9254.3947.1048.2147.1244.8536.41
38.3150.5631.9436.0621.8030.0532.2132.7638.8539.3133.7635.5035.9435.7225.76
22.9238.2027.0531.4017.2625.0025.8829.6328.8327.9521.8323.3823.7321.3112.33
0.610.360.320.300.370.410.360.430.310.610.640.600.770.941.03
---------------
7.507.477.224.965.586.145.736.375.885.007.066.276.277.539.68
48.6948.8750.5973.6365.4559.4963.6957.3062.1172.9951.6758.1858.2148.5037.72
23858.9521.3624.2319.9028.9128.8333.8935.5316862.51124-266.48-211.94-362.28
-40.22-252.26194-23.39-14.98-23.77-19.91-20.01-18.56-25.24-31.65-20.99-25.36-25.60-19.96
17.6014.977.788.656.3810.159.229.758.7215.0913.6713.4517.0319.9312.70
24.2125.3511.7112.119.1614.5313.1912.5013.3826.9818.8220.8626.2084.4025.71
2.2511.4317.5816.5713.8612.6311.687.988.101.343.271.52-0.60-0.67-0.19
7.206.667.086.465.745.554.413.373.942.892.942.732.171.801.79
26.4511.695.435.114.444.183.322.462.952.032.102.291.821.601.58

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.820.951.091.051.181.070.890.400.460.560.470.490.510.620.640.560.560.590.510.500.850.770.690.490.490.430.450.450.450.710.760.810.830.810.410.410.400.360.640.501.261.161.321.101.010.840.850.670.540.650.741.300.540.580.630.330.730.880.970.750.56--
0.890.850.910.900.880.900.970.570.540.500.470.450.460.490.490.500.530.550.560.540.560.530.530.500.490.500.480.540.580.610.620.630.610.610.640.620.640.650.770.840.610.630.680.700.720.780.780.830.900.961.011.101.231.201.181.400.870.900.951.07-0.79--
10.057.0510.008.907.259.3135.682.111.701.471.361.171.141.121.141.191.301.441.491.391.311.141.211.321.211.341.271.561.721.641.651.791.551.572.312.292.432.673.946.811.761.892.132.332.713.844.115.7211.0326.91-119.88-11.23-6.42-7.10-7.61-7.348.539.9118.82-17.00-0.55--
69.2069.3967.6466.6067.9567.8766.8267.4568.0168.1064.4773.4265.0564.5663.8670.6265.8565.2662.6461.6162.7962.8162.9863.6163.3963.0161.9463.4163.8562.9863.6161.8765.9364.2064.8361.8865.3863.9265.1910559.6959.2858.5859.1762.0560.9561.8772.5060.7060.5961.5277.4559.5459.9260.1960.2759.2859.1758.3642.1454.5656.2056.25
42.9544.4643.6636.9941.4845.3345.1444.8141.5740.4096.7745.5438.0635.7734.4985.2639.1938.2636.5830.5410.6533.4532.3835.2235.2635.3133.4736.8437.9537.2737.3536.6339.8338.3739.0934.9141.9134.0745.2799.7739.1137.5636.3337.2140.5037.6238.6348.2738.9237.0840.1050.5038.6437.8338.1338.7939.5738.0138.5315.9032.8334.0635.48
42.9544.4643.6636.9941.4845.3345.1444.8141.5740.4096.7745.5438.0635.7734.4985.2639.1938.2636.5830.5410.6533.4532.3835.2235.2635.3133.4736.8437.9537.2737.3536.6339.8338.3739.0934.9141.9134.0745.2799.7739.1137.5636.3337.2140.5037.6238.6348.2738.9237.0840.1050.5038.6437.8338.1338.7939.5738.0138.5315.9032.8334.0635.48
---------------------------------------------------------------
39.3454.8339.0935.8436.8539.7340.9137.9735.8335.0591.6132.7534.1431.4929.8469.1134.1533.1231.4125.435.9628.7027.2229.2632.2030.7727.9331.4232.9132.4732.0731.6334.6132.2332.6029.1038.7045.1040.3888.1635.1533.4832.0833.0736.0232.6133.2641.1634.2532.4635.5043.7034.3533.3235.1835.6836.6535.0635.4911.7329.1930.7932.02
30.3542.9831.1925.6927.6629.178.649.6931.0432.2678.5761.7226.5720.6023.2288.9526.4426.3724.8919.535.0423.0521.5023.8227.7325.5322.8835.8821.9823.1321.6521.5825.6252.5418.7920.2928.0238.1125.6865.2222.0720.8028.2120.9323.4121.5721.3733.9820.7919.6521.5338.0420.8720.0421.0622.4821.8820.7320.05-2.4316.3417.8118.28
0.160.150.160.160.160.160.160.090.090.080.080.030.100.100.090.030.100.100.100.100.100.100.100.100.100.100.090.090.100.110.110.110.110.110.090.100.080.070.160.060.170.160.160.170.170.160.150.120.170.200.180.140.250.230.240.240.270.270.250.270.25--
---------------------------------------------------------------
1.381.291.361.891.831.681.501.891.221.111.220.671.551.501.400.431.621.491.321.451.521.391.411.571.781.621.341.521.721.641.661.622.072.021.611.871.511.291.610.522.052.052.261.841.961.621.831.292.171.821.591.112.151.831.861.942.012.022.082.502.33--
65.3469.7166.3247.5449.1453.6159.8547.7273.5881.3173.8813457.9859.9864.3920855.5160.2668.2862.1759.1364.5464.0257.2350.5255.4166.9359.0752.4754.7954.0855.7043.5844.6355.8748.1059.5469.8356.0717343.8943.8739.7648.7945.8755.4649.2269.8241.5349.4256.7080.9941.9649.3148.3246.4444.8444.5943.3136.0438.68--
72.2070.7176.2356.5847.4266.8124412.208.277.3218.202.917.505.476.064.357.678.238.255.851.596.806.197.067.757.406.0910.637.228.257.858.068.657.378.508.299.4512.7729.0539.0713.6413.0314.0815.7719.6522.3322.5433.8958.37157-727.25-60.94-44.68-45.40-60.39-57.5810110919618.44-3.52--
-11.51-17.53-11.40-9.54-10.31-10.44-9.12-52.22-6.05-6.59-19.0126.42-7.70-5.58-6.18-4.20-6.59-6.32-5.78-4.40-1.35-6.31-5.35-5.80-6.77-5.93-5.06-7.34-4.35-5.22-4.74-4.76-5.73-4.68-4.21-4.33-3.85-4.58-7.60-5.88-11.45-9.48-8.28-7.99-7.66-5.95-5.68-5.73-5.16-5.86-5.65-5.80-6.43-5.97-7.06-6.96-11.75-10.65-9.661.02-2.34--
4.826.464.884.184.294.734.643.102.382.315.971.062.671.972.151.552.572.552.481.870.522.412.122.482.842.542.133.402.142.472.292.322.722.262.012.032.212.754.013.523.703.293.203.453.913.353.163.673.603.963.943.895.144.665.125.415.995.555.10-0.654.14--
7.7210.306.975.745.776.496.665.253.813.689.701.594.042.773.072.173.633.683.632.690.703.232.913.553.973.733.154.863.053.232.972.973.402.873.083.123.444.496.736.285.324.864.514.755.415.004.915.695.746.666.855.9910.229.2411.1422.9313.5511.019.97-1.31-6.29--
2.153.062.022.252.732.110.5511.4312.7914.9816.8417.5816.9417.1117.0616.5714.8813.3912.8013.8612.6113.4913.2612.6312.9912.5913.2311.6810.178.918.357.988.768.597.688.107.777.392.101.344.384.073.603.272.872.182.091.520.850.28-0.06-0.60-0.97-0.87-0.65-0.670.350.300.16-0.19-8.37--
6.244.132.597.205.553.842.396.665.133.332.477.085.944.182.736.464.943.712.195.744.683.402.205.554.523.171.944.413.532.551.873.372.822.251.773.853.022.121.682.892.231.691.372.942.241.431.112.731.871.091.112.171.891.070.821.801.290.910.721.791.421.030.75
5.053.352.2026.4525.3924.0922.0711.6910.699.265.665.434.823.442.375.114.033.182.014.443.762.851.934.183.612.581.683.322.852.121.692.462.251.891.592.882.411.761.522.031.631.251.152.101.621.060.942.291.550.881.001.821.650.910.751.601.170.830.681.581.290.940.70