Viad Corp Financial Ratios for Analysis 2009-2024 | VVI

Fifteen years of historical annual and quarterly financial ratios and margins for Viad Corp (VVI).

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
1.031.131.130.931.100.550.630.511.051.081.381.521.581.792.00
0.770.830.830.620.380.000.110.170.220.250.000.000.000.010.02
3.414.855.001.690.620.510.470.670.380.410.030.010.010.020.03
8.766.12-9.25-27.966.927.117.347.155.015.623.903.792.691.750.52
3.483.07-18.74-86.862.005.257.985.373.483.882.902.301.400.30-16.56
7.356.17-13.16-82.563.126.068.645.963.964.093.092.491.640.59-16.28
11.4710.82-2.56-68.947.6510.6612.869.517.206.996.025.484.733.93-12.77
3.483.07-18.74-86.862.005.257.985.373.483.882.902.301.400.30-16.56
0.500.98-20.14-91.001.693.974.423.512.444.922.260.590.980.05-12.99
1.091.030.490.490.991.341.421.391.581.491.701.551.531.371.32
11198.1364.5960.9270.2269.1269.0035.6137.5831.0232.7327.1625.6021.4617.89
9.689.215.5223.2910.3211.3612.4711.5111.6113.6315.5816.0414.8217.9018.00
37.7239.6266.1615.6735.3732.1429.2731.7031.4426.7723.4322.7524.6320.3920.28
18.3025.45-101.58-215.464.3110.6313.2011.738.1811.845.420.892.410.21-27.25
-51.34-29.49109-12,178.7314.3134.7453.3310123.5037.258.681.383.710.32-40.78
2.132.26-8.99-43.961.795.196.355.003.975.763.440.551.500.13-17.20
4.214.45-17.33-81.642.6810.6211.709.776.418.935.410.892.400.21-26.66
6.324.674.478.5126.8922.3121.6918.2416.6317.3117.5519.6219.1719.1218.71
4.963.53-1.85-3.965.334.445.504.973.022.890.303.461.732.13-0.31
1.360.32-3.99-5.511.660.402.772.561.601.48-0.832.090.682.02-1.38

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
1.011.070.971.031.191.051.011.131.121.020.961.131.300.800.890.931.181.970.501.100.510.490.520.550.690.640.590.630.710.620.550.510.710.800.751.051.241.221.111.081.111.251.261.381.721.641.571.521.481.431.431.581.591.711.641.791.801.831.972.001.901.961.82
0.670.790.820.770.630.820.850.830.840.860.690.830.800.790.580.620.430.680.040.380.050.020.020.000.090.100.110.110.110.140.160.170.170.190.210.220.220.230.250.250.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.010.010.010.020.020.020.020.02
2.063.834.843.411.714.685.984.855.436.352.305.004.053.871.371.690.762.101.040.620.610.640.570.510.420.550.540.470.400.580.630.670.510.370.490.380.340.380.430.410.070.030.000.030.000.000.010.010.010.010.010.010.010.010.020.020.020.030.030.030.030.030.03
20.3114.12-3.091.5520.7810.45-2.11-4.5517.3411.50-12.84-7.5517.17-57.12-132.05-180.17-10.77-165.42-3.190.0515.5011.54-3.931.6915.7910.56-3.96-1.4013.9410.844.01-0.2115.4010.47-2.601.935.6911.45-0.43-0.2911.015.514.68-0.926.344.654.77-6.5411.124.262.06-3.632.504.135.95-1.654.613.540.09-5.64-1.494.592.77
14.589.47-9.25-3.6716.115.23-8.40-2.5513.247.35-18.72-14.3710.64-73.61-167.56-207.34-43.00-572.79-35.22-5.6913.144.97-8.94-0.8213.859.01-5.55-3.2919.4210.293.09-2.6413.838.94-4.31-0.494.6210.27-1.98-3.669.653.763.81-3.195.833.794.18-9.2510.203.020.50-6.091.302.885.35-3.723.572.16-1.29-14.18-66.374.030.94
17.0912.79-4.920.0619.529.09-3.701.8915.929.78-15.41-9.9314.72-64.52-149.99-196.67-34.32-554.96-33.83-3.9014.225.73-7.880.3214.609.67-4.78-2.5120.0710.873.75-1.5414.239.36-3.76-0.025.1110.76-1.52-3.199.833.903.94-2.966.023.984.33-9.0010.363.200.70-5.821.563.115.57-3.393.872.42-1.03-13.85-66.114.291.23
---------------------------------------------------------------
14.589.47-9.25-3.6716.115.23-8.40-2.5513.247.35-18.72-14.3710.64-73.61-167.56-207.34-43.00-572.79-35.22-5.6913.144.97-8.94-0.8213.859.01-5.55-3.2919.4210.293.09-2.6413.838.94-4.31-0.494.6210.27-1.98-3.669.653.763.81-3.195.833.794.18-9.2510.203.020.50-6.091.302.885.35-3.723.572.16-1.29-14.18-66.374.030.94
7.795.49-9.90-2.608.142.13-8.750.967.004.13-17.65-12.024.06-72.67-155.89-194.98-48.97-686.06-29.38-2.088.883.44-6.22-0.9810.446.46-3.38-7.8213.177.662.08-1.588.846.01-2.89-0.382.827.06-0.78-2.649.882.637.66-2.295.382.542.83-11.526.502.470.38-3.120.561.833.37-2.362.231.39-1.33-8.51-53.632.530.62
0.380.310.230.260.300.280.240.230.330.280.170.180.220.060.030.030.070.030.240.200.280.330.270.260.370.370.290.300.360.380.360.290.430.420.310.360.350.420.360.310.470.430.480.360.330.390.440.280.440.370.420.320.350.370.440.300.340.350.370.280.290.300.35
32.2921.5126.9728.2827.1018.1022.7624.0428.2218.9121.7823.0122.118.427.998.964.274.1817.3515.1118.3116.7016.8614.0716.1315.9816.4716.027.348.758.638.187.847.466.438.976.249.207.476.917.246.058.237.285.457.518.005.507.174.826.935.715.227.398.164.915.695.556.164.014.175.055.14
2.702.041.812.282.712.191.952.032.552.021.882.003.242.481.571.562.971.022.632.072.442.522.122.192.872.572.352.652.632.572.522.452.792.662.402.682.432.632.662.863.312.762.933.302.962.933.362.933.522.863.383.103.492.663.533.963.783.214.043.803.312.924.13
33.3044.1949.7239.5033.2141.0746.1444.4035.3444.5147.9945.0927.7436.3057.4657.5330.3188.2334.2343.5136.8235.7442.3941.1831.3935.0538.3734.0234.2735.0535.6636.7332.2133.8837.4933.5437.1034.2133.8131.5127.2232.6230.6727.2930.4530.7526.8030.7025.5931.5226.6228.9925.7833.8925.5222.7123.8128.0122.2823.6827.2030.7921.77
29.5023.80-26.42-11.9935.1911.72-27.27-6.9248.1126.68-45.75-26.6517.39-41.83-32.51-29.67-13.18-92.24-20.93-1.196.502.67-4.13-0.848.115.42-2.51-4.999.796.611.94-1.189.185.65-2.08-0.262.336.32-0.61-2.138.632.272.68-1.292.241.612.08-5.925.001.320.21-1.790.581.052.41-1.241.500.77-0.81-3.96-24.091.100.30
364-62.8034.1333.6251.69-14.2620.838.02-45.71-17.28-141.1228.65-29.7352.18-52.32-1,676.85-18.25-343.36-60.01-3.9519.567.90-14.67-2.7424.7720.98-10.88-20.1533.0031.9414.10-10.1939.8516.10-6.74-0.746.4317.88-2.07-6.6914.923.714.35-2.073.322.473.22-9.167.522.040.33-2.750.891.583.60-1.862.241.16-1.22-5.92-35.632.150.59
4.682.45-2.22-1.404.151.02-1.93-0.613.661.76-2.89-2.361.85-4.54-5.02-6.05-3.19-20.81-7.05-0.492.691.10-1.72-0.414.012.41-1.14-2.404.812.880.80-0.503.922.54-0.90-0.131.102.97-0.27-1.034.911.321.55-0.821.411.011.28-3.623.010.790.13-1.120.370.661.46-0.780.920.47-0.51-2.50-15.400.750.20
9.795.04-4.66-2.766.782.10-3.99-1.217.723.69-4.73-4.553.50-8.64-7.12-11.24-4.71-29.89-20.07-0.746.202.61-4.07-0.847.424.88-2.23-4.428.665.711.64-0.987.614.56-1.64-0.201.814.88-0.46-1.618.612.272.67-1.292.231.602.08-5.914.991.320.21-1.780.581.052.39-1.231.490.77-0.79-3.87-23.531.070.29
8.955.964.696.3213.114.793.764.674.213.669.694.475.475.0113.218.5116.5211.0420.6226.8926.2024.8021.4222.3123.5121.4720.9821.6922.9520.2818.5618.2418.7917.3116.5516.6317.2617.5016.1517.3118.2317.2516.7917.5520.4119.5619.5619.6220.7819.4619.3119.1719.4419.9619.6119.1219.1118.4518.6718.7119.4423.4622.42
6.161.06-0.364.965.501.850.493.535.052.120.87-1.85-0.13-1.94-1.61-3.96-2.14-1.54-0.235.334.981.950.404.444.981.54-0.175.505.612.911.584.975.712.700.863.023.821.910.932.894.111.401.240.301.35-0.38-0.283.463.440.850.141.731.750.301.012.132.230.900.39-0.310.08-1.02-0.80
3.72-0.70-1.341.362.920.32-0.060.322.440.600.26-3.99-1.62-2.46-1.37-5.51-3.04-2.91-1.381.662.03-0.31-0.540.401.86-0.52-1.432.773.711.590.892.564.141.730.501.602.911.290.661.483.040.750.99-0.830.67-1.14-0.682.092.450.15-0.240.680.91-0.330.642.022.381.200.85-1.38-0.85-1.75-1.32