WNS (Holdings) Financial Ratios for Analysis 2009-2024 | WNS

Fifteen years of historical annual and quarterly financial ratios and margins for WNS (Holdings) (WNS).

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
2024202320222021202020192018201720162015201420132012201120102009
1.711.662.462.462.082.072.392.443.122.461.371.121.200.930.990.98
0.120.15-0.200.030.060.110.18--0.040.100.110.140.280.45
0.270.25-0.310.100.110.180.28-0.070.260.320.310.400.541.09
36.1534.5333.7635.6637.1035.9533.6233.0635.0135.8134.8132.4328.0920.4824.5924.78
11.5813.6714.7814.8015.7914.8012.527.8312.9613.209.826.555.904.824.225.50
11.5813.6714.7814.8015.7914.8012.527.8312.9613.209.826.555.904.824.225.50
18.3619.6920.3321.6822.5719.2717.2014.0520.1920.4217.3315.4715.4813.0513.4114.47
12.3613.4414.8314.5415.5116.2113.449.1814.4215.1811.136.795.063.150.632.16
10.5911.2211.9011.2412.5813.0311.406.2710.6510.988.294.652.642.910.641.57
0.940.810.950.830.921.031.000.861.071.010.930.860.901.181.070.93
----------------
5.705.755.926.106.285.755.695.515.675.595.205.124.635.636.806.70
64.0863.4761.6859.8058.1063.4464.1066.2364.4365.2570.2271.3578.7564.8153.7154.49
18.3017.1417.5215.0019.8919.0917.469.1014.6715.0612.827.124.426.761.094.20
49.1751.1823.3820.7329.5130.8832.0020.4819.6421.9724.2017.6315.31122-8.29-7.12
9.929.1311.349.2811.5313.4211.385.3611.4011.057.744.002.393.430.491.41
16.1414.6317.5212.0719.3418.0015.547.4914.6715.0612.306.403.915.820.792.30
16.7616.5715.4413.5511.8110.809.818.307.967.496.335.945.665.965.634.42
4.624.033.664.104.392.862.581.741.921.791.541.251.230.791.231.46
3.543.163.112.183.862.251.951.311.411.371.170.850.780.460.940.94

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
1.621.601.701.821.981.401.661.641.932.382.462.492.402.312.462.672.692.452.082.081.881.772.071.971.671.912.392.542.37-2.443.183.132.843.122.942.802.552.462.081.801.641.371.491.301.351.121.311.281.161.200.740.730.950.931.050.981.010.990.950.940.990.98
0.180.190.120.120.130.150.150.290.240.18--0.19-0.200.010.200.030.030.040.040.060.060.090.100.110.110.140.15-0.18----------0.030.040.090.100.110.100.120.120.130.110.010.010.140.140.220.220.270.280.330.380.430.45
0.360.450.230.220.200.270.250.460.370.27-0.010.240.070.310.070.310.050.100.080.090.110.110.150.170.190.180.220.24-0.28------0.020.070.110.180.240.260.300.340.340.320.290.260.330.310.490.380.390.400.460.490.590.540.740.810.991.09
35.7535.1838.0035.9536.1234.4835.8335.4733.8932.8334.1734.0133.9232.8234.9936.9338.0532.4336.2337.3037.1637.7937.7037.3235.2133.4836.6534.0132.7130.7432.6032.9433.4333.3135.3335.0135.8433.8034.6537.4036.9434.1737.1035.7735.2530.9031.7032.7433.3931.8830.9929.9727.7124.0721.1320.6721.9018.1521.6324.0625.2827.9128.71
12.8111.947.8412.9613.9911.6012.9714.3213.4413.9715.6215.1915.0613.0314.1717.3017.669.6114.4116.2816.0516.5815.3416.7114.4812.6514.4813.6210.7810.97-2.0514.1610.209.8313.1913.3813.6711.5113.5214.7714.1110.3012.2211.308.856.698.596.536.024.867.646.915.813.475.566.315.262.082.054.404.616.156.69
12.8111.947.8412.9613.9911.6012.9714.3213.4413.9715.6215.1915.0613.0314.1717.3017.669.6114.4116.2816.0516.5815.3416.7114.4812.6514.4813.6210.7810.97-2.0514.1610.209.8313.1913.3813.6711.5113.5214.7714.1110.3012.2211.308.856.698.596.536.024.867.646.915.813.475.566.315.262.082.054.404.616.156.69
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13.6611.785.0712.0420.4411.9512.7313.8713.1614.0315.8515.1914.7713.2714.1516.8817.309.3614.3915.9615.5816.2217.1818.1315.5713.9015.7114.4111.4711.90-1.0215.6811.5611.3515.0014.6614.9013.0315.5216.7816.0412.2914.0712.659.737.829.176.866.074.856.606.224.952.705.145.724.36-2.840.80-0.020.840.933.01
12.958.952.7012.1517.809.7911.5611.3010.8011.1913.0012.0811.7310.5811.3013.0213.127.1311.8812.9212.7112.8714.1014.3112.4511.2012.1113.9410.139.27-3.1212.368.418.2211.1410.8910.999.5111.0912.1711.399.2110.279.597.595.526.865.053.822.643.883.452.910.525.525.873.88-3.890.650.200.930.782.23
0.220.220.230.220.230.220.210.220.260.260.260.250.260.250.220.220.210.210.250.240.240.220.270.270.290.280.270.250.27-0.230.280.280.290.270.290.290.270.250.260.250.240.240.250.240.240.220.230.220.210.220.250.250.250.310.290.290.280.290.260.270.230.20
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1.331.371.451.401.421.411.481.461.551.581.591.641.601.551.631.591.521.391.681.601.621.571.501.541.371.471.521.531.55-1.461.461.461.431.441.431.391.321.391.361.371.321.351.351.381.421.321.231.091.171.111.161.221.161.461.271.391.521.842.072.051.661.47
67.4765.6162.0964.0963.3063.6160.8561.7258.1756.9256.4854.8956.3258.1055.1856.5359.3764.5353.5556.2655.6957.4360.1358.3665.9061.4259.0958.9757.98-61.7561.7661.6763.0662.6162.8464.5768.3264.6566.0165.5868.2966.8266.4665.1263.2867.9372.9582.2276.8481.2477.9174.0277.3261.7570.9864.6259.0348.9643.5543.9154.1661.31
5.673.921.164.827.284.204.544.674.834.695.164.794.794.204.034.444.342.415.035.255.285.125.375.625.544.724.965.584.40--1.204.553.083.133.894.104.193.423.794.534.333.554.124.153.472.432.722.101.481.081.551.881.440.253.323.432.36-2.430.34-0.030.480.461.30
16.5111.292.9713.0619.8814.0813.5716.049.536.366.886.526.696.025.576.116.053.487.468.028.468.378.699.6310.578.719.0910.809.30--2.706.164.184.145.215.756.135.145.527.027.126.287.778.778.366.016.735.994.553.635.3829.0718.222.7359.71202-51.1520.19-2.610.13-1.17-0.91-2.20
2.881.930.642.684.102.182.422.462.762.933.343.083.012.602.492.812.761.472.923.043.002.853.783.823.603.113.233.552.69--0.713.482.352.373.023.153.222.552.783.172.882.222.482.381.861.351.531.150.830.560.840.860.730.131.681.681.13-1.080.16-0.010.190.160.43
4.623.181.024.256.363.593.883.313.663.845.164.793.894.203.244.393.482.344.895.035.044.825.065.145.004.184.414.813.75--0.994.553.083.133.894.104.193.423.794.534.333.463.953.783.142.172.441.851.300.941.371.861.420.212.862.691.83-1.770.25-0.020.290.260.71
15.9716.0817.2317.5617.1816.0616.5715.4214.3114.6315.4414.6813.8013.0613.5514.0613.4712.3611.8111.8610.9910.8610.8010.188.789.399.819.368.52-8.307.908.037.667.967.487.077.177.497.066.826.616.335.745.275.465.945.725.795.235.664.815.355.985.965.885.725.455.635.314.854.724.42
1.430.454.623.291.460.264.032.401.000.311.222.360.000.304.102.661.570.484.393.121.901.002.862.030.870.282.581.871.110.271.741.200.680.331.921.350.820.321.791.260.730.251.541.070.640.161.250.910.410.121.230.890.530.050.790.470.200.101.231.040.710.171.46
0.920.233.542.410.79-0.093.161.81-0.280.310.941.95-0.152.182.251.320.363.862.671.540.792.251.550.490.101.951.340.750.131.310.900.450.241.411.000.540.161.370.930.500.181.170.760.440.050.850.570.180.040.780.510.25-0.100.460.240.050.040.940.860.570.090.94