Alkaline Water Financial Ratios for Analysis 2014-2024 | WTER

Fifteen years of historical annual and quarterly financial ratios and margins for Alkaline Water (WTER).

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
2023202220212020201920182017201620152014
0.680.971.761.012.320.870.921.180.510.34
------0.010.060.46-
-0.605.540.03--0.290.240.431.64-
18.2617.1535.7034.1540.2141.0142.4137.4731.5625.48
-34.54-71.20-34.37-37.41-25.04-29.93-19.89-105.48-186.84-774.47
-34.54-71.20-34.37-37.41-25.04-29.93-19.89-105.48-186.84-774.47
-30.62-69.24-32.20-34.75-23.24-26.33-12.72-91.97-169.75-747.34
-42.97-72.27-35.62-38.58-26.76-33.75-27.07-116.83-192.93-765.25
-42.97-72.27-35.62-38.58-26.76-33.75-27.07-116.83-192.93-765.25
3.542.431.882.461.743.272.991.881.930.97
9.325.296.728.679.3611.668.9610.2013.107.11
9.786.915.457.8210.497.628.997.788.893.32
37.3252.8367.0146.7034.7847.8840.5946.9341.07110
513-9,978.91-148.99-915.95-75.91-1,469.92-426.48-550.68-2,854.191,137
514-9,868.01-148.99-914.03-75.88-1,453.00-414.70-542.39-2,642.871,202
-152.00-175.93-66.84-95.01-46.63-110.42-80.90-219.35-372.38-744.23
514-9,868.02-148.99-914.03-75.88-1,453.00-410.76-510.55-1,416.811,202
-0.530.051.890.534.300.270.711.571.63-3.23
-1.14-4.82-3.08-4.75-3.82-1.91-2.46-12.36-21.16-13.00
-1.30-4.97-3.21-4.93-4.45-2.14-2.71-13.73-23.52-15.58

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
2023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-03-312013-12-31
0.580.680.971.060.960.971.451.811.431.761.091.401.351.011.331.581.802.321.231.691.300.870.660.820.960.920.870.821.071.180.37------
----------0.050.020.03-----------0.240.010.750.250.040.06-0.24------
-0.24-0.60--5.135.54-0.020.050.030.180.060.07------0.010.030.29-0.140.260.550.243.940.850.290.43-2.36------
25.261.4524.7423.6317.89-28.8122.6933.8534.0335.8134.8635.9436.0111.9440.1442.9440.6338.0137.2942.2843.0134.8845.2143.1243.0147.8844.0336.9539.2342.3735.1735.7035.46-31.39-100.00
-16.19-59.18-22.44-25.90-38.55-85.74-83.39-66.91-51.85-35.37-43.92-41.64-21.07-41.11-32.54-26.92-48.86-33.79-46.95-9.33-12.02-17.37-67.06-14.55-31.44-6.56-11.11-36.46-29.19-207.47-50.10-55.97-86.71--89.02-100.00
-16.19-59.18-22.44-25.90-38.55-85.74-83.39-66.91-51.85-35.37-43.92-41.64-21.07-41.11-32.54-26.92-48.86-33.79-46.95-9.33-12.02-17.37-67.06-14.55-31.44-6.56-11.11-36.46-29.19-207.47-50.10-55.97-86.71--89.02-100.00
-------------------------------------
-19.02-62.69-25.11-42.90-45.92-89.77-81.95-68.03-52.61-36.29-45.34-42.93-22.49-42.49-33.85-28.00-49.80-35.54-48.83-10.79-13.84-19.25-69.63-22.88-34.20-17.39-16.76-42.42-34.40-223.15-61.58-57.85-102.71--89.33-100.00
-19.02-62.69-25.11-42.90-45.92-89.77-81.95-68.03-52.61-36.29-45.34-42.93-22.49-42.49-33.85-28.00-49.80-35.54-48.83-10.79-13.84-19.25-69.63-22.88-34.20-17.39-16.76-42.42-34.40-223.15-61.58-57.85-102.71--89.33--1,402.34
0.980.670.660.810.570.550.560.480.640.520.710.570.830.600.630.630.590.430.850.750.870.990.981.091.050.900.970.980.940.550.80------
2.012.121.371.511.251.851.151.611.851.871.521.532.972.832.143.325.772.412.833.443.573.882.274.343.532.442.053.463.522.765.72------
2.951.841.812.621.941.551.691.391.721.521.971.762.911.912.572.452.472.603.702.622.672.303.152.622.272.703.562.793.142.282.54------
30.4948.8749.7434.3246.4557.9953.4064.7952.4359.1945.7651.1730.9747.2035.0836.6736.5034.5724.3134.3433.6639.1628.5734.3739.6833.3025.2632.3128.6539.4735.40------
35.18141-348.01-259.01-1,202.51-2,784.16-135.40-70.53-103.11-42.37-239.62-76.46-60.78-246.12-64.48-40.98-58.93-25.01-113.73-16.90-33.94-252.80770-270.89-264.53-82.33-226.59-213.04-78.09-308.37156------
35.18141-347.00-258.83-1,198.24-2,753.22-135.32-70.50-103.02-42.37-239.62-76.46-60.78-245.60-64.40-40.95-58.90-25.00-113.55-16.88-33.89-249.89782-255.58-254.65-80.06-205.14-205.16-76.73-303.73160------
-18.69-41.75-16.55-34.61-26.24-49.08-45.69-32.61-33.48-19.01-32.38-24.57-18.57-25.53-21.42-17.59-29.40-15.36-41.46-8.14-12.00-18.99-68.29-24.84-35.80-15.62-16.26-41.57-32.18-122.83-49.47------
35.18141-347.00-258.83-1,198.24-2,753.22-135.32-70.50-103.02-42.37-228.12-75.02-58.83-245.60-64.40-40.95-58.90-25.00-113.55-16.88-33.89-249.89782-255.58-192.49-79.30-51.61-153.41-73.73-285.90199------
-0.78-0.530.120.330.080.051.112.121.201.890.371.171.250.531.532.453.114.301.452.531.550.27-0.230.320.570.710.230.581.301.57-3.11------
-0.04-1.14-1.02-1.03-0.32-4.82-3.68-3.00-1.03-3.08-1.96-1.79-0.37-4.75-3.12-2.62-1.01-3.82-2.22-1.44-0.98-1.91-0.88-0.51-0.96-2.46-1.98-1.61-1.01-12.36-10.69-6.59-3.220.00-16.610.000.00
-0.04-1.30-1.10-1.16-0.43-4.97-3.75-3.05-1.04-3.21-1.99-1.81-0.39-4.93-3.20-2.69-1.02-4.45-2.76-1.67-1.18-2.14-1.07-0.68-1.02-2.71-2.14-1.69-1.06-13.73-10.79-6.60-3.24--21.44--