Exela Technologies Financial Ratios for Analysis 2014-2024 | XELA

Fifteen years of historical annual and quarterly financial ratios and margins for Exela Technologies (XELA).

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
0.460.370.470.710.680.740.930.8314.190.08
5.836.612.882.582.101.221.011.51--
-1.25-1.38-1.90-1.69-1.98-5.72-133.74-3.13--12.00
21.6818.5423.7920.8121.6123.5027.7834.2830.47-
0.76-21.241.83-1.27-20.56-0.67-9.116.365.01-
0.76-21.241.83-1.27-20.56-0.67-9.116.365.01-
6.952.749.857.179.0311.756.6518.1715.98-
-10.86-38.19-11.21-12.76-32.10-10.18-23.61-7.58-8.91-
-12.58-39.25-12.34-13.91-32.80-10.94-19.93-6.09-5.58-
1.671.491.131.121.240.970.670.812.29-
72.4652.0858.4471.5164.3074.8169.4146.37--
13.7910.526.316.235.965.864.995.71--
26.4834.6957.8258.6261.2462.3273.1763.96--
14.4951.4621.3619.2768.5270.382,09314.15-898.08172
10.4234.7711.2211.3135.2312.6317.144.75-898.08167
-19.55-57.57-13.73-15.42-40.46-10.43-12.22-4.96-12.79-23.81
-70.03-288.81-40.13-30.53-75.36-15.55-16.21-7.27-898.08250
-134.93-579.75-10,056.89-3,763.18-58,035.34-19,284.27-797.75-63,712.920.48-
0.59-282.99-3,780.81-2,424.18-262.911,9165,92313,5241,3940.00
4.23-341.78-4,028.51707-320.555764,79812,155-566.65-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-31
0.350.380.410.460.470.430.420.370.360.450.630.470.850.700.690.710.790.820.960.680.790.760.800.740.930.910.920.930.953.822.460.835.697.4312.8314.2010.555.9641.67-
10.358.926.335.835.066.395.526.613.412.772.292.882.212.672.652.582.222.131.962.101.371.211.181.221.081.051.031.010.97--1.51--------
-1.17-1.19-1.23-1.25-1.31-1.32-1.40-1.38-1.72-1.77-2.01-1.90-1.99-1.65-1.66-1.69-1.88-1.95-2.11-1.98-3.87-5.91-6.91-5.72-14.67-21.57-38.13-133.7432.06---3.13--------
20.1623.4821.9621.9321.6022.3120.8918.0217.5018.5520.0119.9224.1728.6422.4918.8223.2821.4319.9520.0020.9122.2623.1922.5022.7423.5025.2824.1024.6132.9434.16-34.66-------
1.19-0.960.030.630.824.11-2.52-57.34-17.99-7.83-2.63-3.630.878.661.43-4.431.56-1.65-0.60-63.39-25.141.474.07-10.931.672.913.73-14.75-21.784.836.996.346.74--5.01----
1.19-0.960.030.630.824.11-2.52-57.34-17.99-7.83-2.63-3.630.878.661.43-4.431.56-1.65-0.60-63.39-25.141.474.07-10.931.672.913.73-14.75-21.784.836.996.346.74--5.01----
----------------------------------------
-7.50-10.12-8.67-8.75-8.42-10.39-15.63-73.30-31.57-29.20-19.49-21.20-4.22-5.92-13.07-25.06-9.17-15.61-2.79-76.76-36.16-9.42-6.79-22.08-7.75-5.74-5.08-24.22-43.57-8.33-6.27-7.35-8.35---8.91----
-9.80-11.39-10.49-10.58-9.99-12.10-17.38-73.50-33.07-30.51-20.72-24.28-5.03-6.88-12.77-28.58-9.60-16.10-3.07-77.41-35.38-10.87-8.18-23.17-7.79-6.36-6.34-17.14-37.84-9.32-7.18-6.02-6.33---5.58----
0.470.420.440.420.390.400.380.370.310.280.260.280.240.270.270.270.260.240.280.310.240.230.240.250.230.240.240.220.191.041.080.620.53--2.29----
16.0914.1816.1917.9518.0419.1812.8012.9912.6413.3913.9615.4913.1913.8215.6717.8113.4414.0016.8616.5317.3818.1619.0319.1018.3620.8121.7324.1818.71--35.49--------
5.523.973.393.432.612.532.732.612.812.671.471.591.481.451.381.511.421.401.501.501.431.461.451.481.511.561.651.651.49--4.36--------
16.3022.7026.5226.2734.5335.5632.9134.5132.0833.7661.3056.5260.7762.2465.0259.4863.6064.4460.0059.9462.7661.4561.8960.9959.6857.5254.6454.4260.56--20.64--------
2.662.962.902.912.743.785.7724.0413.1712.599.3810.591.802.054.179.593.426.091.6840.9235.1717.3915.7538.0031.0540.5468.30638-264.75-390.16-313.5610.68-236.151.34-1.00-898.80----
2.002.192.122.091.952.643.9016.247.186.554.755.560.981.232.485.631.903.300.8821.049.673.112.466.822.332.051.965.228.84-390.24-313.623.59-235.961.34-1.00-898.08----
-4.40-4.58-4.32-3.93-3.58-4.57-6.37-26.89-9.86-8.19-5.32-6.81-1.12-1.78-3.55-7.67-2.42-3.84-0.95-24.17-8.52-2.48-1.89-5.63-1.74-1.46-1.44-3.72-6.21-9.69-7.79-3.75-3.360.02-0.01-12.79----
-24.90-23.45-15.45-14.07-11.13-20.36-26.05-134.92-31.68-22.32-12.13-19.90-2.19-3.42-6.88-15.19-4.18-6.87-1.62-45.01-12.89-3.72-2.78-8.40-2.34-2.02-1.89-4.94-8.21-390.24-313.62-5.49-235.961.34-1.00-898.08----
-147.08-142.77-138.51-134.93-132.42-128.36-123.70-579.75-1,617.87-3,125.11-5,013.22-10,056.89-17,637.74-53,587.81-63,544.80-3,763.18-67,320.73-65,074.52-61,298.07-58,035.34-29,729.33-19,126.70-16,327.19-19,284.27-7,375.58-4,911.93-2,764.39-797.753,325---63,712.92---0.48----
-1.92-2.66-4.570.59-5.97-8.60-11.48-282.99-275.16207-512.54-3,780.81-1,954.01-2,992.06-5,048.77-2,424.18-5,382.14-1,880.50-2,883.77-262.91-3,902.45-1,224.16-3,515.971,916-180.423,803-1,584.205,923-2,299.725,7258000.008,120-0.040.000.000.000.000.000.00
-2.38-2.84-4.534.23-2.16-4.44-11.87-341.78-319.51124-600.43-4,028.51-2,025.65-2,943.01-5,175.85707-1,865.12760-60.49-320.55-4,762.51-1,970.97-3,974.76576-1,207.693,076-2,053.954,798-3,661.905,894417-7,305-0.04------