XWELL Financial Ratios for Analysis 2009-2024 | XWEL

Fifteen years of historical annual and quarterly financial ratios and margins for XWELL (XWEL).

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
2.854.325.506.810.240.351.292.593.093.936.3531.182.142.500.96
---0.031.79-0.120.09----0.201.14-0.24
--0.040.07-2.270.650.140.100.08---0.69-13.28-0.34
12.2321.5443.87-42.9121.9721.2520.1543.7896.47100.00100.00100.00-14.69-55.00
-93.68-55.715.57-478.28-32.72-69.32-30.14-147.74-45.59-7,803.23-3,707.00-22,371.00--3,078.20-26,530.00
-93.68-55.715.57-478.28-32.72-69.32-30.14-147.74-45.59-7,803.23-3,707.00-22,371.00--3,078.20-26,530.00
-59.34-42.5112.24-390.59-15.26-13.40-13.81-21.55-20.58-2,811.30-3,232.45-19,870.00--3,036.97-25,965.00
-92.98-58.234.00-1,099.88-42.62-71.68-32.77-160.85-53.44-7,664.70-3,795.27-18,409.00--4,695.26-30,380.00
-92.14-58.704.54-1,079.17-43.75-74.27-59.07-200.28-49.18-7,696.63-4,766.64-20,841.00--4,711.85-30,745.00
0.770.790.580.081.691.640.750.140.450.040.010.00-0.040.01
29.3637.8023.4718.2458.5150.4533.642.692.11------
18.0619.57120-----92.22----2.6410.00
20.2118.653.04-----3.96----13836.50
-133.66-68.052.89-114.76806-271.56-35.15-30.05-27.79-350.30-36.53-12.41-96.134,16037.49
-153.61-81.743.01-116.01220-897.96-109.89-63.95-58.71-805.77-161.96-38.10-172.454,16037.54
-71.88-46.332.27-89.43-71.47-116.50-24.70-23.28-22.31-291.76-33.72-11.67-33.12-168.82-162.29
-133.66-68.052.89-111.49-636.39-271.27-30.78-27.28-27.79-350.30-36.53-12.41-46.96-594.6246.47
5.0211.5219.7417.09-9.844472,0734,2073,6784,00616,23021,7390.28-0.04-44.67
-3.85-5.172.77-11.22-1.38-270.98-655.65-667.91-301.97-3,764.15-3,381.42-4,167.37-0.18-2.02-13.23
-4.31-6.551.96-13.01-29.23-396.06-896.91-673.13-301.97-3,796.78-3,384.74-4,227.28-0.18-2.05-13.32

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-30
1.982.222.662.853.673.904.414.325.025.934.745.506.585.297.796.814.471.990.340.240.510.450.290.350.430.630.741.291.681.361.632.593.303.756.283.091.231.403.093.933.697.269.756.359.8114.2912.8931.182.312.323.242.140.620.971.792.503.714.24----
--------------0.020.030.050.114.271.790.530.44--0.300.280.230.120.100.110.100.09--0.01--0.02-------------0.20--2.411.140.970.50----
----------0.020.040.050.060.060.070.100.21-1.31-2.271.150.790.740.650.540.490.300.140.120.120.110.10-0.030.010.080.240.42-------------0.69-0.72-0.60-3.15-13.2845.491.42----
24.3833.1730.6111.8614.6114.567.395.4213.019.1237.4345.9748.9615.3051.14-652.94-599.00-583.927.1315.0522.6823.6725.6119.1122.7320.5522.4024.2518.5118.6319.405.7412.3543.419.6496.45--100.00100.00100.00100.00100.00--100.00--3,499.40-1,183.84----80.1882.9942.17-18.5222.73-13.33--88.89-
-56.63-20.39-27.26-68.96-161.88-57.79-89.03-175.85-71.29-57.12-10.197.4026.36-46.21-10.82-5,402.16-4,588.56-6,632.17-51.15-82.32-14.65-23.17-17.31-49.56-22.33-23.53-182.98-18.70-27.41-33.94-41.2222.64-108.45-85.62-176.4265.11---4,502.00-33,698.68-10,130.67-1,294.13-3,930.00---795.91-4,913-3,951.13-----728.19-1,144.90-2,201.21-3,098.15-3,929.55-4,220.00--12,011.11-
-56.63-20.39-27.26-68.96-161.88-57.79-89.03-175.85-71.29-57.12-10.197.4026.36-46.21-10.82-5,402.16-4,588.56-6,632.17-51.15-82.32-14.65-23.17-17.31-49.56-22.33-23.53-182.98-18.70-27.41-33.94-41.2222.64-108.45-85.62-176.4265.11---4,502.00-33,698.68-10,130.67-1,294.13-3,930.00---795.91-4,913-3,951.13-----728.19-1,144.90-2,201.21-3,098.15-3,929.55-4,220.00--12,011.11-
--------------------------------------------------------------
-55.87-19.30-27.02-66.12-155.21-69.47-82.53-188.03-71.50-58.28-11.496.1824.96-52.12-9.48-5,080.18-3,303.48-40,875.52-138.95-64.58-38.12-46.96-23.16-56.92-24.23-22.12-185.15-24.72-29.47-35.69-41.9014.84-156.27-86.42-193.4967.59---4,650.67-33,732.00-8,250.67-1,256.13-4,360.00---929.91-6,926-1,203.01-----651.10-742.18-624.10-5,218.52-10,440.91-6,590.00--13,611.11-
-56.40-21.50-28.79-67.15-154.41-70.09-78.00-178.05-66.87-58.23-17.8111.1620.91-49.13-12.41-4,563.15-3,039.80-41,059.44-141.54-65.17-38.66-49.10-24.31-56.89-24.66-27.02-189.94-89.53-36.55-54.23-57.9788.33-169.66-95.22-193.4971.88---4,650.67-33,841.34-8,250.67-1,256.13-4,443.60---994.55-8,437-1,174.44-----662.56-754.42-603.62-5,244.44-10,481.82-6,656.67--13,788.89-
0.250.260.230.190.170.140.110.110.130.130.210.230.210.080.070.000.000.000.260.380.370.390.320.380.400.360.340.180.170.180.14-0.050.090.300.050.45--0.000.010.000.010.00--0.01-0.000.00----0.110.040.010.010.00----
9.527.127.267.256.598.276.576.169.9411.605.979.006.705.793.573.702.201.6412.0314.2411.3511.0510.3311.9312.459.539.317.822.592.433.06-1.706.6624.70----------------------------
9.213.903.014.446.264.233.512.648.2016.3412.5047.7441816.652.82-------------4.825.836.42-1.6921.421.9391.61---------8.03--1.72----0.931.081.040.590.86----
9.7723.0829.9120.2714.3821.2925.6834.0310.975.517.201.890.225.4031.92-------------18.6815.4314.01-53.204.2046.670.98---------11.21--52.44----96.3483.2786.75152104----
-31.73-10.40-12.57-23.51-42.50-15.35-13.69-29.75-12.48-9.91-3.151.846.35-5.05-0.83-20.40-11.38-197.13286273-102.45-74.21-25.83-49.42-19.46-15.75-105.61-6.07-6.89-8.66-8.07-1.04-18.13-33.01-9.8839.73-71.08-41.72-26.57-243.42-11.80-8.80-9.92-9.46-7.57-7.54-7.77-7.80-3.47134-183.2525.5825.7685.80121210-3,726.31-176.23----
-38.16-12.22-14.67-27.02-46.19-19.40-16.68-35.74-14.46-11.17-3.531.916.52-5.11-0.83-20.62-12.55-243.4610874.68164-3,016.36-117.23-163.43-51.37-37.29-211.16-18.98-23.88-35.60-28.05-2.22-26.13-45.79-20.3483.94-784.60-193.92-73.98-559.92-59.87-36.43-48.70-41.94-29.17-26.85-26.52-23.9522.38134-183.2545.9025.7685.80121210-3,726.33-176.23----
-13.93-4.94-6.29-12.64-26.02-10.04-9.31-20.26-9.04-7.82-2.431.445.10-3.94-0.67-15.90-8.15-100.53-36.74-24.23-13.74-18.31-7.43-21.20-9.38-7.80-61.97-4.27-5.21-6.37-6.19-0.81-13.72-25.99-8.8131.90-35.30-21.48-21.46-202.74-10.91-8.24-9.30-8.73-7.11-7.07-7.16-7.33-2.72-49.29-46.008.82-38.47-73.08-27.59-8.51-35.48-45.64----
-31.73-10.40-12.57-23.51-42.50-15.35-13.69-29.75-12.48-9.91-3.151.846.35-5.05-0.81-19.82-10.81-174.91-939.05-215.72-47.60-41.38-25.80-49.37-13.53-11.33-81.52-5.32-6.17-7.72-7.29-0.95-18.13-33.01-9.7539.73-71.08-40.82-26.57-243.42-11.80-8.80-9.92-9.46-7.57-7.54-7.77-7.80-3.47134-183.2512.5025.7685.80-171.67-29.96-121.91-88.93----
2.824.124.495.026.538.8710.2211.5214.7816.7718.4719.7419.7317.7518.6017.0916.9010.50-4.02-9.8493.302133414475927979922,0732,5253,2663,7724,2072,0302,3753,2033,6781,8122,5513,3674,00613,51414,80515,25916,23018,55919,63020,31921,73916,686-0.090.070.28-0.55-0.29-0.16-0.040.010.51----
-1.56-0.99-0.88-3.85-3.08-2.07-1.41-5.17-3.68-1.81-0.352.771.13-0.34-0.69-11.22-5.54-6.03-11.21-1.38-5.447.435.96-270.98-195.84-160.97-109.42-655.65-544.74-482.26-311.69-667.91-230.2755.87-460.16-301.97-1,587.32-977.56-449.98-3,764.15-2,618.64-1,756.47-1,192.71-3,381.42-2,423.04-1,590.61-709.68-4,167.37-1,228.83-0.18-0.28-0.18-0.05-0.50-0.27-2.02-0.85-3.14-4.700.00-9.91-85.43
-1.78-1.14-0.95-4.31-3.48-2.36-1.74-6.55-4.90-2.66-0.681.960.63-0.75-0.89-13.01-6.55-6.72-13.07-29.23-16.85-16.99-12.67-396.06-309.34-252.99-164.64-896.91-642.66-563.11-363.10-673.13-249.1143.78-460.16-301.97-1,587.32-977.56-449.98-3,796.78-2,650.51-1,776.13-1,202.82-3,384.74-2,426.81-1,595.10-713.76-4,227.28-1,259.95-0.18-0.28-0.18-0.05-0.50-0.27-2.05-0.86-3.18-4.76--9.99-86.15