Yellow Financial Ratios for Analysis 2009-2024 | YELLQ

Fifteen years of historical annual and quarterly financial ratios and margins for Yellow (YELLQ).

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
20222021202020192018201720162015201420132012201120102009
1.271.271.470.951.281.291.391.281.251.361.301.240.750.85
1.351.321.222.061.561.681.741.571.781.791.851.361.340.85
-4.03-4.28-5.49-1.95-2.86-2.56-2.40-2.80-2.61-2.28-2.19-3.78-5.856.78
65.2067.6269.9269.1468.1269.4371.2070.2166.4366.5166.6564.4767.6866.81
3.772.021.250.332.812.433.081.920.900.580.50-2.84-5.26-18.11
3.772.021.250.332.812.433.081.920.900.580.50-2.84-5.26-18.11
8.787.888.197.055.765.456.485.314.844.454.371.670.56-12.18
0.51-2.07-1.62-2.220.61-0.370.52-0.09-1.65-2.66-3.12-7.43-9.25-18.24
0.42-2.13-1.19-2.140.40-0.220.460.01-1.69-1.72-2.89-8.41-7.52-12.72
2.302.112.072.663.153.082.652.572.552.362.181.961.691.61
---------95.8559.0466.7985.1187.82
8.757.728.9410.4910.8310.0210.4711.3110.7710.5610.5410.219.8011.00
41.7447.3040.8434.8033.7136.4434.8632.2833.8834.5834.6235.7437.2633.18
-5.7130.0123.9623.57-6.613.06-5.17-0.1814.2713.9921.7098.86144-387.92
-5.7130.0123.9623.57-6.613.06-4.85-0.1712.6612.3518.7474.4586.83-9,313.15
0.96-4.50-2.45-5.681.25-0.681.210.04-3.41-4.05-6.13-14.26-11.85-20.83
2.01-9.75-5.36-24.953.68-2.073.810.10-11.20-11.04-18.52-35.92-48.68-57.27
-7.39-7.13-4.45-13.09-9.23-10.80-12.82-11.80-15.47-58.72-78.88-52.36-133.2913,187
2.320.202.940.656.641.863.144.531.001.30-3.54-12.465.30-47,414.87
-0.47-9.540.91-2.883.42-1.031.161.75-0.70-4.82-5.73-14.42509-35,316.00

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
2023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.431.261.271.271.291.231.271.411.381.361.471.451.070.980.950.970.971.021.281.281.301.271.291.391.521.451.391.501.461.311.281.321.331.241.251.301.271.261.360.851.151.161.301.211.281.281.241.391.260.530.750.730.750.690.850.600.600.72
-0.831.421.351.291.281.351.321.251.231.251.221.422.162.072.061.791.801.701.561.621.661.721.681.791.731.821.741.501.541.601.571.671.711.811.781.501.501.491.793.201.991.981.851.461.481.451.361.251.347.121.341.171.091.120.851.341.100.80
-3.30-3.38-4.03-4.64-4.80-4.01-4.28-5.06-5.32-4.96-5.49-3.41-1.87-1.94-1.95-2.27-2.30-2.49-2.86-2.70-2.60-2.46-2.56-2.33-2.41-2.26-2.40-3.04-2.90-2.70-2.80-2.53-2.44-2.27-2.61-3.07-3.30-3.32-2.28-2.04-2.13-2.13-2.19-3.20-3.12-3.23-3.78-5.11-3.95-3.88-5.85-8.72-15.00-11.066.78-7.28-21.966.85
66.4866.1164.1465.2865.3465.9668.5968.0067.4666.3368.0170.2171.5770.0869.3769.8069.6467.6767.8168.0168.4068.2567.8069.1770.7070.0369.6970.2272.2372.7171.0970.5469.7469.5267.8266.5565.7165.6865.9066.2066.8867.0866.5867.4867.0565.4363.9764.8864.3764.6668.1868.5067.4566.4271.7966.5466.8463.90
3.45-0.803.363.616.970.734.263.722.06-2.301.181.64-0.452.430.851.891.12-2.684.423.163.84-0.351.833.474.220.033.063.184.741.20-1.343.834.520.312.562.021.52-2.68-0.130.461.150.852.582.211.24-4.09-3.14-2.04-0.45-6.09-2.21-1.664.32-23.62-8.73-10.52-23.99-25.24
3.45-0.803.363.616.970.734.263.722.06-2.301.181.64-0.452.430.851.891.12-2.684.423.163.84-0.351.833.474.220.033.063.184.741.20-1.343.834.520.312.562.021.52-2.68-0.130.461.150.852.582.211.24-4.09-3.14-2.04-0.45-6.09-2.21-1.664.32-23.62-8.73-10.52-23.99-25.24
----------------------------------------------------------
-0.94-4.90-1.060.424.34-2.25-3.270.64-0.71-5.19-1.67-1.09-4.390.34-1.60-1.31-1.14-4.972.120.581.87-2.26-1.260.311.79-2.51-0.681.182.63-1.23-3.412.132.25-1.700.53-0.24-0.97-6.14-3.17-2.96-2.02-2.49-3.17-0.50-1.87-7.10-6.42-10.28-3.63-9.55-5.72-5.600.11-27.966.84-14.38-29.72-27.63
-1.30-4.71-1.290.354.21-2.18-3.420.64-0.72-5.28-1.61-0.17-3.650.37-1.32-1.27-1.85-4.151.400.221.09-1.20-0.620.241.51-2.16-0.651.142.24-1.07-2.061.592.07-1.820.510.09-0.37-7.290.03-3.54-1.22-2.11-3.020.24-1.81-7.16-6.95-14.13-3.39-9.101.79-5.43-0.85-27.7713.02-13.18-25.20-18.22
0.520.540.530.560.570.520.540.530.530.510.530.560.520.620.630.660.670.610.770.790.810.760.760.740.720.680.650.650.640.600.610.630.640.600.610.650.600.550.580.590.570.530.530.520.520.480.490.480.490.430.420.430.390.340.310.370.360.41
--------------------------------------24.22---14.25---16.86---21.10---14.37---
2.111.932.001.931.821.701.972.032.072.072.312.192.052.192.502.442.362.302.652.382.392.302.482.372.472.372.562.562.502.422.672.502.452.302.592.402.372.262.622.412.372.302.542.392.472.442.542.342.332.262.472.292.351.912.121.861.832.09
42.7446.5544.9746.7549.5552.9345.6444.3143.4343.5539.0341.1743.9841.0936.0536.8338.1039.1033.9337.7437.5839.2136.3638.0236.4637.9735.1735.2136.0337.2433.6635.9936.6839.1134.7737.5438.0239.8234.3537.2938.0039.1035.4337.7136.4436.8835.4038.5438.6939.9136.4939.3038.3647.1442.4948.5149.1843.02
3.2812.514.06-1.43-18.517.1112.30-2.713.2822.518.370.627.95-0.993.474.206.3814.05-5.73-0.88-4.183.992.12-0.74-4.635.781.80-4.06-7.533.066.19-4.63-5.844.50-1.31-0.331.3519.33-0.076.672.353.815.61-0.705.1018.9024.0246.6713.0835.70-11.5049.26-1.3525769.1775.85410-131.92
3.2812.514.06-1.43-18.517.1112.30-2.713.2822.518.370.627.95-0.993.474.206.3814.05-5.73-0.88-4.183.722.12-0.70-4.345.441.69-3.73-6.882.805.60-4.19-5.254.04-1.16-0.281.1316.03-0.065.912.073.324.85-0.564.1014.9718.0931.649.3724.29-6.9322.57-0.461051,66143.18121-999.78
-0.68-2.54-0.680.202.40-1.14-1.840.34-0.38-2.69-0.86-0.09-1.920.23-0.84-0.83-1.24-2.551.080.180.88-0.91-0.470.181.08-1.46-0.420.741.44-0.64-1.251.011.32-1.100.310.06-0.22-3.170.02-2.08-0.70-1.11-1.590.13-0.93-3.29-3.46-4.57-1.66-3.910.95-2.240.04-9.253.72-5.21-8.76-7.45
6.00-5.28-1.430.425.17-2.51-4.000.67-0.76-5.70-1.87-0.26-9.181.06-3.67-3.33-5.09-9.873.190.542.77-2.89-1.440.593.39-4.73-1.332.044.06-1.84-3.523.104.17-3.631.030.17-0.68-9.560.05-14.68-2.33-3.75-4.790.32-2.43-8.55-8.73-11.47-4.47-218.563.89-8.230.12-32.0110.21-25.67-39.41-25.92
-8.59-8.40-7.39-6.53-6.30-7.54-7.13-6.02-5.63-5.55-4.45-6.06-8.76-11.68-13.09-10.50-10.20-10.11-9.23-9.71-10.11-10.78-10.80-12.04-12.24-13.06-12.82-10.28-10.81-11.81-11.80-13.10-13.59-14.65-15.47-11.56-11.60-11.61-58.72-60.88-59.32-68.38-78.88-50.39-54.14-56.29-52.36-41.07-2,085.53-1,824.65-133.29-775.33-494.57-754.2513,187-28,395.71-9,284.7826,449
0.150.242.322.320.70-0.660.200.18-0.25-0.772.942.236.28-0.440.650.40-0.89-1.266.644.642.12-0.111.861.981.22-0.723.142.591.45-0.344.532.800.95-0.841.00-0.82-1.82-2.521.30-0.30-2.07-1.66-3.54-3.39-2.36-2.48-12.46-45.01-385.53-290.915.30-60.73-101.58266-47,414.87-40,184.41-31,003.16-11,994.79
-0.66-0.28-0.47-0.12-0.51-1.24-9.54-8.35-7.06-4.780.912.517.160.48-2.88-2.65-2.76-2.223.422.070.86-0.74-1.030.120.25-1.181.161.120.65-0.821.751.090.05-1.35-0.70-2.05-2.38-3.01-4.82-5.37-6.05-3.64-5.73-4.02-3.72-3.22-14.42-38.79-364.78-281.3850932073.38323-35,316.00-31,169.74-29,537.56-11,575.89