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ACM Research Financial Ratios for Analysis 2015-2023 | ACMR
Prices
Financials
Revenue & Profit
Assets & Liabilities
Margins
Price Ratios
Other Ratios
Other Metrics
Income Statement
Balance Sheet
Cash Flow Statement
Key Financial Ratios
Format: Annual
Format: Quarterly
Format: Annual
View Annual Reports
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Annual Data
2023-12-31
2022-12-31
2021-12-31
2020-12-31
2019-12-31
2018-12-31
2017-12-31
2016-12-31
2015-12-31
Current Ratio
2.3491
2.4325
4.6273
2.5329
3.7082
2.0812
2.8837
2.3638
1.3589
Long-term Debt / Capital
0.055
0.0225
0.0275
0.0795
-
-
-
-
-
Debt/Equity Ratio
0.0994
0.0948
0.0431
0.2196
0.1413
0.1805
0.1278
1.9203
-2.1637
Gross Margin
49.5255
47.2222
44.2177
44.437
47.1095
46.1517
47.184
48.6975
45.2509
Operating Margin
17.184
15.1827
14.8997
13.722
16.5461
8.6693
1.9175
12.7507
15.5835
EBIT Margin
17.184
15.1827
14.8997
13.722
16.5461
8.6693
1.9175
12.7507
15.5835
EBITDA Margin
18.6349
16.5627
15.8055
14.3956
17.2789
9.2279
2.6598
13.4339
16.0963
Pre-Tax Profit Margin
20.8376
17.3242
16.5755
12.3193
17.6147
9.8871
-0.8903
10.8947
17.2723
Net Profit Margin
13.8687
10.0977
14.5358
11.9905
17.5719
8.8073
-0.8711
2.3565
17.2403
Asset Turnover
0.3741
0.3147
0.2469
0.459
0.4939
0.7244
0.5377
0.6155
0.9706
Inventory Turnover Ratio
0.5162
0.522
0.6643
0.9818
1.2695
1.0369
1.253
1.2037
1.868
Receiveable Turnover
1.7125
1.8012
2.0467
2.3688
3.1912
2.6511
1.2479
1.5386
2.3474
Days Sales In Receivables
213.1422
202.6438
178.3399
154.0875
114.3773
137.6763
292.4819
237.2213
155.4929
ROE - Return On Equity
10.4574
6.2258
5.288
10.4132
19.9936
12.564
-2.1878
96.0563
-176.7135
Return On Tangible Equity
10.4861
6.2354
5.2911
10.4409
20.0646
12.6302
-2.1937
96.718
-176.6741
ROA - Return On Assets
6.4962
4.0926
4.0792
6.3521
8.9379
6.3796
-1.2844
5.368
24.6182
ROI - Return On Investment
9.8817
6.0858
5.1426
9.5853
19.9936
12.564
-2.1878
96.0564
-176.7135
Book Value Per Share
15.1686
13.6095
13.8281
3.7107
1.7977
1.0895
0.8657
0.1786
-0.7294
Operating Cash Flow Per Share
-0.2093
-0.3384
-0.4002
-0.377
0.0352
0.5219
-0.0679
-0.6119
0.2865
Free Cash Flow Per Share
0.2309
-1.5924
0.3277
-1.2281
0.0524
0.5195
-0.0303
-0.5358
0.1411
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