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Azenta Financial Ratios for Analysis 2009-2025 | AZTA
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
2024-09-30
2023-09-30
2022-09-30
2021-09-30
2020-09-30
2019-09-30
2018-09-30
2017-09-30
2016-09-30
2015-09-30
Current Ratio
4.0657
6.7272
10.6675
2.2527
3.0763
2.3769
3.4265
2.3967
2.4988
3.1493
Long-term Debt / Capital
-
-
-
0.0361
0.0393
0.0423
0.2128
-
-
-
Debt/Equity Ratio
-
-
-
0.0375
0.0415
0.0449
0.2731
-
-
-
Gross Margin
40.1277
39.5656
46.0099
47.4611
44.3067
40.279
38.964
37.7038
36.1025
34.2143
Operating Margin
-30.5761
-10.9952
-4.4528
-6.0519
-9.42
-14.1933
4.9732
2.7145
-3.9294
3.0559
EBIT Margin
-30.5761
-10.9952
-4.4528
-6.0519
-9.42
-14.1933
4.9732
2.7145
-3.9294
3.0559
EBITDA Margin
0.0014
0.6898
4.8736
6.7099
7.4971
2.437
11.0121
8.0986
2.6108
7.8238
Pre-Tax Profit Margin
-25.494
-4.5759
-1.7887
-9.5326
-10.3702
-25.1234
3.2405
2.7526
-4.1801
3.2232
Net Profit Margin
-25.0136
-2.1437
383.9544
21.5586
16.6916
130.8927
18.4583
11.8696
-16.0079
2.573
Asset Turnover
0.3125
0.2305
0.1495
0.2823
0.2492
0.2204
0.5766
0.6881
0.6328
0.7285
Inventory Turnover Ratio
3.4094
3.1352
3.506
4.4686
5.8287
2.0069
3.9746
4.4772
2.9958
3.6137
Receiveable Turnover
3.8001
4.2487
3.3922
4.2853
4.0989
2.018
5.0447
5.6438
4.0801
6.3935
Days Sales In Receivables
96.0495
85.9084
107.6002
85.1759
89.0487
180.8753
72.3527
64.6726
89.4579
57.089
ROE - Return On Equity
-9.2806
-0.5083
-0.3356
-2.1782
-2.1722
-5.3669
9.4335
1.7588
-15.4341
2.25
Return On Tangible Equity
-19.7908
-0.8849
-0.4225
-4.3124
-4.8096
-15.313
18.7064
3.3714
-31.6849
3.1242
ROA - Return On Assets
-7.8175
-0.4464
-0.3037
-1.5866
-1.6907
-4.0321
6.1828
1.394
-12.459
1.8744
ROI - Return On Investment
-9.2806
-0.5083
-0.3356
-2.0995
-2.0869
-5.1399
7.4259
1.7588
-15.4341
2.25
Book Value Per Share
38.8187
43.8252
44.8332
17.8263
16.4375
15.7536
10.1529
8.7014
8.0527
9.3455
Operating Cash Flow Per Share
0.8377
6.3305
-8.2352
1.5
-0.743
0.213
-0.3225
0.7879
-0.0606
-0.1572
Free Cash Flow Per Share
0.7297
6.7158
-8.5065
1.3314
-0.954
0.0609
-0.3201
0.7546
0.0283
-0.3111
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