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Integer Holdings Financial Ratios for Analysis 2009-2025 | ITGR
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
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Annual Data
2024-12-31
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
2.9542
2.7953
2.4952
2.8377
2.6438
2.3196
2.5293
2.545
2.7929
2.6871
Long-term Debt / Capital
0.3827
0.3898
0.3923
0.3772
0.3531
0.4028
0.4557
0.6386
0.7008
0.6645
Debt/Equity Ratio
0.6262
0.6387
0.6584
0.6168
0.5753
0.707
0.8727
1.8012
2.3856
2.0151
Gross Margin
26.7398
26.3483
25.9721
27.5961
26.616
28.2181
29.8487
31.1607
31.3973
29.3767
Operating Margin
12.1309
10.4987
8.4639
11.114
11.236
12.5297
12.8028
11.0599
8.64
1.6424
EBIT Margin
12.1309
10.4987
8.4639
11.114
11.236
12.5297
12.8028
11.0599
8.64
1.6424
EBITDA Margin
18.8353
17.37
15.5268
18.3472
19.0704
19.3389
24.1687
21.0686
17.7336
8.6328
Pre-Tax Profit Margin
8.5963
6.7741
5.1587
8.2765
8.0309
8.3613
5.0301
4.3359
2.6188
-1.9615
Net Profit Margin
6.9845
5.8271
4.986
7.9281
7.1972
7.6573
13.8241
5.8692
0.5543
-0.9488
Asset Turnover
0.5577
0.5287
0.4764
0.4729
0.4526
0.5347
0.5222
0.3989
0.3797
0.2684
Inventory Turnover Ratio
5.0888
5.0011
4.7207
5.6783
5.2754
5.3994
4.4842
4.425
3.277
2.2417
Receiveable Turnover
6.9988
6.7262
5.8821
6.5283
6.7813
6.5531
6.5499
5.8307
4.9332
3.6537
Days Sales In Receivables
52.1516
54.2654
62.053
55.9107
53.8243
55.699
55.7261
62.5998
73.9888
99.8999
ROE - Return On Equity
7.476
5.8684
4.2151
6.8665
6.0783
7.9149
4.435
9.748
3.4303
-0.8928
Return On Tangible Equity
-68.4689
-35.0181
-15.5338
-24.6204
-22.354
-19.7052
-8.0511
-10.76
-2.1045
0.662
ROA - Return On Assets
3.9329
3.0293
2.1381
3.6023
3.2573
3.8765
2.0215
3.0575
0.8783
-0.2546
ROI - Return On Investment
4.6148
3.5811
2.5615
4.2767
3.9321
4.7269
2.4138
3.5228
1.0263
-0.2995
Book Value Per Share
48.2685
45.5758
42.7331
40.9732
38.6245
35.2443
32.6577
28.0312
23.4516
27.7973
Operating Cash Flow Per Share
0.4179
1.8494
-1.2216
-0.7658
0.4712
-0.1273
0.4732
1.2521
2.9338
-2.6556
Free Cash Flow Per Share
1.0114
0.5227
-1.8485
-0.9482
0.5174
-0.2499
0.5987
1.673
2.7161
-3.3641