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Glimpse Financial Ratios for Analysis 2020-2025 | VRAR
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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
2024-06-30
2023-06-30
2022-06-30
2021-06-30
2020-06-30
Current Ratio
1.4501
0.9591
4.3051
1.3591
3.4286
Long-term Debt / Capital
-
-
-
2.3285
1.2143
Debt/Equity Ratio
-
-
-
-1.7527
-5.6673
Gross Margin
66.5903
68.3586
82.9222
57.2932
41.542
Operating Margin
-75.1466
-213.6546
-87.2723
-173.9201
-252.9399
EBIT Margin
-75.1466
-213.6546
-87.2723
-173.9201
-252.9399
EBITDA Margin
-59.681
-197.389
-79.8394
-167.8498
-240.529
Pre-Tax Profit Margin
-72.6278
-211.8567
-82.0942
-178.0417
-256.686
Net Profit Margin
-72.6278
-211.8567
-82.0942
-178.0417
-256.6859
Asset Turnover
0.5659
0.5553
0.1893
1.0622
0.974
Inventory Turnover Ratio
-
-
-
-
-
Receiveable Turnover
12.1768
9.2741
5.4524
5.4635
9.0618
Days Sales In Receivables
29.9751
39.3571
66.9431
66.8068
40.2792
ROE - Return On Equity
-55.4171
-254.4877
-20.7042
519.8671
1633.47
Return On Tangible Equity
-3312.814
664.7327
-52.8522
519.867
1633.474
ROA - Return On Assets
-41.0981
-117.6489
-15.5384
-189.1217
-250.0132
ROI - Return On Investment
-55.4171
-254.4878
-20.7042
-690.665
-349.9854
Book Value Per Share
0.6354
0.7634
2.2606
-0.1546
-0.0434
Operating Cash Flow Per Share
0.3455
-0.2366
-0.2546
0.1258
-0.2924
Free Cash Flow Per Share
0.3541
-0.2299
-0.2679
0.1266
-0.2971
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