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Yue Yuen Industrial Financial Ratios for Analysis 2012-2023 | YUEIY
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
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
2014-12-31
Current Ratio
1.9065
2.0684
1.8308
1.8119
1.827
1.9125
1.9976
2.3312
1.8759
2.3096
Long-term Debt / Capital
0.0972
0.198
0.2283
0.2708
0.2644
0.2261
0.2157
0.1238
0.0707
0.1309
Debt/Equity Ratio
0.2632
0.3805
0.4722
0.5397
0.5499
0.4672
0.424
0.1885
0.1682
0.1985
Gross Margin
24.4014
23.8256
24.0028
21.6818
24.8685
25.2294
25.7761
25.1465
23.3823
22.1327
Operating Margin
6.141
6.0158
2.8929
2.4296
6.0192
6.4744
7.9947
8.4515
6.0735
6.1299
EBIT Margin
6.141
6.0158
2.8929
2.4296
6.0192
6.4744
7.9947
8.4515
6.0735
6.1299
EBITDA Margin
11.3079
11.5282
9.7236
8.9045
10.9186
9.9148
11.2598
11.4739
9.0297
9.0849
Pre-Tax Profit Margin
4.9454
4.6069
2.0558
-0.6086
4.4376
4.5338
6.9649
7.69
5.7405
4.7428
Net Profit Margin
3.4817
3.3037
1.3485
-1.0751
2.9741
3.1677
5.6924
6.3034
4.6258
4.1308
Asset Turnover
1.0723
1.1304
0.9879
0.9909
1.1497
1.1659
1.102
1.1141
1.1611
1.1175
Inventory Turnover Ratio
4.7834
4.2046
3.1511
4.173
4.1651
4.0844
4.2211
5.0375
5.153
4.7256
Receiveable Turnover
5.6062
6.2468
5.6744
5.2418
6.251
5.5304
5.3398
5.3199
5.9356
5.6691
Days Sales In Receivables
65.1063
58.4304
64.3237
69.6326
58.391
65.9992
68.3552
68.6098
61.493
64.3837
ROE - Return On Equity
6.5648
6.3158
3.0828
-1.6543
7.7872
7.5036
11.7629
11.3088
8.5872
7.1683
Return On Tangible Equity
6.9646
6.705
3.2811
-1.7731
8.3435
8.1833
12.8706
12.1568
9.3043
7.7995
ROA - Return On Assets
4.2022
3.6948
1.6433
-0.849
4.0162
4.1019
6.6368
7.5681
5.7523
4.7795
ROI - Return On Investment
5.9265
5.065
2.379
-1.2063
5.7286
5.8072
9.2262
9.9083
7.9804
6.2301
Book Value Per Share
14.6076
14.3976
14.2802
13.5659
14.0589
14.0601
14.1645
15.4464
14.7555
14.4986
Operating Cash Flow Per Share
0.1123
1.3812
-1.1542
0.131
0.9891
-0.3302
0.2895
-0.8586
0.7306
-0.1519
Free Cash Flow Per Share
0.4769
1.6158
-1.339
0.6499
1.1975
-0.0893
-0.1346
-0.8166
0.3528
-0.5663
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