Avid Technology Financial Ratios for Analysis 2009-2024 | AVID

Fifteen years of historical annual and quarterly financial ratios and margins for Avid Technology (AVID).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
20222021202020192018201720162015201420132012201120102009
0.940.921.140.981.050.710.630.450.490.590.711.731.581.94
3.194.382.904.534.09-3.19-2.33-0.41------
-1.54-1.37-1.56-1.48-1.33-0.78-0.72-0.31------
65.7564.8463.3460.4957.8757.7864.9960.9561.4460.2660.8365.8751.6951.36
12.9011.298.767.803.311.2512.501.383.724.408.3721.52-5.33-11.11
12.9011.298.767.803.311.2512.501.383.724.408.3721.52-5.33-11.11
14.9013.3011.1211.118.436.5817.485.357.108.4412.6925.69-0.40-6.00
10.8610.723.450.61-2.28-3.208.860.113.194.288.0421.27-5.39-11.13
13.2310.103.071.85-2.58-3.249.420.492.783.7514.6129.52-5.45-10.87
1.451.501.181.351.551.792.052.042.772.402.161.271.081.03
6.817.244.975.585.284.603.534.114.263.723.602.343.023.96
5.435.324.595.586.1010.4411.768.609.709.929.357.356.717.89
67.2068.6079.6065.3959.8434.9631.0342.4537.6236.7839.0249.6454.4246.27
-46.51-33.36-8.32-4.906.405.05-17.86-0.75-4.32-5.89-12.2138.96-8.66-15.43
-36.48-26.41-6.68-4.055.244.30-14.81-0.63-4.29-5.82-11.93107-24.66-36.61
19.2215.113.632.50-4.02-5.7819.321.007.699.0016.0026.96-5.90-11.19
10211315.8417.30-19.7921.16-59.44-1.06-4.32-5.89-12.2138.96-8.66-15.43
-2.71-2.76-2.99-3.59-3.97-6.49-6.63-8.34-8.68-9.19-9.9010.8011.1811.82
1.071.350.880.450.380.22-1.22-0.84-0.25-0.230.890.08-0.33-0.36
0.731.200.750.290.140.03-1.50-1.22-0.59-0.530.64-0.24-0.98-0.77

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.071.060.880.940.860.910.880.920.960.960.991.141.081.161.060.980.910.901.011.051.031.020.900.710.650.620.660.630.630.650.730.450.490.520.460.490.470.500.550.590.620.650.680.711.501.481.671.661.661.641.641.581.561.521.771.942.112.112.08
2.532.433.293.195.124.295.214.384.464.664.322.903.413.213.744.537.488.204.274.094.154.296.43-3.19-2.42-2.24-2.38-2.33-2.23-1.86-1.72-0.41-0.41-0.38-------------------------
-1.77-1.79-1.52-1.54-1.30-1.37-1.30-1.37-1.36-1.40-1.37-1.56-1.44-1.47-1.56-1.48-1.33-1.30-1.31-1.33-1.33-1.31-1.22-0.78-0.73-0.71-0.72-0.72-0.71-0.67-0.63-0.31-0.32-0.28---0.02-0.01----------0.030.03---------
63.6361.1263.5864.1967.7664.8766.3365.8064.8463.3965.0862.6664.4265.0461.4863.0061.9157.4159.3159.0358.2557.1256.8854.4957.3458.3761.0560.2563.3465.4969.7159.0363.8960.4060.2960.5762.9459.5562.4359.2459.5361.2361.0959.5863.0558.9361.9690.0353.6550.9152.5953.8251.9250.7149.8152.2653.1951.5548.29
-2.04-0.493.5714.2413.6710.2013.1914.429.399.4811.1810.3914.5110.17-0.5213.528.992.605.2410.726.75-2.11-3.414.463.52-6.182.969.507.1514.0217.94-0.2510.48-7.470.93-2.1010.57-1.897.181.182.787.146.6714.2910.810.058.7267.01-2.66-6.86-2.13-1.68-4.28-7.90-8.35-8.64-12.63-10.13-13.40
-2.04-0.493.5714.2413.6710.2013.1914.429.399.4811.1810.3914.5110.17-0.5213.528.992.605.2410.726.75-2.11-3.414.463.52-6.182.969.507.1514.0217.94-0.2510.48-7.470.93-2.1010.57-1.897.181.182.787.146.6714.2910.810.058.7267.01-2.66-6.86-2.13-1.68-4.28-7.90-8.35-8.64-12.63-10.13-13.40
-----------------------------------------------------------
-7.58-4.35-0.0712.2011.038.2911.6413.4015.517.765.166.639.613.23-6.638.723.08-10.860.225.641.25-8.48-8.88-0.39-0.94-10.01-1.695.493.1910.1815.03-1.508.65-8.780.33-3.3610.25-2.186.921.312.526.976.4813.5810.60-0.188.5966.82-2.96-7.25-2.31-1.81-4.30-7.96-8.35-8.69-12.79-10.10-13.30
-8.06-4.23-0.3921.7611.677.5510.5212.7814.547.384.656.798.832.33-6.7713.223.39-10.86-0.215.240.84-8.63-9.14-0.820.07-10.58-1.844.537.669.6514.59-3.168.09-3.72-0.14-3.9510.00-2.686.590.771.866.496.0712.8835.022.0610.0990.97-4.58-6.89-2.89-0.29-6.06-7.96-8.64-10.26-11.31-10.59-11.39
0.330.370.360.400.430.400.410.430.410.370.360.340.350.300.280.380.350.350.340.420.420.390.390.460.470.460.420.460.450.490.460.560.520.400.660.670.720.650.650.630.570.560.500.550.270.290.270.460.270.260.260.310.280.270.260.290.250.240.23
1.161.511.351.981.511.781.902.041.611.431.191.471.130.931.021.481.111.231.221.401.351.331.281.271.091.030.830.900.780.860.841.181.020.991.201.050.980.920.871.000.910.870.790.940.690.880.580.250.610.610.630.830.821.011.091.080.780.780.82
1.621.851.561.511.861.811.751.551.751.621.601.331.521.501.441.581.741.681.691.662.042.071.862.672.582.972.392.652.912.993.282.362.412.002.312.352.542.532.312.592.502.542.402.362.011.861.822.631.771.641.731.931.841.621.852.191.761.771.89
55.7348.6657.8459.5748.2949.6451.3458.2451.4755.7356.1167.8459.4060.0662.4357.0951.7353.4753.4154.1144.1143.5448.2733.6834.9430.2737.7133.9730.8930.0527.4238.1337.3245.0438.9638.3735.3935.5738.9534.7336.0035.4337.4538.1144.8648.5049.4834.1850.7754.7352.0646.6148.9055.6148.6241.0951.2050.9347.63
5.953.860.32-21.27-8.50-5.41-8.14-12.26-11.69-5.40-3.26-5.33-5.54-1.183.63-9.91-1.836.100.13-3.54-0.504.815.210.33-0.033.940.71-1.93-3.34-4.48-6.901.33-3.391.210.051.49-4.170.96-2.55-0.31-0.71-2.50-2.19-5.364.230.182.7345.32-1.82-2.61-1.11-0.13-2.39-3.09-3.15-4.04-3.77-3.42-3.64
4.713.030.25-16.68-6.91-4.36-6.51-9.71-9.29-4.31-2.63-4.28-4.52-0.983.02-8.19-1.545.140.11-2.90-0.413.894.150.28-0.023.330.59-1.60-2.76-3.70-5.711.11-2.800.990.051.48-4.140.95-2.52-0.31-0.70-2.45-2.14-5.2314.610.577.89128-5.14-7.19-3.06-0.38-7.03-9.16-8.39-9.60-8.73-7.62-8.06
-2.68-1.56-0.148.795.062.984.325.555.942.731.672.323.060.70-1.905.051.19-3.80-0.072.220.36-3.35-3.57-0.380.03-4.82-0.762.093.474.736.72-1.774.21-1.48-0.09-2.657.22-1.744.280.481.053.633.067.022.670.111.8630.87-1.24-1.76-0.76-0.09-1.67-2.13-2.27-2.93-2.78-2.50-2.65
-9.11-5.52-0.7346.6335.0717.8034.2941.4240.4119.7710.8310.1513.342.60-9.9334.9811.87-43.94-0.4210.951.59-15.81-28.301.38-0.0912.762.40-6.44-10.80-12.79-18.781.88-4.771.670.051.49-4.170.96-2.55-0.31-0.71-2.50-2.19-5.364.230.182.7345.32-1.82-2.61-1.11-0.13-2.39-3.09-3.15-4.04-3.77-3.42-3.64
-2.80-2.70-2.71-2.71-3.22-3.06-2.89-2.76-2.79-2.85-2.99-2.99-3.27-3.56-3.71-3.59-4.02-4.12-3.95-3.97-4.16-4.23-4.14-6.49-6.57-6.68-6.58-6.63-6.71-7.26-7.66-8.34-8.29-8.62-8.71-8.68-8.70-8.92-8.91-9.19-9.22-9.39-9.65-9.908.979.3310.4010.6310.7511.0911.2111.1810.9910.9711.2511.8212.1812.4912.71
-0.63-0.37-0.061.070.570.340.171.350.760.410.270.880.20-0.21-0.130.450.030.090.150.38-0.10-0.010.130.220.150.150.09-1.22-1.21-1.13-0.28-0.84-0.91-0.660.12-0.25-0.53-0.67-0.61-0.23-0.26-0.14-0.040.890.840.840.480.08-0.36-0.37-0.16-0.33-0.54-0.23-0.17-0.36-0.86-0.62-0.29
-0.94-0.59-0.150.730.320.170.101.200.660.360.240.750.07-0.28-0.160.29-0.100.000.110.14-0.28-0.130.080.030.000.070.04-1.50-1.45-1.32-0.40-1.22-1.19-0.830.04-0.59-0.83-0.83-0.70-0.53-0.48-0.27-0.090.640.660.720.39-0.24-0.59-0.52-0.25-0.98-1.20-0.83-0.44-0.77-1.12-0.79-0.39