Aviat Networks Financial Ratios for Analysis 2009-2024 | AVNW

Fifteen years of historical annual and quarterly financial ratios and margins for Aviat Networks (AVNW).

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
202320222021202020192018201720162015201420132012201120102009
1.831.981.771.491.531.431.451.401.561.792.092.071.832.322.24
-----------0.050.03-0.00
---0.130.130.160.170.170.110.050.060.080.030.020.03
35.8336.0637.3335.4932.5133.2031.2022.9724.0224.6229.3729.6628.3328.5325.68
7.629.498.081.420.560.54-0.41-10.21-7.72-14.64--3.00-8.45-23.95-48.55
7.629.498.081.420.560.54-0.41-10.21-7.72-14.64--3.00-8.45-23.95-48.55
9.4010.9610.043.252.392.692.01-7.74-5.45-12.461.40-0.11-5.80-16.69-2.09
6.6710.058.161.550.640.52-0.25-10.62-7.73-14.610.15-3.15-9.89-24.10-48.83
3.336.9840.060.113.990.76-0.34-11.13-7.33-14.77-3.54-5.43-20.02-27.97-52.37
0.950.940.921.331.441.551.591.621.491.371.541.351.181.041.13
6.737.136.9310.1117.317.117.036.826.525.276.504.154.514.345.11
2.162.553.213.283.064.244.174.234.024.485.464.903.404.444.74
16914311411111986.1587.6186.1990.7781.4366.8474.5610782.1776.94
5.2410.4960.080.3713.624.00-1.14-56.45-29.41-46.49-8.41-9.84-33.09-41.19-89.92
5.6010.4960.080.3713.624.00-1.14-56.45-29.41-46.65-8.45-9.96-35.00-43.45-116.03
3.166.5337.000.145.761.48-0.41-18.17-10.97-20.54-4.12-4.70-15.32-24.25-58.11
5.2410.4960.080.3713.624.00-1.14-56.45-29.41-46.49-8.41-9.32-32.01-41.19-89.67
19.4818.3416.476.366.675.375.115.088.0510.8014.6915.4317.6026.6039.53
-0.140.241.481.600.260.730.890.03-0.93-2.850.840.85-4.252.356.90
-0.590.281.241.18-0.200.150.51-0.12-1.28-3.76-0.200.25-5.071.305.08

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.122.001.891.831.781.801.781.981.861.821.781.771.751.701.641.491.431.391.431.531.481.521.511.431.471.471.441.451.511.471.451.401.581.581.541.561.491.571.581.791.771.822.012.092.122.051.992.071.861.881.811.831.851.882.242.322.252.372.402.242.28
0.150.16-------------------------------------------0.040.050.050.02--0.03-------0.000.00
0.190.20--0.03----------0.130.130.130.130.130.130.140.140.160.150.150.170.170.150.150.150.170.130.120.110.110.120.100.060.050.050.050.040.060.060.070.070.080.090.040.030.030.030.030.020.020.030.030.030.030.03
32.7338.7536.3735.8235.7435.5336.2535.4736.9536.1635.6536.1038.5238.1536.5834.8935.7832.7138.4835.1930.0834.5529.6337.0929.2035.4630.7934.1330.2130.8129.8316.9423.8423.3226.4121.2921.3926.4026.7023.2825.6824.8324.7329.2728.8330.0029.3028.2830.7330.3829.3527.1327.3632.4426.2033.5214.7934.5031.4235.5910.44
4.505.256.336.938.989.574.826.7710.0411.839.315.216.0811.179.903.382.01-2.672.593.90-4.634.43-2.501.62-2.204.69-2.18-1.140.123.67-5.03-22.76-12.56-7.10-2.01-5.84-15.64-4.07-6.55-13.75-18.18-12.47-14.35-4.22-0.853.800.61-1.47-0.45-8.19-2.24-5.79-8.74-2.60-18.03-69.03-22.05-5.06-5.33-5.11-22.28
4.505.256.336.938.989.574.826.7710.0411.839.315.216.0811.179.903.382.01-2.672.593.90-4.634.43-2.501.62-2.204.69-2.18-1.140.123.67-5.03-22.76-12.56-7.10-2.01-5.84-15.64-4.07-6.55-13.75-18.18-12.47-14.35--0.853.800.61-1.47-0.45-8.19-2.24-5.79-8.74-2.60-18.03-69.03-22.05-5.06-5.33-5.11-22.28
-------------------------------------------------------------
3.625.515.316.328.4710.081.399.459.8111.529.355.256.2711.229.963.442.17-2.462.734.06-4.514.38-2.431.69-2.214.52-2.14-1.010.763.77-5.28-24.81-12.47-7.14-1.92-5.88-15.51-4.18-6.55-13.76-17.94-12.47-14.45-3.58-0.853.800.61-1.21-0.63-8.76-2.42-5.96-8.92-4.08-22.41-68.37-22.56-5.30-5.75-5.56-22.66
3.063.044.573.665.866.67-3.385.868.097.606.403.951439.428.951.821.19-2.980.095.988.033.55-1.240.09-4.228.22-1.17-2.61-0.682.45-1.08-26.01-13.02-8.06-1.51-1.74-17.51-4.95-6.67-14.98-18.18-11.54-14.56-6.88-1.44-4.11-1.91-1.12-2.87-12.19-6.10-16.38-31.95-10.84-21.22-83.85-21.97-6.44-6.50-2.55-24.94
0.230.190.240.250.230.260.250.240.230.250.240.240.230.360.380.350.340.310.330.380.320.400.380.400.400.390.370.370.390.440.380.350.320.340.350.390.340.380.320.340.320.310.310.360.390.390.350.350.330.320.310.310.280.260.240.240.220.220.210.220.27
1.320.871.821.771.311.581.481.841.541.821.851.841.772.322.682.682.552.602.964.383.364.394.261.721.861.521.571.571.822.061.521.591.251.471.471.771.271.511.141.321.251.251.441.511.471.221.141.101.121.181.121.231.311.081.080.921.410.880.890.871.51
0.520.420.560.570.550.630.660.650.610.700.740.840.780.870.870.860.860.780.800.810.730.800.761.091.611.431.290.971.301.221.170.920.920.920.901.051.081.120.981.111.021.131.071.261.481.301.051.281.050.920.890.910.810.790.831.011.020.921.050.931.08
17221516015816414413613814712912210811610310410510511511311212311211882.4155.7462.8469.9092.5969.2773.8076.8498.0397.7997.6599.8985.6583.1480.2092.2981.3388.5679.5183.7471.2660.8669.1485.5470.3786.0597.4610199.0111111410889.0788.6297.8585.7396.5583.39
1.321.141.771.522.272.90-1.382.253.063.072.491.5452.717.857.821.661.09-2.440.085.376.423.65-1.20-0.16-4.038.78-1.04-2.60-0.603.17-1.14-28.49-11.27-7.19-1.84-1.73-17.06-4.81-5.92-11.63-13.10-7.91-9.93-3.47-1.04-3.24-0.51-0.63-0.51-6.27-2.14-3.55-13.02-4.33-7.02-26.67-6.40-2.10-2.040.72-10.20
1.451.241.891.622.403.08-1.472.253.063.072.491.5452.717.857.821.661.09-2.440.085.376.423.65-1.20-0.16-4.038.78-1.04-2.60-0.603.17-1.14-28.49-11.27-7.19-1.84-1.73-17.08-4.82-5.94-11.68-13.15-7.95-9.99-3.49-1.05-3.27-0.51-0.64-0.51-6.36-2.26-3.75-13.76-4.56-7.41-28.14-8.30-2.68-2.620.93-14.01
0.700.581.080.921.341.73-0.841.401.891.871.520.9532.603.433.360.640.41-0.930.032.272.601.43-0.47-0.06-1.553.34-0.37-0.93-0.221.10-0.39-9.17-4.13-2.64-0.66-0.64-5.95-1.82-2.21-5.14-5.92-3.65-4.60-1.70-0.53-1.53-0.24-0.30-0.23-3.03-1.01-1.64-6.21-2.21-4.09-15.70-4.16-1.40-1.370.47-6.64
1.120.961.771.522.272.90-1.382.253.063.072.491.5452.717.857.821.661.09-2.440.085.376.423.65-1.20-0.16-4.038.78-1.04-2.60-0.603.17-1.14-28.49-11.27-7.19-1.84-1.73-17.06-4.81-5.92-11.63-13.10-7.91-9.93-3.47-1.04-3.11-0.48-0.60-0.49-6.27-2.14-3.43-13.02-4.33-7.02-26.67-6.40-2.10-2.040.72-10.16
20.5220.3119.3319.1418.8318.3317.6318.3417.6717.2316.8016.4716.107.606.976.366.216.326.436.676.295.865.825.375.545.705.125.115.165.125.035.086.677.337.918.057.398.819.2910.8011.1412.4513.2714.6915.0915.1115.4415.4315.5215.6317.1417.6019.3822.9224.5126.6035.3637.8238.9439.5339.35
1.740.571.17-0.14-0.76-0.71-0.560.24-0.92-0.180.061.481.200.890.381.601.341.000.510.260.48-0.05-0.630.730.680.820.460.891.260.770.310.030.670.610.17-0.93-0.92-0.88-0.46-2.85-3.11-1.71-0.450.840.550.35-0.930.85-0.08-0.76-0.63-4.25-4.65-4.16-3.802.352.190.390.456.904.62
1.590.451.11-0.59-1.18-0.77-2.010.28-0.81-0.250.031.241.000.770.291.181.340.770.39-0.200.11-0.34-0.800.150.210.520.330.510.960.510.19-0.120.550.540.13-1.28-1.20-1.11-0.57-3.76-3.87-2.23-0.83-0.20-0.04-0.01-1.060.25-0.53-1.11-0.92-5.07-5.26-4.58-3.961.300.60-0.71-0.045.083.16