Corus Entertainment Financial Ratios for Analysis 2009-2024 | CJREF

Fifteen years of historical annual and quarterly financial ratios and margins for Corus Entertainment (CJREF).

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
0.670.730.720.660.950.970.870.880.621.241.851.171.961.811.91
0.700.580.520.580.490.530.420.460.350.400.310.310.360.420.43
2.381.401.111.440.991.180.800.890.660.670.440.460.560.710.76
22.1027.7533.9933.4734.6734.9434.4335.0934.0034.7733.6034.4334.5931.5831.85
10.5516.5923.8022.2521.9228.5927.5917.9229.9531.8830.2631.3931.5728.8129.22
10.5516.5923.8022.2521.9228.5927.5917.9229.9531.8830.2631.3931.5728.8129.22
62.8062.9266.4966.8764.2865.8964.9052.9262.5062.0833.6031.3960.8256.0555.31
-34.65-12.0017.06-37.4414.94-40.6718.2615.811.4125.1625.5825.3424.6720.060.55
-28.37-15.3311.18-41.389.25-47.6211.4210.75-3.0918.7520.6318.5417.7315.15-7.18
0.550.460.400.380.360.340.280.190.310.300.370.400.400.410.42
---------------
4.774.874.665.084.364.204.103.084.614.554.544.864.624.775.37
76.5174.9478.3271.8783.6286.8789.0911879.2680.1980.3375.1578.9676.4467.93
-92.13-25.6915.94-57.9610.37-45.218.625.80-1.6011.0010.9813.9112.9614.3415.50
30.0313.71-11.3929.74-8.9233.53-9.03-5.372.17-15.41-38.35-37.48-50.84-35.63-27.94
-15.40-6.635.05-15.303.87-15.533.692.36-0.745.186.117.596.706.787.07
-27.49-10.807.68-24.525.32-21.334.963.15-1.046.607.629.558.328.388.79
1.713.564.623.746.206.199.559.5111.60------
0.460.831.041.111.221.391.121.152.022.371.970.002.001.711.21
0.410.760.961.061.121.341.002.221.862.231.81-1.530.720.97

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
2024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
0.650.680.670.670.650.710.730.770.840.850.720.810.690.680.660.810.800.910.950.970.971.050.970.950.910.960.870.860.820.870.880.900.700.940.620.671.251.091.241.021.120.841.851.621.101.321.171.141.191.211.961.821.881.861.811.852.051.981.911.801.82
0.690.690.700.750.580.580.580.490.500.500.520.530.530.540.580.590.470.470.490.490.510.510.530.540.420.430.420.430.440.450.460.460.050.340.350.360.410.400.400.400.400.280.310.310.320.310.310.310.340.360.360.370.390.420.420.410.430.430.430.450.41
2.282.252.383.091.391.411.400.981.001.001.111.151.231.321.441.530.920.930.991.031.091.111.181.220.770.790.800.820.840.850.890.880.460.630.660.680.690.670.670.670.680.400.440.440.910.450.460.460.510.550.560.580.630.720.710.700.740.740.760.810.71
17.6132.6713.7724.3917.2030.5416.4528.5423.6538.1928.9432.4231.3942.4929.5131.9030.8339.3528.9937.2029.4640.9930.0938.6130.5238.8928.5038.0927.8941.0227.5136.0840.2541.9927.6833.8232.5244.0729.6436.1331.1542.8027.9035.1430.1340.8930.5038.0129.9839.0328.5836.2631.9037.3425.5434.1427.4636.3727.4029.7028.33
5.8021.504.3012.124.4618.941.0316.7614.3129.2316.3623.7621.6432.5622.7916.8915.9930.7118.7827.9512.4426.2922.6232.5625.1532.3523.2831.0122.4431.9513.596.3529.2534.4218.9530.8424.9334.0523.4835.7927.6635.3224.4328.5224.7138.2929.1632.3027.7234.9931.4533.9728.7437.3121.5330.6729.3937.2531.6332.9024.71
5.8021.504.3012.124.4618.941.0316.7614.3129.2316.3623.7621.6432.5622.7916.8915.9930.7118.7827.9512.4426.2922.6232.5625.1532.3523.2831.0122.4431.9513.596.3529.2534.4218.9530.8424.9334.0523.4835.7927.6635.3224.4328.5224.7138.2929.1632.3027.7234.9931.4533.9728.7437.3121.5330.6729.3937.2531.6332.9024.71
-------------------------------------------------------------
-3.5713.645.47-144.75-5.6410.97-112.0810.187.1823.739.5616.2614.8526.674.42-216.998.0724.5510.7922.654.1519.5812.75-204.4616.5525.3413.2922.3611.8623.464.26-2.9963.4826.1511.49-3.14-44.2334.5015.26-6.878.1080.489.5553.585.1032.4820.6328.8021.0930.4219.4826.8621.1127.764.4322.1811.4338.6913.09-63.4222.29
-3.278.8413.49-124.60-4.497.28-110.446.834.4916.425.9610.099.8418.24-0.29-215.574.9316.706.0614.481.6512.927.06-212.0210.8416.987.7414.456.7615.200.77-4.3751.7118.109.21-3.99-45.3222.8511.77-14.173.2066.766.1344.943.2423.0611.9321.1815.3522.2414.5918.5216.5619.213.3614.387.5833.249.60-74.2416.01
0.110.130.120.130.090.110.100.110.090.110.100.100.090.100.080.080.070.090.080.100.080.090.080.090.060.080.070.070.060.080.060.060.060.080.070.080.070.070.070.080.070.080.090.090.070.110.100.090.100.110.090.100.090.120.100.110.100.120.120.110.09
-------------------------------------------------------------
1.011.021.081.101.001.031.021.050.931.041.121.081.001.071.060.870.931.020.981.010.880.910.940.960.890.921.000.950.820.951.010.810.911.071.011.030.950.981.061.060.880.991.061.041.001.101.151.091.191.081.111.121.021.111.161.271.271.261.491.281.21
88.6888.5283.1481.6989.7187.4288.6385.7196.6986.8380.6683.3490.4284.2784.5910496.3388.1192.0488.7310298.5995.7993.7810298.1989.7294.7211094.3488.6911199.3083.8689.2087.5195.0492.2385.2484.8310291.1184.9986.7090.2381.8178.4782.5375.9383.6281.1980.2088.2081.3377.4171.1570.7071.5760.4770.4774.65
-1.657.679.69-121.46-1.643.76-40.622.541.536.212.133.993.477.380.24-71.511.254.641.644.240.693.841.91-56.311.743.241.512.931.253.180.54-0.437.803.461.35-0.67-6.683.601.74-2.400.4510.630.947.140.504.462.093.662.854.772.683.712.664.720.703.191.618.142.45-18.202.88
0.57-2.67-3.1629.720.82-1.8421.68-1.92-1.17-4.61-1.52-2.75-2.15-4.27-0.1335.57-1.02-4.11-1.41-3.52-0.53-3.06-1.4240.18-1.92-3.50-1.58-2.98-1.24-3.07-0.500.41-11.16-4.20-1.830.858.93-4.94-2.433.30-0.62-22.24-3.29-26.11-1.60-13.36-5.63-10.51-7.42-11.15-10.51-15.13-9.43-12.61-1.75-7.56-3.54-16.79-4.4229.90-5.40
-0.291.331.62-16.37-0.410.90-10.480.820.491.980.671.211.012.050.06-17.710.441.690.611.530.241.340.66-18.690.761.390.651.230.521.310.22-0.183.321.440.63-0.30-3.091.700.82-1.120.215.340.523.960.222.441.141.981.492.391.391.881.332.210.331.530.773.831.12-8.001.38
-0.512.402.89-29.93-0.691.58-17.081.290.773.131.031.891.633.390.10-29.070.672.460.842.140.331.870.90-26.141.001.860.871.670.701.760.29-0.247.452.290.88-0.43-3.942.161.04-1.440.277.600.654.960.343.071.432.511.893.071.722.341.632.750.411.880.924.681.39-10.071.69
1.741.771.711.493.373.423.565.054.964.984.624.684.34-3.743.596.55-6.206.116.066.276.196.1210.0410.089.559.419.119.619.519.9710.8010.72---------------------------
0.230.090.460.320.210.090.830.610.500.151.040.870.590.231.110.750.440.211.220.800.470.161.390.990.660.331.120.770.450.091.150.730.580.342.051.380.850.382.392.061.380.591.951.611.070.000.000.000.000.001.961.590.950.191.621.620.990.381.190.840.48
0.210.090.410.280.190.080.760.580.470.140.960.840.580.231.060.720.420.191.120.760.440.151.340.960.640.331.000.720.410.062.221.710.520.311.891.270.780.352.251.981.340.571.801.490.98-----1.501.180.610.030.690.980.640.310.950.730.42