Polaris Financial Ratios for Analysis 2009-2024 | PII

Fifteen years of historical annual and quarterly financial ratios and margins for Polaris (PII).

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
1.391.191.151.171.061.241.111.241.391.291.161.611.491.381.43
0.570.580.500.530.580.690.480.570.320.210.350.130.170.210.49
1.341.871.471.271.532.260.981.320.470.260.540.160.210.540.98
21.9422.8123.5424.4524.3124.7024.4024.4828.3729.4529.6828.8327.8726.6325.11
7.859.379.578.297.138.026.637.7615.1715.9515.3014.9113.1711.0910.54
7.859.379.578.297.138.026.637.7615.1715.9515.3014.9113.1711.0910.54
10.7412.0812.4813.3410.5911.4910.1511.4618.4018.8017.7417.1015.6714.4314.66
6.948.868.457.176.017.065.876.9414.5315.6115.2114.9513.0510.989.65
5.635.216.641.994.785.523.184.719.6510.149.999.738.577.396.45
1.621.651.471.361.531.471.761.461.982.162.242.162.161.882.05
3.853.503.774.034.584.725.234.574.765.596.366.626.436.196.54
28.3323.6432.0824.0630.4326.0323.6320.0323.9621.5819.0323.6918.9722.3017.32
12.8915.4411.3815.1712.0014.0215.4518.2215.2316.9119.1815.4119.2416.3721.07
35.3854.7840.5031.4929.2338.6718.5124.5646.4052.7271.1545.2345.5139.6649.39
97.73316171590-84.79-51.5411428861.0971.2412553.5453.8843.3256.54
9.1111.569.847.787.318.135.586.8719.0921.8822.6120.9818.5313.8613.23
15.3523.1620.0814.6912.2912.149.6010.6231.6741.8546.4739.2937.6431.2424.97
25.1519.3220.3018.4918.0514.2414.7713.7415.0312.998.1610.067.315.423.13
16.058.464.6816.2710.527.479.129.056.527.766.985.864.264.332.92
8.893.360.1713.016.483.946.255.842.834.753.414.413.073.522.26

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.421.471.391.251.201.211.191.281.221.181.151.331.171.151.171.060.991.311.061.131.181.311.241.191.271.241.111.041.161.271.241.171.211.361.391.401.561.471.291.311.371.301.161.421.471.681.611.561.551.541.491.501.491.431.381.601.571.541.431.261.411.28
0.610.590.570.550.550.570.580.610.580.550.500.550.530.550.530.580.650.670.580.630.660.700.690.670.550.500.480.500.560.580.570.320.330.360.320.250.310.270.210.210.340.350.350.100.110.120.130.140.160.160.170.170.180.200.210.400.450.490.490.530.630.64
1.601.501.341.651.651.821.872.091.881.741.471.261.191.351.271.972.562.161.531.761.992.392.262.081.271.060.981.031.251.411.320.470.510.570.470.340.460.380.260.280.530.540.540.120.130.150.160.160.190.200.210.200.220.510.540.670.830.940.981.131.671.77
21.6219.0220.8322.6222.7821.5323.8323.8923.0019.8119.6223.6326.0324.6326.6427.3522.0120.8424.3924.6424.5323.5724.0524.3025.6424.9325.7024.6125.6721.0225.6822.0025.1625.1928.0628.5528.4128.4328.8329.8130.0729.0929.2630.3629.8729.0428.1829.5228.6928.9426.1328.3429.2228.2627.7325.9826.2426.2427.2624.0524.0724.50
6.102.256.238.948.847.3910.6910.869.365.628.838.9011.039.4440.5412.25-19.540.397.867.357.595.488.788.418.156.428.567.917.271.838.114.8410.357.8514.4016.6714.5914.5416.4717.0915.3314.2615.6016.4414.8613.6714.9816.0914.6213.5911.9115.1112.6512.9512.6411.679.978.8314.7210.467.837.30
6.102.256.238.948.847.3910.6910.869.365.628.838.9011.039.4440.5412.25-19.540.397.867.357.595.488.788.418.156.428.567.917.271.838.114.8410.357.8514.4016.6714.5914.5416.4717.0915.3314.2615.6016.4414.8613.6714.9816.0914.6213.5911.9115.1112.6512.9512.6411.679.978.8314.7210.467.837.30
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4.380.445.288.087.796.6610.2610.328.795.155.728.3010.628.9839.5211.20-20.78-0.836.966.116.424.317.357.457.515.688.247.386.74-0.037.023.879.717.3413.6716.4613.9313.3915.8816.7715.1214.0815.2616.4814.7813.7514.9216.3814.4013.7512.3414.1912.2213.4512.6612.089.088.5913.9510.527.714.10
3.500.224.526.756.065.208.137.96-0.223.924.826.458.296.8714.108.53-15.57-0.385.704.994.963.245.625.786.164.292.205.544.55-0.255.142.736.294.7710.0110.668.988.5710.6210.819.569.1110.0310.269.4710.129.7810.729.248.928.179.278.028.818.828.145.955.479.317.155.052.71
0.340.310.420.390.410.410.460.460.390.350.360.370.420.430.300.410.350.300.390.390.410.340.390.400.460.400.460.470.440.370.390.480.470.410.460.630.520.500.610.650.530.500.640.570.520.500.610.600.590.550.640.610.560.510.580.600.520.490.620.570.500.44
0.770.721.000.850.850.880.970.920.830.760.960.770.931.100.881.171.150.901.171.051.191.001.271.231.211.061.361.321.241.141.211.221.221.041.121.541.141.181.601.571.271.301.831.671.381.431.871.511.501.521.941.551.501.581.891.531.431.481.911.501.200.96
7.376.557.264.337.086.666.625.476.857.037.767.318.668.215.407.917.226.577.797.637.686.446.977.397.496.526.237.647.254.995.405.716.966.445.617.826.755.796.147.476.335.795.466.395.215.386.656.105.244.835.586.194.044.416.935.914.463.965.224.956.405.04
12.2113.7512.4020.7712.7013.5113.6016.4713.1312.8011.6012.3210.3910.9616.6711.3712.4713.6911.5611.8011.7113.9812.9212.1812.0213.8114.4511.7812.4218.0316.6715.7512.9313.9816.0311.5113.3415.5514.6512.0414.2315.5516.4814.0917.2816.7113.5414.7617.1618.6516.1214.5422.2520.3912.9915.2320.1822.7317.2518.1714.0617.84
5.130.287.2711.3510.759.8417.8518.7113.236.617.349.6613.8312.6537.9517.61-31.25-0.548.938.729.255.5010.5610.6410.555.723.389.147.27-0.357.223.487.705.0411.2816.5511.4110.2715.7217.1213.9513.1420.2912.559.9110.3112.7514.3112.2410.9412.7813.6610.7912.1614.7015.8510.699.3121.4717.5911.706.14
18.010.8120.0835.3938.8245.9710317191.6781.2530.9273.02266-1,369.42711-119.6469.481.13-25.92-18.36-15.83-7.72-14.07-15.4882.2928.4820.8373.5492.82-5.9184.504.9210.947.1914.8522.0015.5413.5921.2523.5421.2420.7835.5316.6113.7012.0415.1016.2014.1412.7515.1315.5312.4813.2316.0517.4912.0710.7224.5820.5614.067.48
1.210.071.872.642.462.153.773.742.711.441.782.413.432.979.383.49-5.46-0.112.231.952.021.102.222.302.861.731.022.611.99-0.092.021.312.971.974.646.724.634.266.537.015.054.596.456.084.975.035.926.415.474.915.205.654.474.485.144.863.122.675.754.102.531.19
2.010.113.155.074.874.207.557.335.602.953.644.376.475.7017.717.35-10.98-0.183.763.243.161.663.313.544.752.881.754.583.23-0.143.122.385.133.227.7012.427.877.4512.4813.449.158.5613.2511.298.779.0311.0812.3510.349.1810.5711.368.849.6711.589.485.834.7910.858.264.382.22
24.1124.4425.1523.6322.0720.3019.3217.5818.0418.8320.3020.0018.5217.3418.4915.3612.2916.3718.0516.5615.5814.4114.2414.5414.1015.4314.7714.3313.6513.2713.7414.4914.4214.4115.0314.3013.3812.9812.9912.3910.539.358.1613.4511.7310.6810.069.598.348.007.317.216.555.705.424.443.623.223.132.712.292.11
0.72-1.8416.056.516.022.148.461.89-0.94-0.804.682.463.110.8816.2710.765.03-1.1510.527.003.26-0.627.475.572.55-0.059.127.784.120.739.056.555.332.116.526.891.330.067.765.571.920.666.985.351.460.685.863.591.10-0.014.262.780.870.074.332.280.830.062.921.54-0.13-0.51
-1.73-3.108.891.112.450.513.36-1.33-2.92-1.710.17-0.571.380.1713.018.663.60-1.916.483.961.06-1.753.943.090.93-0.906.255.802.840.135.844.173.531.282.834.680.02-0.394.753.420.430.073.412.650.140.114.412.660.52-0.313.071.900.30-0.203.521.770.53-0.062.261.01-0.51-0.72