Gaia Financial Ratios for Analysis 2011-2026 | GAIA

Fifteen years of historical annual and quarterly financial ratios and margins for Gaia (GAIA).

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
202520242023202220212020201920182017201620152014201320122011
0.590.380.510.630.500.770.872.654.82-1.792.022.471.662.94
--0.060.150.060.080.210.130.14------
-0.060.070.180.080.080.270.150.16------
87.0786.1185.5486.6986.7787.0586.8387.2686.1283.5280.7081.0842.0144.4235.25
-5.16-6.57-5.68-0.322.49-6.93-31.87-86.70-88.87-96.10-64.72-99.74-13.92-8.00-14.01
--6.57-5.68-0.322.49-6.93-31.87-86.70-88.87-96.10-64.72-99.74-13.92-8.00-14.01
-14.0415.5119.1119.0111.09-14.10-70.06-71.54-74.74-40.44-70.31-11.37-4.81-11.81
--6.01-6.88-3.702.161.05-33.06-85.86-87.05-98.14-67.03-91.563.78-22.53-16.09
-4.54-5.79-7.21-4.744.690.78-33.62-80.47-82.26505-86.98-92.21-14.64-10.12-11.12
-0.640.620.610.600.610.510.390.290.160.100.081.100.651.37
-----------0.104.453.334.96
-12.2612.7626.4429.1733.0223.3731.4826.8231.1328.940.365.935.796.72
-29.7728.6013.8112.5111.0515.6211.5913.6111.7212.611,02761.5363.0554.32
-5.17-5.74-6.45-3.774.140.70-25.96-41.87-31.12-11.05-10.16-9.89-19.09-16.17-19.27
--11.60-10.20-6.006.080.91-34.66-48.14-36.16-12.40-11.54-11.82-22.30-16.57-19.76
-3.42-3.82-4.29-2.392.790.47-16.85-31.84-24.44-10.06-7.02-7.10-14.18-9.75-15.48
--5.74-6.04-3.213.870.64-20.48-36.30-26.73-11.05-10.16-9.89-19.09-16.17-19.27
-4.023.754.134.413.873.744.555.036.443.624.074.395.235.78
-0.300.270.081.050.60-0.14-1.24-1.37-0.770.310.40-1.010.730.23
-0.080.03-0.330.180.59-1.17-2.33-2.20-1.110.050.22-1.150.560.04

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
2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
0.560.590.520.540.560.380.430.450.600.510.490.600.600.630.480.430.460.500.790.780.750.770.630.630.640.871.031.431.942.652.784.385.164.823.494.975.72-5.343.141.781.791.701.861.982.022.762.973.362.472.002.121.861.661.571.851.662.942.442.47
------0.060.060.060.060.060.150.150.150.060.060.060.060.070.070.160.080.140.200.200.210.210.200.140.13---0.14--------------------------
--0.060.060.060.060.060.060.070.070.180.180.180.180.150.070.070.080.080.080.190.080.170.250.250.270.260.250.170.15---0.16----------------0.120.090.07-0.180.110.26-0.020.03
85.9987.5986.3586.6687.6988.2286.0684.5185.3185.3585.2585.6985.8986.7086.7086.6886.6985.8287.1387.1087.1087.1087.0987.1086.9086.8986.8286.4487.1787.4587.3387.1087.0886.2586.2186.1185.8285.6884.2982.2181.3847.4082.6379.0345.8241.5543.6747.6745.2542.4640.6741.7442.9442.4256.0061.6457.27-3.3943.5244.57
-5.87-2.56-4.97-8.92-4.25-7.65-5.28-9.12-4.01-7.21-2.21-8.09-5.20-2.90-1.521.441.410.673.563.572.242.632.10-13.74-22.50-17.49-28.55-32.57-51.72-95.11-96.11-65.91-87.23-72.48-77.47-96.89-118.48-111.56-94.44-70.68-106.716.55-18.34-57.90-7.673.15-4.66-9.72-6.59-23.37-7.13-12.69-8.60-0.76-0.40-4.33-2.74-46.79-2.24-14.15
---4.97-8.92-4.25-7.65-5.28-9.12-4.01-7.21-2.21-8.09-5.20-2.90-1.521.441.410.673.563.572.242.632.10-13.74-22.50-17.49-28.55-32.57-51.72-95.11-96.11-65.91-87.23-72.48-77.47-96.89-118.48-111.56-94.44-70.68-106.716.55-18.34-57.90-7.673.15-4.66-9.72-6.59-23.37-7.13-12.69-8.60-0.76-0.40-4.33-2.74-46.79-2.24-14.15
------------------------------------------------------------
---4.88-8.41-4.82-4.08-5.93-9.78-4.51-8.26-3.53-9.29-6.45-5.93-11.901.201.130.353.173.311.892.2636.00-15.63-24.20-19.14-30.31-34.06-51.42-94.62-95.01-64.31-87.04-68.15-76.64-96.22-117.72-116.14-93.99-73.46-107.654.60-18.85-59.67-8.953.64-5.08-6.43-5.32-5.61-1.5639.11-8.69-2.52-37.93-6.67-4.09-57.34-2.26-14.03
-5.16-2.06-4.62-7.31-4.25-3.19-5.41-10.03-4.90-8.86-3.82-9.52-6.65-8.78-11.930.560.3910.003.173.311.891.6636.00-15.63-24.67-19.14-30.34-33.94-53.95-92.98-94.40-63.49-66.04-66.19-69.20-96.22-106.85-69.692,251-58.10-199.063.65-251.76-34.00-10.342.35-7.33-7.36-5.67-14.360.3324.60-0.753.39-25.96-4.52-2.58-41.27-1.68-8.17
--0.170.170.160.180.160.150.160.160.150.140.140.140.150.160.160.160.180.170.170.170.160.160.140.140.130.120.120.110.100.090.080.090.080.070.060.040.040.050.030.450.030.020.29-0.730.310.240.290.360.190.170.210.230.220.250.230.270.320.21
----------------------------------------0.04-0.040.041.01-2.921.120.931.041.440.640.580.731.240.510.570.691.591.040.78
--4.444.313.203.422.992.843.053.295.285.485.626.316.386.977.537.647.886.887.479.207.446.177.466.366.586.336.548.937.387.567.007.999.008.327.568.597.397.470.291250.160.202.40-3.321.711.391.581.940.740.820.842.071.041.680.911.351.711.36
--20.2620.8928.0926.3530.1031.7429.5027.3817.0416.4216.0314.2714.1112.9111.9611.7911.4213.0912.059.7812.1014.5812.0614.1513.6714.2113.7510.0712.2011.9012.8511.2710.0010.8111.9010.4812.1812.053060.7257744037.49-27.0952.6964.6457.0346.4712211010743.3986.3253.4999.0366.8252.6166.08
-1.43-0.77-1.21-2.10-1.20-1.06-1.38-2.23-1.12-2.04-0.82-2.11-1.44-1.59-2.650.270.272.310.830.840.480.428.60-3.78-5.43-4.08-5.82-6.04-8.51-13.70-11.30-6.31-5.69-7.32----3.51-0.15-3.97-5.192.33-0.76-2.07-3.58-2.99-2.52-2.16-2.01-2.05-0.556.37-1.85-0.48-9.35-1.64-1.00-13.85-0.66-2.71
---2.34-4.03-2.27-2.13-2.79-4.47-1.77-3.23-1.30-3.32-2.26-2.53-3.920.400.403.401.071.080.620.5411.24-5.11-7.36-5.45-7.68-7.86-9.91-15.75-12.77-7.04-6.31-8.51-7.97-8.38-7.61-3.93-0.17-4.61-6.522.64-0.94-2.50-4.31-3.57-3.02-2.52-2.35-2.39-0.627.21-2.12-0.49-10.90-1.91-1.14-14.20-0.88-3.63
-0.94-0.51-0.81-1.41-0.81-0.70-0.94-1.50-0.72-1.36-0.52-1.34-0.92-1.01-1.730.190.191.560.560.560.320.285.91-2.42-3.41-2.65-3.89-4.14-6.30-10.41-9.90-5.72-5.17-5.75-6.20-6.73-6.18-3.19-0.13-3.44-3.731.61-0.51-1.47-2.64-2.14-1.94-1.67-1.62-1.52-0.374.41-1.24-0.29-5.62-1.16-0.64-11.12-0.51-2.10
---1.21-2.10-1.20-1.06-1.30-2.11-1.05-1.91-0.77-1.80-1.23-1.35-2.480.250.252.160.770.780.400.397.38-3.02-4.33-3.22-4.62-4.85-7.30-11.87-11.30-6.31-5.69-6.29-6.93-7.34-6.73-3.51-0.15-3.97-5.192.33-0.76-2.07-3.58-2.99-2.52-2.16-2.01-2.05-0.556.37-1.85-0.48-9.35-1.64-1.00-13.85-0.66-2.71
--4.053.944.004.024.044.103.723.754.114.134.224.134.294.394.374.414.033.973.923.873.833.483.513.743.874.074.214.555.145.696.025.035.365.676.066.446.693.143.243.623.523.863.904.074.154.244.334.395.615.605.255.235.155.655.745.787.947.88
--0.160.140.050.300.180.160.260.270.130.060.030.080.390.310.191.050.740.480.260.600.360.210.11-0.14-0.32-0.29-0.15-1.24-0.73-0.38-0.19-1.37-0.96-0.77-0.41-0.77-0.59-0.060.120.310.210.070.190.40-0.30-0.12-0.09-0.98-0.58-0.090.270.730.850.76-0.030.230.020.25
---0.020.050.010.080.020.060.210.03-0.01-0.03-0.04-0.33-0.29-0.15-0.050.180.060.020.020.590.51-0.17-0.09-1.17-1.13-0.84-0.43-2.33-1.50-0.91-0.45-2.20-1.58-1.13-0.57-1.11-0.890.240.050.05-0.01-0.050.100.22-0.47-0.22-0.14-1.12-0.70-0.170.240.560.720.66-0.060.04-0.130.15