Quantum Financial Ratios for Analysis 2012-2026 | QMCO

Fifteen years of historical annual and quarterly financial ratios and margins for Quantum (QMCO).

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
20252024202320222021202020192018201720162015201420132012
0.400.530.970.820.980.860.860.860.821.180.951.441.381.34
---65.69-2.93-4.26-2.84-2.69-2.02-1.2821.728.231.751.671.34
-0.75-0.90-1.04-0.78-0.83-0.78-0.74-0.71-1.10-1.07-2.52-2.33-2.49-3.95
40.0840.0833.9441.1143.1242.8141.6239.4841.6342.6644.3043.3240.9541.94
-15.21-9.27-3.95-0.842.405.26-1.18-6.541.36-14.252.66-2.13-7.230.73
-15.21-9.27-3.95-0.842.405.26-1.18-6.541.36-14.252.66-2.13-7.230.73
-11.17-5.40-1.172.245.847.320.58-5.052.78-0.935.171.71-2.626.08
-41.70-13.02-3.8910.35-10.08-1.09-10.04-10.61-0.15-15.803.22-3.66-8.68-1.28
-42.00-13.25-6.09-5.58-10.14-1.29-10.63-9.90-0.49-16.053.09-3.88-8.88-1.42
1.761.661.981.901.792.432.332.162.192.061.551.531.591.65
7.326.786.233.914.154.646.274.706.064.404.115.193.923.78
5.224.605.825.534.785.734.644.544.254.494.455.446.075.88
69.9279.4162.6666.0276.3363.7478.7080.3585.9181.2681.9467.0460.1762.05
70.0233.9821.77-26.6831.592.6221.4224.992.0860.69-28.2724.5763.3519.83
64.8030.3317.96-23.0629.372.6221.4224.972.0760.47-14.6314.6234.607.21
-74.06-22.01-8.6019.02-18.19-3.14-24.76-21.39-1.07-33.134.78-5.94-14.15-2.34
70.0233.981,452-104.9216610.0879.0275.414.72-1,257.10204-18.46-42.55-6.72
-23.61-25.35-18.03-47.57-39.44-99.50-110.87-97.89-68.11-75.66-37.45-55.84-54.21-31.59
-4.59-2.14-1.07-10.22-0.36-0.63-9.48-2.905.07-7.143.7122.985.1631.41
-5.55-3.37-3.83-12.13-3.59-2.03-11.01-4.394.19-9.262.0019.12-1.5823.56

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
0.510.370.530.400.370.810.760.530.590.581.050.971.141.101.160.820.900.990.920.981.010.990.990.860.890.850.840.860.790.45-0.86-0.780.780.820.831.171.171.181.191.130.900.950.891.471.451.441.501.451.441.381.401.311.331.341.431.401.47
------4.05-2.50---62.33-65.695.288.624.88-2.93-3.94-6.93-2.57-4.26-11.36-6.78-6.58-2.84-3.54-3.10-2.59-2.69-2.32---2.02--1.32-1.04-1.28-1.6320.5674.4121.722.262.3875.318.23-10.491.731.771.751.641.651.611.671.541.581.491.341.261.321.33
--0.62-0.85-0.75-0.70-0.81-0.75-0.90-1.12-1.10-1.07-1.04-1.30-1.19-1.33-0.78-0.83-0.90-0.82-0.83-0.93-0.88-0.87-0.78-0.79-0.76-0.73-0.74-0.71-0.63--0.71--1.03-1.04-1.10-1.17-1.05-1.02-1.07-1.80-1.95-2.24-2.52-2.66-2.36-2.30-2.33-2.57-2.54-2.65-2.49-2.84-2.73-3.05-3.95-4.88-4.15-4.07
38.7937.5535.3335.5043.7742.6537.4438.2340.5743.2638.5333.7037.5129.0935.0744.2036.9341.2041.8442.0743.1345.1342.0940.9045.5741.1443.3841.3142.2539.5143.1036.2037.0440.5443.4940.4441.2041.3643.5544.6443.8739.5842.3742.2845.8045.8443.3440.6542.0742.8947.2341.1442.6740.1839.6240.5542.4943.3941.20
-1.59-13.01-19.59-26.94-5.32-7.73-23.25-19.32-8.64-4.90-5.56-3.523.57-9.69-7.294.71-7.58-1.01-0.062.496.224.08-4.772.9311.303.972.60-0.483.41-3.76-4.04-15.40-8.25-2.03-2.10-4.035.434.15-1.54-42.841.12-8.22-7.401.886.762.85-1.18-9.76-0.05-3.783.88-9.17-3.55-6.79-9.92-4.664.024.18-1.09
--13.01-19.59-26.94-5.32-7.73-23.25-19.32-8.64-4.90-5.56-3.523.57-9.69-7.294.71-7.58-1.01-0.062.496.224.08-4.772.9311.303.972.60-0.483.41-3.76-4.04-15.40-8.25-2.03-2.10-4.035.434.15-1.54-42.841.12-8.22-7.401.886.762.85-1.18-9.76-0.05-3.783.88-9.17-3.55-6.79-9.92-4.664.024.18-1.09
-----------------------------------------------------------
--73.82-26.42-19.97-98.36-16.40-27.21-27.70-13.01-3.70-9.31-0.420.71-6.92-10.1159.05-10.28-9.49-4.65-19.58-2.46-5.12-14.07-3.974.49-1.96-3.28-7.53-3.87-22.96-7.50-26.17-10.63-4.36-4.21-6.473.973.06-2.70-44.59-0.30-9.30-9.408.805.121.19-3.18-11.27-1.47-5.602.48-10.80-4.91-8.09-11.47-7.532.532.34-2.99
-37.33-74.07-26.76-20.23-98.46-16.91-27.53-26.50-13.72-4.40-9.88-7.000.10-7.38-10.932.90-11.60-9.93-4.66-18.89-2.72-5.35-14.65-4.354.60-2.19-3.60-9.11-4.20-24.04-6.96-26.20-8.79-4.56-3.14-7.343.753.02-3.03-44.65-0.64-9.59-9.708.954.880.92-3.37-11.26-1.69-6.002.22-10.76-5.13-8.35-11.83-7.192.262.16-3.40
-0.460.380.370.430.440.420.380.360.390.440.520.490.480.440.520.510.470.500.470.530.500.440.530.630.670.610.600.660.58-0.46-0.530.550.480.580.610.560.520.460.380.350.410.380.380.360.350.400.380.410.380.420.430.390.400.420.420.37
-2.072.081.651.971.471.681.600.930.911.261.641.221.451.091.021.071.051.011.120.980.800.831.051.281.521.371.621.731.37-1.05-1.361.391.361.541.391.151.071.281.150.871.141.231.201.251.261.180.940.940.931.030.960.830.951.001.000.97
-1.431.331.091.181.411.181.051.201.471.401.531.561.641.501.531.441.481.541.261.411.371.491.251.381.481.571.191.281.18-0.97-1.061.070.941.241.251.281.131.261.271.141.191.281.451.421.261.391.511.701.441.371.481.621.441.511.521.59
-63.0567.8282.3376.1363.9876.4285.3375.1061.2864.4658.7757.8354.8760.1858.9962.3760.9458.4871.1863.7665.7760.5871.7965.2360.7457.3775.6770.2276.38-93.20-85.1684.2796.2372.4772.0870.0779.4571.1870.9679.0275.6170.0961.8763.5471.4664.8659.6252.9462.2965.5060.8355.5062.3859.7159.2556.76
15.1128.9415.047.0636.627.9214.0915.599.683.539.720.99-0.159.3614.86-43.709.017.983.6815.561.382.345.491.93-2.431.141.884.712.1810.72-14.05-4.103.116.87-4.30-3.302.7342.571.0714.3115.82-21.89-9.04-1.454.8816.483.099.77-4.2418.2811.3418.1627.5124.65-9.38-7.259.10
-26.7813.506.5434.267.2712.8013.928.443.028.250.82-0.127.4611.33-37.787.696.833.4314.461.322.345.491.93-2.431.141.884.712.1810.72-14.04-4.103.116.87-4.28-3.292.7242.420.628.348.66-11.33-5.20-0.872.969.801.745.45-2.299.985.738.7312.138.96-3.06-2.553.40
-18.65-33.74-10.17-7.47-42.51-7.45-11.50-10.10-4.95-1.71-4.34-0.390.05-3.54-4.6131.16-5.89-4.66-2.33-8.96-1.44-2.65-6.51-2.312.87-1.46-2.21-5.44-2.77-14.02--12.03--2.41-1.72-3.542.181.84-1.69-23.24-0.30-3.68-3.423.701.850.35-1.23-3.98-0.68-2.270.92-4.08-2.16-3.56-4.57-2.910.940.90-1.26
-28.9415.047.0636.6240.0249.3515.599.683.53-595.9666.170.63-71.33-57.71-171.8544.5063.2713.1381.7717.0018.2041.627.42-11.034.686.7517.377.2410.72-42.40-9.496.3615.63-11.3064.53-200.23-881.87-1.34-19.81-1,175.41158-103.881.06-3.76-12.38-1.96-6.352.57-12.27-6.15-10.52-13.44-8.352.432.31-2.98
--12.04-8.59-23.61-36.75-32.01-29.47-25.35-1.06-0.99-20.08-18.03-16.54-17.22-15.18-47.57-41.05-39.14-39.43-39.44-93.36-96.34-97.98-99.50-98.09-110.64-112.37-110.87-110.39-113.43--97.89--71.74-69.21-68.11-68.77-72.82-77.49-75.66-46.56-47.57-42.05-37.45-47.87-53.99-56.52-55.84-51.33-52.14-50.80-54.21-47.88-44.99-40.89-31.59-28.52-40.86-39.95
--2.44-1.84-4.59-4.15-3.59-0.40-2.14-4.36-2.39-2.02-1.07-0.21-0.19-4.39-10.22-8.97-5.21-2.40-0.36-9.90-9.58-4.50-0.63-2.13-5.320.50-9.48-4.141.531.44-2.901.85-0.760.605.076.101.403.10-7.14-9.64-1.43-8.393.715.875.314.0022.9810.025.335.975.16-5.40-9.69-0.7531.4122.0711.417.96
--2.56-1.97-5.55-5.03-4.26-0.73-3.37-5.42-3.21-2.51-3.83-0.33-0.28-5.11-12.13-10.31-6.03-2.81-3.59-12.18-10.29-4.75-2.03-3.13-6.050.25-11.01-5.120.781.05-4.390.67-1.260.534.195.090.662.78-9.26-11.34-2.41-8.912.004.594.413.4219.126.783.245.17-1.58-11.64-14.15-3.4423.5616.387.365.57