Return On Asset ratio Analysis of Marcus Corporation - Deep Dive


Latest FY ROA
Period Ending - Dec-23

0.649


Poor ROA
Period Ending - Dec-22
-1.12

Very Poor ROA
Growth
157.73 %
Trailing Twelve Months ROA
Period Ending - Dec-23

1.47


Poor ROA
Most recent Quarter ROA
Period Ending - Mar-24

-1.17


Very Poor ROA
ROA Analysis of Marcus Corporation
ROA Ratio of Marcus Corporation with value of 1.47 means poor return on Assets in trailing twelve months.
ROA Ratio of Marcus Corporation with value of -1.17 means poor return on Assets in latest Quarter ending on Mar-24.
ROA Ratio of MCS rose handsomely by 157.73 % this year.
ROA Ratio of MCS trending up for at least three Years.
ROA Ratio with value of -9.95 was lowest in Year Dec-20 in last Five Years.
Latest ROA Ratio with value of 0.649 is Greater than Average ROA of -2.20 in last five years.
ROA of Marcus Corporation is negative because of negative Income in Quarterly result ended on Mar-24.
Other ROA Related Info of MCS that may interest you.
Marcus Corporation Overview
CodePricePrevious PricePrice ChangeSector
MCS10.6510.65 0 % Entertainment
Fundamental AnalysisTechnical Analysis
Defination of Return On Asset
The return on assets (ROA) is a commonly used profitability ratio that shows how effectively a company uses its assets to generate profit.   more ..
Return On Asset Formula

ROA Related Ratios
ReturnOnEquityAssetTurnoverRatio

Tsr Profitability Index
Poor Profitability Stock
FY - Historical Return On Asset of Marcus Corporation
PeriodDec-23Dec-22Dec-21Dec-20Dec-19Dec-18Dec-17
ROA0.649-1.12-3.64-9.953.095.406.39
Change157.73 %69.13 %63.40 %-422.00 %-42.72 %-15.49 %53.54 %
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FY Chart of Return On Asset of Marcus Corporation


Note : All Data Generated at the End of Trading Hours (EOD Data)