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International Money Express Inc   (NASDAQ: IMXI)
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   Industry Professional Services
   Sector  Services

International Money Express Inc Profitability Comparisons

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IMXI Profitability Ratio

Company Industry Sector S&P 500
Gross Profit Margin (Q2 MRQ) - 60.92 % 67.64 % 45.76 %
Gross Margin (Q2 TTM) - 60.46 % 67.47 % 45.82 %
Gross Profit Margin 5 Yr. Avg. - 55.31 % 64.57 % 45.8 %
EBITDA Margin (Q2 MRQ) 13.08 % 26.48 % 24.9 % 19.45 %
EBITDA Margin (Q2 TTM) 14.56 % 26.77 % 23.63 % 18.18 %
EBITDA Margin 5 Yr. Avg. 13.33 % 17.32 % 17.72 % 18.68 %
Operating Margin (Q2 MRQ) 12.08 % 26.58 % 17.16 % 15.85 %
Operating Margin (Q2 TTM) 13.4 % 26.62 % 16.79 % 15.19 %
Operating Margin 5 Yr. Avg. 14.73 % 22.22 % 14.14 % 14.29 %
Pre-Tax Profit Margin (Q2 MRQ) 10.16 % 20.78 % 15.93 % 12.74 %
Pre-Tax Profit Margin (Q2 TTM) 11.57 % 20.65 % 13.85 % 11.91 %
Pre-Tax Profit Margin 5 Yr. Avg. 13.29 % 14.56 % 8.83 % 10.83 %
Net Margin (Q2 MRQ) 6.83 % 15.6 % 12.31 % 10.26 %
Net Margin (Q2 TTM) 8.01 % 16.27 % 11.1 % 9.63 %
Net Margin 5 Yr. Avg. 9.62 % 11.7 % 6.74 % 8.84 %



Business Segment Profit Margin
 
Wire transfer and money order fees net
  Explore Wire transfer and money order fees net Segment  -
Foreign exchange gain net
  Explore Foreign exchange gain net Segment  -
Other income
  Explore Other income Segment  -
Reportable Segment
  Explore Reportable Segment Segment  12.08 %
Wire transfer and money order fees net Reportable Segment
  Explore Wire transfer and money order fees net Reportable Segment Segment  -
Foreign exchange gain net Reportable Segment
  Explore Foreign exchange gain net Reportable Segment Segment  -
Other income Reportable Segment
  Explore Other income Reportable Segment Segment  -
 

Company's Cashflow Profitability & Other



Profitability Ratios Company Industry Sector S&P 500
Free Cash Flow Margin (Q2 MRQ) 24.76 % 3.38 % 1.01 % 1.04 %
Free Cash Flow Margin (Q2 TTM) 16.45 % 26.88 % 29.34 % 19.62 %
Free Cash Flow Margin 5 Yr. Avg. - 17.87 % 12.11 % 10.01 %
Net Cash Flow Margin (Q2 MRQ) 14.25 % 0.78 % 0.06 % 0.25 %
Net Cash Flow Margin (Q2 TTM) -9.11 % 4.25 % 1.69 % 0.36 %
Net Cash Flow Margin 5 Yr. Avg. - 3.16 % 0.89 % 6.07 %
Effective Tax Rate (Q2 MRQ) 32.75 % 19.97 % 21.92 % 19.77 %
Effective Tax Rate (Q2 TTM) 30.76 % 17.68 % 19.18 % 19.5 %
Effective Tax Rate 5 Yr. Avg. 27.65 % 21.65 % 28.25 % 18.84 %
Note
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