Adeia Financial Ratios for Analysis 2009-2024 | ADEA

Fifteen years of historical annual and quarterly financial ratios and margins for Adeia (ADEA).

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
2.021.552.742.435.847.342.543.9219.8113.9710.198.9414.1013.7512.61
0.590.670.350.350.380.440.560.53-------
1.642.420.570.580.610.781.331.15-------
100.00100.00100.00100.0096.9870.9198.3199.7999.7999.8699.8997.8496.4792.7794.33
35.0434.8730.4351.84-24.535.90-8.4334.4459.3559.43-3.7123.435.4533.4539.29
35.0434.8730.4351.84-24.535.90-8.4334.4459.3559.43-3.7123.435.4533.4539.29
60.6515390.1485.7113.5534.2523.4549.2367.4866.6624.7542.7337.4442.1546.49
20.5725.0118.6143.51-29.661.70-15.6134.9560.6159.99-2.9926.146.5634.3241.13
17.33-67.41-14.1828.45-22.33-0.07-15.1321.6142.8261.14-109.92-14.41-8.1119.0323.31
0.350.360.160.190.270.330.340.220.510.480.350.300.330.420.49
-----------3.005.3411.7610.80
3.393.324.302.081.921.8013.413.8315362.2653.8018.0927.6725.5529.25
10811084.8117619020327.2295.322.385.866.7820.1813.1914.2912.48
18.8945.915.0716.53-11.75-0.29-12.9811.0522.7332.32-9.295.410.208.6312.20
-22.15-31.1214.20-59.9187.771.8514.81-13.4528.5737.35-11.396.740.2510.9215.54
6.0911.432.758.88-6.11-0.14-5.104.7321.7130.31-8.444.930.188.0611.32
7.6915.033.2810.67-7.28-0.16-5.775.1722.7332.32-9.295.410.208.6312.20
3.322.8712.9913.8510.9912.778.8710.3910.2410.258.2412.2913.0013.1411.48
1.351.702.195.103.452.772.993.072.802.51-0.900.481.542.102.32
1.321.592.065.013.272.702.932.992.783.05-0.91-0.141.471.942.01

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.423.002.232.022.682.332.121.552.462.742.712.742.492.892.902.432.482.547.255.848.097.588.467.347.367.927.132.543.153.233.303.9224.3421.8622.1819.8119.5519.7620.9213.9710.799.099.8610.1912.4010.029.318.9411.9812.7514.9914.1017.6219.3419.5513.7512.8013.5612.3212.6111.439.725.63
0.570.590.590.590.630.650.650.670.430.340.350.350.350.340.350.350.430.420.370.380.410.400.420.440.470.460.440.560.570.560.540.53-------------------------------
1.391.491.561.641.791.942.012.420.810.550.560.570.560.550.580.580.780.750.600.610.680.660.740.780.890.840.791.331.331.271.171.15-------------------------------
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0085.1687.9087.3017883.2092.9798.6597.5597.4096.6396.1046.7793.0996.7596.4598.4798.1298.5797.9299.5599.8499.9299.8599.6899.9199.7499.8299.7499.8799.7499.9998.5197.7298.0996.8596.3496.5896.3787.6687.6290.5792.4291.8793.4193.3192.2491.9291.0994.0493.7396.42
32.6627.0723.2226.7839.5621.3046.9932.1817.5232.2050.1418.921.795.964.69484-9.35-12.8720.84-5.38-44.11-11.07-53.0350.83-27.31-43.17-49.5818.95-11.21-6.21-59.32-7.8555.4050.9643.6154.1058.9957.3765.3078.3866.422.5863.1530.24-2.56-10.03-61.71-39.186.947.98-22.794.12-79.2423.4723.8031.5839.0534.8027.0820.0730.0730.0359.11
32.6627.0723.2226.7839.5621.3046.9932.1817.5232.2050.1418.921.795.964.69484-9.35-12.8720.84-5.38-44.11-11.07-53.0350.83-27.31-43.17-49.5818.95-11.21-6.21-59.32-7.8555.4050.9643.6154.1058.9957.3765.3078.3866.422.5863.1530.24-2.56-10.03-61.71-39.186.947.98-22.794.12-79.2423.4723.8031.5839.0534.8027.0820.0730.0730.0359.11
---------------------------------------------------------------
19.5112.967.9010.8525.594.5734.7818.054.5423.8544.298.20-1.68-2.140.23460-14.82-23.5417.71-9.24-52.89-12.93-60.7848.22-33.67-49.37-54.4113.44-18.71-13.69-68.85-9.4956.7952.1544.9556.1460.1158.5766.1179.1366.783.7463.5230.74-2.13-9.39-60.09-38.1513.119.67-21.365.21-78.0824.5024.7032.7339.9235.3927.8921.9730.9631.7961.52
22.439.601.0814.6223.901.7124.7471.38-435.55-5.2218.01-16.23-20.54-0.502.39311-14.67-16.4316.43-17.69-26.98-7.75-44.3440.51-30.09-44.18-50.384.46-13.69-42.77-16.40-13.2638.1535.0430.1636.8948.2040.6844.5861.8911610.1323.66-96.12-190.46-33.94-155.89-43.33-1.84-0.70-17.334.65-75.3916.3816.5416.7923.1720.0915.2911.2618.3519.0134.45
0.080.080.080.080.090.070.100.090.040.040.060.040.090.090.080.020.080.050.110.090.060.070.050.170.060.050.050.110.080.080.060.060.120.130.120.110.120.110.140.100.170.080.180.120.070.070.040.070.080.080.070.080.080.090.090.110.120.110.100.090.110.110.20
----------------------------------------------0.891.160.630.773.524.463.383.023.462.862.853.102.943.202.943.002.76
0.590.760.760.760.800.791.020.780.380.430.620.990.940.890.880.230.730.450.750.620.350.380.270.910.400.330.294.543.121.901.651.0323.6541.3418.4934.6684.819.2116.2713.3835.0615.0534.3517.9514.9220.835.674.104.2910.695.896.607.209.958.246.829.336.619.515.524.844.3910.60
15211811811911311488.1411523820914491.2095.8210110238712320212014526123533599.4522527431319.8128.8747.4254.6686.993.812.184.872.601.069.775.536.732.575.982.625.016.034.3215.8721.9320.988.4215.2713.6412.499.0410.9213.209.6513.629.4616.3218.5820.498.49
5.112.330.263.567.050.449.0024.46-0.651.124.120.64-3.38-0.130.3218.93-2.37-1.713.34-3.01-2.85-1.07-4.3213.15-4.02-4.95-5.411.30-2.78-8.55-2.22-1.834.724.833.684.436.264.776.546.7119.980.627.361.60-6.59-0.43-1.88-1.980.630.25-1.220.39-6.681.641.632.032.952.431.661.112.182.237.96
-8.30-3.16-0.31-4.17-7.19-0.38-7.26-16.581.97-6.50-20.371.8013.470.58-1.25-68.615.394.17-55.4122.5121.477.3125.44-85.2411.0114.6818.36-1.482.989.422.742.235.575.834.495.577.665.457.517.7523.370.778.961.96-8.04-0.52-2.28-2.470.780.31-1.530.50-7.672.022.042.573.713.072.091.412.772.8510.20
1.780.780.081.152.160.132.526.09-0.290.612.250.35-1.84-0.070.1710.17-1.14-0.841.78-1.57-1.54-0.57-2.236.58-1.91-2.41-2.690.51-1.10-3.47-0.96-0.784.544.633.534.245.984.556.266.2918.450.566.671.45-6.13-0.40-1.73-1.810.580.23-1.140.37-6.291.551.551.902.732.261.541.032.002.036.85
2.200.960.101.452.630.163.118.01-0.370.732.690.42-2.20-0.090.2012.22-1.36-1.002.09-1.87-1.69-0.64-2.497.39-2.13-2.69-3.030.58-1.20-3.78-1.03-0.864.724.833.684.436.264.776.546.7119.980.627.361.60-6.59-0.43-1.88-1.980.630.25-1.220.39-6.681.641.632.032.952.431.661.112.182.237.96
3.463.303.233.323.213.033.042.879.3213.0413.0412.9913.1213.7113.7013.8512.1712.4811.1210.9911.3611.7311.9512.7711.1311.6712.408.878.859.2310.0610.3910.3910.009.9910.2410.3210.3610.3410.259.767.728.528.249.5110.8411.3812.2912.7712.9012.8213.0013.0013.8213.4313.1412.7712.2711.7911.4811.2110.7510.20
0.930.810.601.351.000.820.561.611.360.830.442.221.580.790.255.101.200.970.653.452.111.400.282.771.400.800.092.991.730.930.393.072.261.470.602.802.151.320.722.512.030.810.63-0.89-1.16-0.81-0.550.480.450.41-0.021.541.230.980.432.101.781.060.582.322.031.651.78
0.920.800.591.320.990.800.561.501.240.740.402.091.500.740.235.011.180.950.643.271.951.270.272.701.350.760.082.931.680.890.372.992.201.420.562.782.131.310.713.052.150.790.61-0.89-1.11-1.01-0.72-0.140.210.28-0.061.471.210.980.421.941.630.920.542.011.781.471.66