Autodesk Financial Ratios for Analysis 2009-2024 | ADSK

Fifteen years of historical annual and quarterly financial ratios and margins for Autodesk (ADSK).

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
2024202320222021202020192018201720162015201420132012201120102009
0.820.840.690.810.830.700.881.131.881.912.652.451.991.971.961.73
0.550.670.730.631.091.111.190.600.480.250.250.27----
1.231.993.101.70-14.99-9.90-6.202.030.920.330.330.36---0.04
90.7090.4190.4791.1190.0888.8785.2583.1785.2086.3887.9489.6989.6689.9388.8190.54
20.5219.7614.0916.6010.48-0.97-24.75-24.600.054.8012.5213.2316.0513.913.8310.56
20.5219.7614.0916.6010.48-0.97-24.75-24.600.054.8012.5213.2316.0513.913.8310.56
23.0522.7617.4619.8714.362.73-19.48-17.755.8710.6118.1918.7621.2619.3111.5620.09
20.6718.9012.8814.439.00-1.66-27.10-25.79-0.813.3012.3113.4116.3813.944.9410.91
16.4816.4411.3331.876.55-3.14-27.56-28.66-13.203.2610.0610.7012.8810.863.387.93
0.550.530.510.520.530.540.500.420.450.510.490.540.690.700.700.96
----------------
6.285.216.135.895.025.424.694.493.835.475.374.675.616.136.187.32
58.1770.0859.5961.9372.7167.3777.7781.2895.2766.6768.0178.1665.0959.5459.0849.90
48.8471.8858.54125-154.2138.31221-79.35-20.413.6910.1212.1115.1513.173.9414.01
-41.11-28.51-15.30-62.26-8.082.9229.7966.66-2,394.9612.0919.2522.5825.5721.246.8828.03
9.148.725.7716.593.47-1.71-13.78-12.13-5.991.674.985.748.847.612.377.58
21.8924.0215.8946.4114.34-4.31-42.62-31.89-10.642.767.618.8715.1513.173.9414.01
8.675.333.894.40-0.63-0.96-1.173.337.229.789.989.148.347.096.445.79
6.089.506.906.476.361.720.000.761.833.052.452.412.462.311.062.58
5.949.326.646.066.121.42-0.230.421.512.722.172.172.192.190.932.24

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
0.640.690.820.750.730.720.840.730.640.620.690.810.500.480.810.830.840.790.830.600.560.640.700.800.830.920.881.071.221.041.131.461.591.781.882.102.211.841.912.062.122.322.652.662.552.562.451.752.112.181.992.092.152.111.972.001.961.961.962.051.921.911.73
0.450.510.550.610.650.720.670.720.750.770.730.670.550.590.630.960.961.091.091.151.161.141.111.271.181.091.190.940.830.680.600.580.530.510.480.460.440.250.250.250.250.250.250.260.270.260.27----------------
0.921.061.231.541.892.541.992.903.553.863.102.051.231.451.7023.6224.31-11.76-14.99-10.14-9.46-8.00-9.90-4.69-6.57-12.34-6.2014.785.022.942.031.401.121.040.920.860.780.340.330.330.330.330.330.350.360.360.360.05-------------0.000.04
90.7090.3391.1591.0290.5689.9990.5990.6390.3890.0090.7590.4190.0090.7091.2991.2191.1490.7590.7590.5790.0288.7689.5689.0688.5988.0786.8084.9685.1383.9082.6983.3584.5581.9585.3684.8384.7485.8086.5386.0886.2086.7287.7487.9187.9388.1789.7889.4389.4890.0190.2989.1489.4989.6790.8389.8389.7689.1990.2789.2187.9287.7290.10
22.7921.1021.4423.6219.4817.1021.0220.0019.5618.2911.8117.1413.9613.5517.7417.6416.0014.7514.8813.129.263.375.472.22-4.04-9.88-32.85-19.41-21.44-24.62-34.90-24.49-11.42-29.24-1.50-2.470.713.332.112.367.837.128.8112.2714.8814.2713.946.2816.3415.9715.5016.4417.3914.8813.5714.5216.8810.7012.286.310.65-4.56-27.32
22.7921.1021.4423.6219.4817.1021.0220.0019.5618.2911.8117.1413.9613.5517.7417.6416.0014.7514.8813.129.263.375.472.22-4.04-9.88-32.85-19.41-21.44-24.62-34.90-24.49-11.42-29.24-1.50-2.470.713.332.112.367.837.128.8112.2714.8814.2713.946.2816.3415.9715.5016.4417.3914.8813.5714.5216.8810.7012.286.310.65-4.56-27.32
---------------------------------------------------------------
23.3921.8122.9422.6319.1817.4221.0218.9118.7616.678.8416.7013.1113.2516.5016.3914.1310.2213.7111.448.351.174.481.74-3.83-11.39-35.81-21.58-25.19-24.99-35.13-26.41-13.26-29.95-3.16-3.750.153.37-1.071.886.736.019.6012.4614.5612.7314.196.2616.1916.5615.6816.6417.2415.9913.8315.0416.909.9912.877.683.23-4.56-27.68
18.7417.7819.2017.0416.5112.6922.2315.4715.0412.487.3512.1710.8515.7787.7113.8810.757.5114.667.925.05-3.298.78-3.59-6.44-14.72-31.33-23.25-28.70-26.68-36.22-29.17-17.83-32.76-5.74-7.30-44.072.951.731.734.914.789.1910.3710.989.7512.285.3711.3613.4012.1513.2713.0313.1211.6711.2412.677.7810.987.082.53-7.54-21.50
0.150.140.150.150.150.140.140.150.150.140.140.130.140.140.140.160.160.160.150.170.160.150.160.180.160.140.130.120.120.110.100.100.110.100.120.110.110.140.140.130.140.130.130.130.130.130.140.160.170.180.180.180.180.180.190.180.190.190.190.180.180.190.20
---------------------------------------------------------------
3.744.011.682.443.353.831.371.992.853.051.691.942.963.031.621.761.862.481.381.622.292.741.552.142.612.711.261.671.892.101.061.881.792.000.991.661.552.051.451.641.741.831.381.831.852.001.231.871.571.961.502.121.841.951.661.992.052.181.641.931.851.861.55
24.0422.4253.6736.8526.9023.4865.6245.1431.5829.5453.2146.3830.3829.6855.7251.0748.3136.2365.2855.5739.2432.8157.9042.0834.4933.2371.2153.7647.6442.9085.0247.7650.1645.0890.7454.3658.1943.9962.1454.7151.6049.1165.0149.3048.6945.0973.4248.1757.1945.9660.0342.5248.9346.1754.3045.3343.9741.3654.7446.5748.5748.3258.16
11.4011.6615.2016.2618.4117.9525.5921.8525.1421.4410.4810.708.6613.8294.37191146-47.81-94.75-38.89-20.699.87-30.687.0116.3164.0767.77-111.65-45.64-25.51-23.64-13.46-7.37-11.68-2.30-2.53-14.120.860.520.471.371.242.382.663.012.673.651.463.153.863.823.983.983.963.833.443.932.443.402.060.76-2.42-8.03
-11.81-9.91-12.79-9.51-7.81-5.11-10.15-6.40-5.60-4.24-2.74-4.90-4.19-6.17-46.96-5.33-4.00-2.52-4.96-2.48-1.480.87-2.341.182.054.699.127.9311.0211.7419.8625.9429.5578.15-269.57-30.85-75.642.881.701.534.263.024.544.865.694.976.802.635.216.136.456.726.406.406.175.706.614.135.953.631.38-4.57-16.08
2.832.562.852.612.441.783.102.292.261.771.031.611.552.1412.522.221.711.202.131.320.83-0.501.37-0.63-1.03-2.11-4.22-2.89-3.31-2.92-3.61-2.96-1.95-3.22-0.67-0.84-5.030.400.230.230.670.611.171.331.461.301.730.861.912.382.232.422.392.392.212.082.371.482.051.270.45-1.41-4.35
6.325.676.816.406.365.068.556.216.164.932.853.513.885.6435.017.755.764.448.815.963.36-1.413.45-1.90-2.93-5.65-13.05-7.08-7.58-8.10-9.50-5.60-3.48-5.73-1.20-1.36-7.930.640.390.351.030.931.791.982.211.962.671.463.153.863.823.983.983.963.833.443.932.443.402.060.76-2.42-8.03
11.5110.008.676.935.644.195.334.203.433.133.895.826.045.134.400.320.31-0.63-0.63-0.78-0.88-1.12-0.96-1.54-1.11-0.59-1.170.491.442.313.334.776.006.397.227.698.419.779.789.9710.0510.049.989.589.209.279.148.989.048.908.348.067.827.587.096.846.716.606.446.236.035.825.79
3.252.286.084.063.993.359.505.353.171.986.903.642.421.516.473.511.881.486.363.231.981.011.720.300.12-0.080.00-0.36-0.120.210.760.690.660.731.831.080.720.373.051.951.360.942.451.671.270.982.411.761.060.602.461.731.100.542.311.571.070.591.060.520.320.122.58
3.182.245.943.963.923.319.325.203.061.936.643.422.261.426.063.201.671.396.123.051.850.941.420.07-0.05-0.15-0.23-0.54-0.240.170.420.400.470.631.510.900.590.322.721.691.220.882.171.431.080.862.171.560.940.552.191.520.930.442.191.491.020.570.930.390.220.062.24