Advanced Energy Industries Financial Ratios for Analysis 2009-2024 | AEIS

Fifteen years of historical annual and quarterly financial ratios and margins for Advanced Energy Industries (AEIS).

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
5.103.023.143.312.715.155.614.613.103.353.414.334.283.546.03
0.440.250.300.270.32----------
0.800.350.450.400.50-----0.03----
35.7836.6036.5638.2740.0150.8653.1152.3452.2851.2048.6337.1239.7043.3630.76
6.8712.6310.4212.436.8923.8629.9226.2325.7123.4415.986.069.5314.19-60.02
6.8712.6310.4212.436.8923.8629.9226.2325.7123.4415.986.069.5314.19-60.02
10.8815.9014.0515.8110.2125.7531.3227.8427.8426.2818.329.9912.3416.53-15.36
7.4013.1010.2111.178.5223.9829.5426.4825.4223.4116.146.609.7714.67-58.84
7.7510.829.259.518.2320.4520.5526.35-38.2112.7910.724.557.0315.50-63.46
0.650.930.800.860.510.880.920.850.900.540.460.840.970.910.47
3.163.112.733.952.063.614.014.133.773.891.403.493.883.353.92
5.866.146.145.903.157.007.566.276.483.932.205.093.533.653.22
62.2659.4759.4761.8711652.1248.2658.2256.3192.9316671.77103100113
11.4318.9315.4616.588.3424.2326.1429.8331.6714.6312.865.189.0514.33-36.58
18.7133.9126.9530.9719.4632.6631.4136.3344.7117.7820.797.1311.6119.33-36.58
5.1110.137.418.203.6918.0218.5620.4618.0510.159.143.766.9110.61-29.50
6.4114.2210.8312.075.6624.2326.1429.8331.6714.6312.865.189.0514.33-36.58
30.6628.4923.1821.2917.6615.9113.159.876.6311.6911.4710.269.718.636.62
5.534.873.665.221.263.844.552.982.551.880.872.810.870.420.22
3.923.312.984.280.603.334.322.812.451.790.802.600.44-0.010.09

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
4.625.475.615.105.323.803.153.022.732.803.233.143.012.933.183.312.912.712.842.712.475.835.125.154.695.075.145.615.945.144.874.614.413.923.623.102.762.533.563.352.952.853.293.413.082.724.734.334.134.324.734.284.214.133.983.542.982.915.736.037.629.368.74
0.330.430.440.440.450.230.240.250.270.280.290.300.310.250.260.270.290.300.320.320.33-----------------------------------------0.00
0.480.780.800.800.840.320.340.350.380.410.430.450.470.360.380.400.420.460.490.500.52--------------------0.010.030.030.030.03----------------0.00
35.8335.0034.4535.2535.9435.4036.4936.2337.0436.7736.3135.2134.6837.3739.1139.2339.4838.3435.5833.2041.9647.5746.7148.7749.4251.6452.9854.7852.2452.5452.7852.8452.2552.2451.8849.1253.3352.0553.9751.3333.4935.9237.3638.5539.3438.1237.4234.1238.9137.8137.5734.5738.0140.0845.0743.5543.0544.5141.9141.7131.8921.9719.58
-2.953.550.213.407.337.189.4211.8415.0311.9711.2410.636.9911.3712.5715.0415.1410.448.186.565.368.168.3812.6923.0328.5828.6832.4029.2628.8028.9728.4827.1525.5422.9218.6127.4926.4928.8025.976.447.8712.0013.12-1.08-8.286.904.878.469.780.59-2.758.3112.5417.6916.1215.8213.088.375.43-12.95-42.71-248.21
-2.953.550.213.407.337.189.4211.8415.0311.9711.2410.636.9911.3712.5715.0415.1410.448.186.565.368.168.3812.6923.0328.5828.6832.4029.2628.8028.9728.4827.1525.5422.9218.6127.4926.4928.8025.976.447.8712.0013.12-1.08-8.286.904.878.469.780.59-2.758.3112.5417.6916.1215.8213.088.375.43-12.95-42.71-248.21
---------------------------------------------------------------
-3.895.142.314.008.427.769.2911.2916.7612.7011.0210.817.1410.3612.4213.3613.459.977.075.136.1419.698.9113.2723.2628.3328.6932.7129.3528.7526.8228.5427.1126.2423.2716.7026.8326.7629.5926.196.017.8911.9313.14-0.96-8.526.725.038.5111.320.98-2.118.1112.6018.1816.3816.6813.308.936.35-11.79-40.72-247.34
-3.984.121.599.257.986.537.278.9114.3710.209.259.996.079.8011.0011.2811.718.575.733.034.3523.5010.9212.5920.0923.6523.76-16.5147.4927.7625.1332.7223.9925.7121.6241.7414.97-213.9419.438.468.597.2810.4422.520.48-7.006.104.294.887.721.01-2.465.139.8313.7321.1314.1513.608.922.81-19.40-50.82-244.47
0.170.140.130.160.160.210.210.250.260.230.220.220.190.200.210.230.240.210.210.220.110.160.160.190.210.230.240.240.240.250.240.240.230.240.220.190.210.210.160.160.210.210.210.230.230.230.200.210.230.230.210.210.230.250.260.290.280.220.200.160.140.100.10
0.640.620.590.780.720.680.670.830.790.700.700.760.660.760.861.020.920.810.860.980.420.760.760.810.790.860.951.031.151.041.091.141.080.990.860.840.710.670.511.160.800.790.810.850.700.850.880.910.820.890.790.920.860.820.841.081.200.980.851.110.810.620.57
1.441.391.321.431.521.611.461.631.681.631.601.671.451.401.451.551.541.411.461.350.691.381.351.501.511.791.642.022.172.641.921.751.641.751.531.361.131.050.831.181.131.160.961.121.021.011.121.271.071.070.890.770.931.051.051.181.211.281.091.081.170.980.92
62.3964.7268.0262.7259.3556.0561.7555.1453.5255.2856.3253.7962.1864.3762.0058.2258.5063.6861.5166.7313065.1766.7359.9359.6350.3154.8144.5641.4834.1046.9751.3054.9851.5658.9866.2979.3085.5310876.4179.3277.5393.9580.1187.9089.3780.3570.8083.7784.4810111797.0985.4685.4476.2674.5670.5082.6983.4476.9792.1398.14
-1.221.340.513.313.062.442.904.257.564.854.094.562.504.054.545.135.934.082.681.551.103.562.473.175.867.798.03-5.5715.289.458.1610.318.188.476.994.368.478.845.304.912.642.293.097.400.17-2.441.691.251.522.390.20-0.641.693.254.735.285.203.691.710.76-3.06-5.75-27.95
-1.962.180.825.425.174.125.037.6214.5410.136.877.954.547.238.199.5911.618.696.033.613.044.713.294.277.969.129.49-6.6918.2011.089.7312.5610.3311.039.546.1511.9412.9110.165.976.224.995.4711.960.28-4.392.271.721.963.140.25-0.822.154.196.237.127.315.391.750.76-3.13-5.88-28.55
-0.650.610.231.481.351.411.582.283.792.392.012.191.152.002.262.542.781.841.210.680.452.701.802.354.225.565.70-3.9611.626.825.757.085.395.404.232.484.544.503.693.411.761.512.215.260.11-1.591.240.911.101.780.15-0.491.302.493.603.913.542.491.370.61-2.62-5.03-24.62
-0.820.760.281.861.681.872.203.195.553.482.903.191.733.033.353.744.232.841.831.050.743.562.473.175.867.798.03-5.5715.289.458.1610.318.188.476.994.368.478.845.304.912.642.293.097.400.17-2.441.691.251.522.390.20-0.641.693.254.735.285.203.691.710.76-3.06-5.75-27.95
30.9130.9330.5330.6629.5329.8929.2028.4926.4724.7324.0023.1822.2822.8422.0521.2920.0918.7417.9317.6617.2217.1316.2715.9115.4915.1814.6013.1513.8412.1510.929.878.948.117.256.636.716.3511.8411.6911.6311.6611.6011.4710.3810.1110.3210.2610.009.769.739.719.749.539.128.637.807.196.736.626.516.556.81
1.280.370.195.533.301.390.794.873.001.260.263.662.762.271.405.223.491.740.741.260.760.430.143.842.912.160.834.553.312.491.002.981.951.090.302.581.741.300.701.891.421.140.160.85-0.11-0.250.012.812.411.640.840.870.610.310.060.42-0.38-0.09-0.270.22-0.01-0.030.02
0.11-0.46-0.253.922.060.500.363.311.950.59-0.092.982.211.901.174.282.841.400.580.600.350.240.083.332.481.920.734.323.172.410.972.811.841.020.262.481.671.260.691.801.301.060.120.79-0.28-0.34-0.022.602.291.590.760.440.270.11-0.04-0.01-0.54-0.16-0.290.09-0.07-0.060.01