Applied Materials Financial Ratios for Analysis 2009-2024 | AMAT

Fifteen years of historical annual and quarterly financial ratios and margins for Applied Materials (AMAT).

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
2.602.162.543.002.302.703.142.302.442.472.312.253.712.342.93
0.250.310.310.340.360.440.360.300.310.200.220.210.180.030.03
0.340.450.450.520.650.780.570.430.600.250.270.270.220.030.03
46.7046.5147.3244.7243.7245.0044.9941.6740.9242.3639.8338.0041.4638.9028.54
28.8630.2029.8725.3822.9326.8826.7819.8817.5316.755.754.7122.8014.49-7.86
28.8630.2029.8725.3822.9326.8826.7819.8817.5316.755.754.7122.8014.49-7.86
30.8131.9331.5827.5625.4229.6229.5523.4721.3720.8914.9214.3825.1417.69-2.05
29.1029.4729.3624.2222.3826.3225.9618.6016.5415.964.663.6222.6114.53-9.69
25.8625.3125.5321.0418.5218.1923.9415.9014.2611.823.411.2518.319.82-6.08
0.860.960.890.770.770.950.760.740.630.690.620.720.760.870.52
2.472.332.822.442.372.472.763.083.113.343.204.253.623.772.20
5.134.254.665.815.777.196.294.755.555.434.607.156.865.224.09
71.1085.9078.3962.8763.2950.7658.0676.8465.7167.1979.3851.0753.1769.9989.27
41.9453.5148.0834.2132.9444.3837.6423.8518.0913.623.611.5121.8912.45-4.30
55.6480.0167.9652.0058.0893.0863.1951.7438.8029.679.514.6126.5515.86-5.43
22.3124.4122.8016.1914.2217.2318.1211.819.008.142.130.9013.908.57-3.19
31.4436.9733.2722.5820.9325.0024.0216.6412.5710.922.831.1917.9212.12-4.18
19.6314.4513.7311.578.977.088.826.696.566.445.896.046.745.675.29
10.306.165.924.123.443.693.502.300.951.460.511.451.831.280.25
8.995.265.193.662.973.083.182.070.771.270.351.321.671.150.06

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
2.862.802.712.602.302.262.312.162.262.292.512.542.983.103.173.002.862.672.362.302.652.792.722.702.522.602.963.142.912.932.392.302.502.583.002.442.332.762.752.472.412.402.432.312.382.322.422.252.442.372.473.713.132.442.452.342.272.402.572.932.832.772.48
0.250.230.240.250.270.280.290.310.310.320.310.310.310.310.320.340.360.410.350.360.400.390.390.440.440.430.380.360.380.390.290.300.330.340.320.310.160.190.190.200.200.210.210.220.220.220.210.210.190.180.180.180.190.020.030.030.030.030.030.030.030.030.03
0.330.310.320.340.370.400.420.450.450.470.460.450.450.450.470.520.570.760.610.650.650.650.650.780.780.750.620.570.610.650.410.430.490.510.470.600.190.230.240.250.250.260.270.270.280.280.270.270.230.220.230.220.230.030.030.030.030.030.030.030.030.030.03
47.2947.4447.7747.1446.3246.6746.6745.9546.1046.8747.1948.1047.8947.5345.5145.4444.4844.2044.6443.5343.7143.2344.3644.0844.7944.9046.1445.2145.4145.1244.0842.4342.2540.9840.5840.5040.8841.6140.6542.3643.8042.5440.6839.9940.8140.9537.0035.6039.6939.7935.9139.0042.4841.5442.2942.1734.1540.3738.4536.6128.6615.2529.37
28.6528.7729.3329.3228.0528.8229.2329.5529.5130.3331.5132.8932.4928.2924.8527.3725.2123.5525.0423.0222.5221.9324.1923.7026.2628.2228.8928.2327.3226.5124.6223.5721.1317.3515.6817.8615.9017.0419.4218.2017.2616.4515.0710.6112.66-3.452.48-30.3213.7416.108.1816.5024.6523.6525.0924.227.2716.816.2711.30-6.81-28.75-14.71
28.6528.7729.3329.3228.0528.8229.2329.5529.5130.3331.5132.8932.4928.2924.8527.3725.2123.5525.0423.0222.5221.9324.1923.7026.2628.2228.8928.2327.3226.5124.6223.5721.1317.3515.6817.8615.9017.0419.4218.2017.2616.4515.0710.6112.66-3.452.48-30.3213.7416.108.1816.5024.6523.6525.0924.227.2716.816.2711.30-6.81-28.75-14.71
---------------------------------------------------------------
28.9230.0034.3432.3128.1126.8029.1028.8828.5429.8530.7032.7631.9627.6824.0226.5123.6622.1924.1522.3821.9521.4523.6623.2825.8827.5428.1328.0626.1225.6123.5222.4419.9916.1213.9116.7715.0615.9318.5217.5816.3415.5114.389.7611.54-4.561.14-32.3212.8915.237.2615.7224.0023.9725.3224.367.0716.866.4411.37-6.54-37.53-15.20
25.1525.9130.1029.8124.2823.7625.4823.5724.6324.6028.5827.9627.7023.8321.8924.1319.1419.0821.4318.5916.0318.8220.5420.1424.4124.023.9225.8424.7123.2421.4518.5017.9013.0612.6714.1913.2114.9114.7511.3113.2911.1311.559.218.51-6.542.16-31.299.3011.375.3420.8517.0817.0918.8416.224.8811.504.499.05-4.84-25.04-9.97
0.200.210.210.220.210.230.240.250.250.250.250.240.250.230.220.210.210.180.210.200.190.190.200.210.230.250.210.210.200.190.220.230.210.190.170.150.190.180.180.170.180.190.180.170.170.170.130.140.180.180.160.160.200.240.240.260.230.220.180.160.120.100.13
0.640.610.620.620.590.600.590.620.640.660.730.740.780.720.720.660.620.590.660.610.570.550.560.560.620.720.720.770.710.750.800.930.800.750.730.770.850.830.850.830.820.860.850.840.860.880.780.831.020.960.790.780.870.930.941.081.040.810.680.590.460.450.44
1.361.391.431.301.231.201.251.111.321.281.421.241.621.651.701.581.571.511.551.481.501.561.541.621.441.721.931.771.661.491.381.451.521.281.391.361.251.361.491.361.401.461.451.221.691.551.421.351.531.421.391.421.541.411.381.581.461.601.351.250.900.840.91
65.9964.7063.0769.1473.2674.8871.9280.9268.4170.3763.2272.8055.5254.4253.0956.8857.4659.7057.9360.7359.9657.5858.6155.6262.3252.3846.7050.9554.2860.4365.0462.2159.0970.2764.8066.0971.9666.2760.2866.3964.4561.7762.0573.9353.3258.1663.4566.7158.9663.2264.8063.1958.5163.7165.2057.1061.5356.3666.6972.2810010798.68
9.059.4611.5812.2610.3411.1512.7913.0513.3113.2715.0713.9814.2311.099.8510.698.798.3710.308.507.048.129.3911.0614.8915.621.9411.4110.6110.039.158.457.414.873.994.414.124.364.313.253.923.513.492.582.42-1.870.48-7.122.613.321.355.175.575.986.456.211.693.611.161.95-0.78-3.60-1.81
11.4812.1315.0516.2614.1115.6118.3219.5120.0219.1621.5519.7620.2715.8614.3916.2514.1613.8117.4314.9812.5614.4316.6123.1931.8132.733.4519.1618.8918.7618.2918.3417.4612.349.079.478.528.699.017.098.828.288.756.806.69-5.351.46-21.807.298.763.596.276.817.408.127.912.184.681.532.46-0.99-4.58-2.28
5.075.396.406.525.135.416.145.956.146.037.056.637.015.524.855.063.973.464.513.673.043.554.074.295.685.950.845.494.854.524.614.193.692.452.152.192.502.682.661.942.342.092.071.521.43-1.100.29-4.261.642.080.863.283.384.094.494.281.152.530.831.44-0.57-2.62-1.27
6.827.288.829.197.598.049.109.019.169.0210.339.679.807.626.687.065.604.956.675.404.254.935.706.238.378.911.197.286.606.106.505.904.973.232.723.073.453.533.472.613.132.782.752.031.89-1.460.37-5.612.122.711.104.234.535.836.296.051.643.511.131.89-0.76-3.50-1.76
22.8621.9820.9719.6318.0516.8215.8814.4514.0313.3213.4713.7313.3613.1212.5011.5710.489.849.428.978.788.768.657.086.946.998.108.828.187.647.126.696.316.036.346.566.646.786.576.446.316.145.985.895.785.745.956.046.746.796.706.746.496.215.945.675.455.455.325.295.265.325.53
7.334.452.7810.308.485.392.676.165.233.482.965.924.682.811.544.122.701.761.063.442.581.720.863.692.702.001.373.502.841.570.732.301.530.610.180.950.560.290.051.461.130.660.300.510.500.200.011.451.140.600.141.831.300.850.321.280.890.660.280.250.07-0.08-0.14
6.393.862.508.997.534.752.345.264.583.082.805.194.172.461.413.662.421.570.952.972.221.460.733.082.241.691.183.182.641.440.672.071.380.510.120.770.430.200.011.270.990.570.260.350.380.12-0.031.321.040.540.111.671.200.790.301.150.790.590.240.06-0.07-0.17-0.19