Amkor Technology Financial Ratios for Analysis 2009-2024 | AMKR

Fifteen years of historical annual and quarterly financial ratios and margins for Amkor Technology (AMKR).

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
2.311.991.701.621.891.441.251.401.291.711.781.671.551.381.54
0.210.230.250.300.400.400.420.510.550.570.620.700.650.660.78
0.300.330.380.490.730.720.791.051.301.351.712.321.922.143.68
14.5018.7519.9717.8416.0316.4618.0918.0716.6117.6718.4215.3617.6722.5822.05
7.2312.6512.449.055.755.989.647.865.717.087.855.536.9812.7210.34
7.2312.6512.449.055.755.989.647.865.717.087.855.536.9812.7210.34
17.0021.3421.6619.2018.7319.2623.5022.0322.9022.0021.8319.0919.2023.8824.58
6.8312.0811.657.663.944.307.315.852.354.354.191.963.358.545.81
5.5310.8010.486.702.982.946.264.471.774.133.701.523.297.887.16
0.961.041.021.010.860.960.930.960.720.860.860.911.001.070.90
14.149.1510.1313.9615.4315.6416.1312.0110.1011.5312.0310.2711.5211.9110.95
5.665.194.885.254.765.965.276.985.486.667.676.858.527.166.28
64.5270.2874.8569.5776.6261.2669.2652.3366.5754.7847.6053.2842.8250.9558.11
9.0620.7321.7214.476.166.9815.5712.734.4311.7811.576.4013.2836.4640.10
9.1120.8521.9014.636.247.0815.8012.954.5111.7811.576.4513.4437.2541.16
5.3511.2410.696.782.612.885.944.371.343.673.261.413.368.486.42
7.1516.0216.3110.143.724.229.046.281.985.024.371.934.6812.549.01
16.2515.1012.179.698.267.757.195.885.144.784.454.384.163.472.13
5.144.464.563.182.352.772.583.062.472.602.371.601.891.920.99
2.140.791.400.910.420.500.870.530.23-0.270.08-0.580.240.350.18

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.082.342.311.951.902.081.991.791.661.811.701.481.411.611.621.651.832.061.891.681.461.361.441.381.261.281.251.161.151.441.401.381.311.301.291.471.611.721.711.371.531.731.781.651.731.701.671.601.371.531.551.471.631.441.381.261.361.491.541.592.011.73
0.190.200.210.200.210.220.230.220.230.260.250.240.260.280.300.350.400.400.400.390.380.400.400.410.410.420.420.440.450.510.510.540.550.550.550.540.560.560.570.570.580.620.620.630.640.700.700.710.660.650.650.620.610.590.660.680.720.750.780.820.870.87
0.270.290.300.280.300.320.330.320.340.400.380.370.410.440.490.590.730.740.730.690.711.010.720.750.750.770.790.861.031.081.051.181.291.231.301.201.271.311.351.361.411.671.711.781.832.332.322.472.041.921.921.741.691.632.142.382.903.293.684.736.886.97
14.5314.7715.9315.5212.8213.2117.5420.2216.5620.3721.0119.3219.4020.0220.3117.8116.4016.3918.9216.8113.7913.4916.8717.5415.9315.3919.5019.4917.5115.1522.8819.6914.3514.1515.3017.2415.6218.1714.0718.8519.6418.5119.8918.3618.5516.7215.6016.8013.0116.0316.3516.5218.8819.0521.2323.7123.9221.2126.2725.0920.2112.36
5.585.369.069.145.244.6711.8115.329.4913.1514.6412.5811.0310.8911.619.417.387.2910.057.282.511.506.978.105.063.529.489.1817.122.0413.3910.553.332.543.126.995.257.274.699.257.946.529.887.557.835.985.877.773.205.246.395.958.147.5211.4914.8413.4510.6816.4514.257.88-3.13
5.585.369.069.145.244.6711.8115.329.4913.1514.6412.5811.0310.8911.619.417.387.2910.057.282.511.506.978.105.063.529.489.1817.122.0413.3910.553.332.543.126.995.257.274.699.257.946.529.887.557.835.985.877.773.205.246.395.958.147.5211.4914.8413.4510.6816.4514.257.88-3.13
--------------------------------------------------------------
5.585.278.658.915.073.8111.0014.889.0512.5814.0211.8410.139.9310.198.025.896.028.535.87-0.35-0.145.346.264.111.247.617.1115.22-1.7012.727.850.950.17-1.905.980.993.971.537.365.592.926.974.562.502.581.394.62-0.442.282.364.032.624.388.1011.177.716.8012.598.142.21-4.86
4.584.316.717.284.413.088.6214.698.2910.6912.5510.768.949.039.246.814.735.548.414.99-1.06-2.562.624.953.060.938.705.1611.80-1.6410.575.530.51-0.10-1.893.780.993.871.455.796.432.955.413.303.981.951.003.200.081.803.593.702.113.786.689.837.886.8613.1813.121.82-5.68
0.210.200.260.270.220.220.280.310.240.260.290.290.250.260.270.260.230.240.250.250.210.180.240.250.240.230.260.260.230.220.260.260.220.220.170.200.200.200.230.220.210.200.220.220.220.220.240.220.240.230.250.260.240.250.270.280.280.260.270.250.220.18
3.293.523.753.222.382.252.502.481.972.462.813.043.033.453.683.713.204.054.334.163.553.403.904.143.693.794.332.942.812.863.043.203.123.152.382.922.832.673.282.873.002.883.022.822.622.432.682.652.902.682.882.762.562.903.092.973.133.053.173.243.423.09
1.271.251.521.291.221.261.401.341.291.331.371.301.321.401.421.371.311.311.391.351.271.311.491.431.341.401.441.661.671.651.881.721.581.621.271.791.681.721.821.681.681.711.961.771.791.801.791.861.851.792.101.981.881.801.831.701.761.691.921.781.801.67
70.6972.1059.0669.7373.9971.2764.4766.9769.9167.6965.6969.0568.1264.4763.1965.8568.9668.7664.9766.6870.6268.8860.3062.7467.2064.5162.4554.1953.9454.6248.0052.2956.8855.7170.6150.2853.5752.4749.5553.5253.4652.6045.9750.8650.2050.0350.1648.3948.6550.2242.8845.4847.7849.8849.2053.0251.2553.2546.7750.6649.9953.76
1.651.482.983.441.711.214.438.713.895.487.316.594.904.875.394.182.653.135.022.89-0.49-1.241.563.141.870.585.883.827.86-0.998.024.560.42-0.03-1.012.380.682.551.194.264.622.144.312.803.372.031.153.420.131.643.653.581.853.377.9713.4911.8610.1422.5526.094.14-10.45
1.651.492.993.461.721.224.468.763.915.527.376.654.944.935.464.232.693.175.082.93-0.50-1.251.583.191.900.595.973.887.99-1.018.164.660.43-0.03-1.032.380.682.551.194.264.622.144.312.813.392.051.163.450.131.653.693.621.873.438.1513.8612.2810.3523.1427.114.40-11.22
0.980.891.761.980.970.692.404.581.962.753.603.152.272.382.531.811.101.342.131.24-0.21-0.470.641.270.760.232.241.372.74-0.332.751.440.13-0.01-0.310.780.220.820.371.281.400.601.210.750.890.450.250.720.030.410.920.950.510.951.852.782.191.753.613.330.41-1.03
1.341.182.352.771.360.943.426.782.984.065.494.993.613.513.782.731.601.883.031.77-0.31-0.740.941.851.110.343.422.144.34-0.483.962.120.19-0.01-0.451.080.301.120.511.811.930.821.631.031.220.610.351.000.040.581.291.370.721.372.744.323.282.545.074.740.55-1.37
16.5816.3716.2515.7815.3215.1815.1014.3713.1912.7912.1711.3010.5910.109.699.198.788.548.267.887.647.657.757.617.407.307.196.626.395.905.885.645.365.255.145.084.944.914.784.784.624.574.454.294.164.444.384.334.214.224.164.103.963.883.473.172.712.372.131.701.231.15
1.560.665.142.821.710.714.462.221.880.684.562.571.860.723.181.791.000.402.351.180.710.222.771.780.860.622.581.730.830.433.062.061.150.582.471.820.960.702.601.710.990.562.371.600.850.421.601.200.860.221.891.350.840.431.921.300.670.370.990.560.13-0.35
0.520.282.140.750.570.320.79-0.110.500.031.400.580.750.270.910.660.460.180.42-0.15-0.40-0.630.50-0.21-0.76-0.340.870.560.250.070.530.10-0.35-0.260.230.350.160.26-0.27-0.150.030.160.080.000.010.05-0.58-0.39-0.54-0.260.240.240.090.020.350.330.170.130.180.16-0.14-0.58