Amazon Financial Ratios for Analysis 2009-2024 | AMZN

Fifteen years of historical annual and quarterly financial ratios and margins for Amazon (AMZN).

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
1.050.941.141.051.101.101.041.041.051.121.071.121.171.331.33
0.220.320.260.250.270.350.470.290.380.430.250.270.030.19-
0.290.460.350.340.380.540.890.400.610.770.330.380.030.23-
46.9843.8142.0339.5740.9940.2537.0735.0933.0429.4827.2324.7522.4422.3522.57
6.412.385.305.935.185.332.313.082.090.201.001.111.794.114.61
6.412.385.305.935.185.332.313.082.090.201.001.111.794.114.61
14.8810.5412.6212.4512.9511.928.769.057.965.535.374.644.055.776.15
6.53-1.158.126.264.984.842.142.861.47-0.120.680.891.944.384.74
5.29-0.537.105.534.134.331.711.740.56-0.270.37-0.061.313.373.68
1.091.111.121.201.251.431.351.631.651.631.851.881.901.821.77
9.158.408.349.808.088.106.987.707.007.567.317.627.478.308.74
11.0012.1314.2815.7313.4813.9613.5116.3118.9315.8615.6216.0118.7021.5524.81
33.1830.0825.5523.2027.0826.1427.0122.3819.2923.0223.3722.8019.5216.9414.71
15.07-1.8624.1322.8418.6723.1310.9512.294.45-2.242.81-0.488.1316.7817.16
16.99-2.1627.1527.2124.5034.7321.1215.306.19-3.253.86-0.6910.8820.8922.42
5.76-0.597.936.645.146.192.312.840.92-0.440.68-0.122.506.136.53
11.69-1.2817.8417.0313.5615.025.788.792.76-1.272.12-0.357.8813.6717.16
19.4414.2613.599.286.234.432.862.021.421.151.060.900.850.760.59
8.104.594.506.483.823.071.861.781.260.740.590.460.420.380.37
3.51-1.14-0.883.042.561.940.841.080.780.210.220.040.230.280.33

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
1.091.101.071.050.980.950.920.940.940.950.961.141.121.201.051.051.111.181.081.101.101.101.091.101.081.071.061.041.031.011.061.041.061.091.081.051.081.101.121.120.891.001.051.071.071.111.141.121.041.081.161.171.331.401.461.331.501.551.531.331.401.461.40
0.170.190.210.220.250.270.300.320.300.310.260.260.290.300.240.250.280.310.260.270.280.310.330.350.390.410.440.470.500.250.260.290.320.330.360.380.400.410.430.430.230.230.230.250.250.260.270.270.260.250.260.030.230.220.200.190.030.020.02-0.030.030.02
0.210.230.270.290.330.370.430.460.430.440.350.350.420.440.310.340.400.450.360.380.400.440.480.540.630.700.780.891.000.330.350.400.460.500.560.610.660.700.760.770.300.290.300.330.330.350.360.380.350.340.350.030.300.270.250.230.030.020.02-0.030.030.03
49.0350.1449.3245.5447.5748.3846.7742.6044.7145.2142.8939.7243.2143.2542.5036.8540.6040.7741.3438.2740.9842.6943.1838.1341.6742.0839.7836.3237.0238.2137.1733.7935.0136.9235.2331.9133.9334.6132.2329.5228.9230.7228.8026.5027.6528.6226.5724.1325.2626.0723.9520.6623.4624.0922.8220.3123.4724.5122.8620.7723.3624.3623.48
10.969.9210.687.777.825.723.751.831.992.743.152.524.386.818.175.476.446.575.294.444.514.867.405.236.585.643.783.520.791.652.812.871.764.233.683.101.602.001.122.02-2.64-0.080.741.99-0.150.501.131.90-0.200.831.461.490.732.033.273.663.554.115.534.994.613.424.99
10.969.9210.687.777.825.723.751.831.992.743.152.524.386.818.175.476.446.575.294.444.514.867.405.236.585.643.783.520.791.652.812.871.764.233.683.101.602.001.122.02-2.64-0.080.741.99-0.150.501.131.90-0.200.831.461.490.732.033.273.663.554.115.534.994.613.424.99
---------------------------------------------------------------
11.3510.309.068.058.525.633.23-0.642.32-2.19-4.5210.873.897.649.466.187.087.004.484.643.764.567.374.635.994.933.753.100.721.752.672.671.503.883.632.620.971.560.091.47-3.08-0.140.611.76-0.250.110.501.58-0.161.140.641.561.202.273.113.923.864.525.624.964.813.855.07
9.659.117.286.256.905.022.490.192.26-1.67-3.3010.422.856.887.475.756.585.903.363.743.054.145.964.185.104.793.193.070.590.522.031.710.772.821.761.350.310.40-0.250.73-2.12-0.650.550.94-0.24-0.040.510.46-1.980.050.991.010.581.932.043.213.063.154.194.033.653.053.62
0.270.270.270.320.290.280.270.320.300.290.280.330.290.310.340.390.340.340.340.390.350.330.340.450.390.390.400.460.380.430.440.520.460.470.480.550.450.440.450.540.510.510.540.640.540.530.570.650.600.610.650.690.570.550.580.690.530.530.590.690.610.610.70
2.242.162.332.782.121.901.982.491.921.741.902.542.032.662.623.332.412.692.352.632.201.962.062.612.082.072.222.402.012.042.122.531.992.001.972.381.872.032.092.492.002.022.092.542.042.072.192.682.042.172.362.772.212.332.633.222.302.563.023.472.582.662.96
3.082.953.003.253.303.373.383.523.523.483.584.183.874.214.475.124.624.464.234.204.143.793.744.343.974.204.244.594.144.724.875.254.984.995.746.324.664.714.765.234.714.695.005.375.595.496.395.575.776.317.276.787.276.897.568.167.888.168.759.648.127.968.33
29.2530.4730.0027.6727.3126.7426.6025.5525.6025.8425.1221.5423.2421.3620.1417.5919.5020.1621.2821.4321.7223.7724.0920.7422.6821.4521.2019.6021.7219.0818.4717.1618.0618.0315.6714.2419.3119.1018.9117.2219.1219.2017.9916.7716.1016.4014.0916.1515.5914.2712.3813.2712.3813.0611.9111.0311.4211.0310.299.3411.0811.3010.81
5.915.704.815.265.404.002.050.192.09-1.54-2.8710.362.626.787.857.737.657.113.885.273.784.957.366.957.377.245.186.701.040.853.343.881.425.183.483.600.640.78-0.521.99-4.23-1.191.052.46-0.45-0.080.971.20-3.630.091.792.270.812.462.746.053.613.535.327.305.554.366.07
6.496.315.385.936.174.632.410.222.45-1.82-3.3811.663.007.829.209.219.348.895.026.915.116.8510.5710.4411.7312.049.0112.932.251.044.064.831.806.714.685.010.891.12-0.772.88-6.24-1.591.413.38-0.64-0.111.391.74-5.470.142.453.031.083.263.457.524.514.476.829.556.365.067.12
2.622.431.962.012.031.410.680.060.67-0.48-0.943.410.832.162.512.252.242.031.151.451.071.372.001.862.011.891.291.410.220.220.890.900.361.320.840.740.140.18-0.110.39-1.08-0.330.300.60-0.13-0.020.290.30-1.200.030.640.700.331.061.192.211.631.672.482.782.221.852.54
4.884.633.804.084.052.911.430.131.46-1.07-2.127.661.854.716.005.775.474.912.863.822.703.444.964.514.524.252.903.540.520.642.472.780.973.462.232.230.380.46-0.301.13-3.25-0.920.801.86-0.34-0.060.710.87-2.680.071.322.200.631.932.204.933.523.465.207.305.384.225.92
24.6622.5420.8319.4417.7116.3515.0614.2613.4812.9013.1613.5911.8911.3410.259.288.247.366.546.235.715.374.924.434.003.593.242.862.562.422.272.021.871.741.561.421.331.261.171.151.121.151.121.060.990.960.930.900.830.830.810.850.850.860.810.760.710.650.630.590.410.380.34
6.544.131.788.104.022.040.464.591.700.61-0.274.502.351.650.416.483.482.330.303.821.871.090.183.071.420.57-0.181.860.610.23-0.171.780.650.17-0.201.260.330.05-0.160.740.01-0.18-0.270.59-0.01-0.16-0.260.46-0.10-0.20-0.270.42-0.04-0.13-0.170.380.00-0.09-0.120.370.08-0.01-0.07
1.741.300.473.510.73-0.21-0.80-1.14-2.45-2.13-1.63-0.88-1.42-0.70-0.683.041.351.14-0.232.561.000.56-0.091.940.600.00-0.450.84-0.10-0.22-0.361.080.16-0.13-0.330.78-0.02-0.17-0.250.21-0.39-0.43-0.380.22-0.29-0.33-0.330.04-0.29-0.32-0.310.23-0.18-0.21-0.210.28-0.07-0.13-0.140.330.05-0.03-0.07