Amphenol Financial Ratios for Analysis 2009-2024 | APH

Fifteen years of historical annual and quarterly financial ratios and margins for Amphenol (APH).

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
2.172.422.432.381.971.872.952.203.823.301.963.053.403.042.82
0.320.390.430.400.410.410.470.410.460.470.330.400.390.250.30
0.520.650.750.710.780.880.880.810.860.900.740.700.630.340.43
32.5331.9131.2830.9831.8032.3732.9532.4531.9631.6931.4431.2931.5732.5931.44
20.3920.4819.3519.0519.6920.5720.3619.1719.8419.3519.4319.3019.0819.7117.34
20.3920.4819.3519.0519.6920.5720.3619.1719.8419.3519.4319.3019.0819.7117.34
23.6223.6022.9922.6423.4824.2223.6022.6222.9222.5022.3922.1422.1122.6020.83
19.5519.5518.2917.7518.1919.3719.2918.1518.9118.1918.3518.1518.1918.6715.83
15.3615.0714.6313.9914.0414.699.2813.0913.7113.2713.7812.9413.3113.9711.27
0.760.820.740.700.760.820.700.740.750.770.750.820.890.890.88
3.914.113.954.064.284.504.254.574.454.223.994.024.154.364.19
4.794.804.434.414.744.584.394.665.044.764.614.715.144.956.27
76.1276.0982.3882.8477.0579.7483.2278.3472.4076.7379.1777.4571.0873.7958.19
23.1727.1024.8422.2525.3329.9416.3422.3623.5624.3422.1822.9124.2121.4518.56
415-1,796.44-204.255,441-163.28-278.53-135.47-176.03276-14,023.2615915912162.0783.02
11.7712.5110.769.8410.7612.116.609.8010.3510.2410.3610.7311.9012.5110.16
15.7216.4614.1613.3514.9217.718.7113.0912.6812.7914.8113.8214.8515.9913.01
7.015.955.314.553.863.403.313.022.662.372.281.911.671.671.27
2.041.751.231.291.220.890.900.850.810.690.590.510.410.300.42
1.741.450.951.080.990.650.730.710.680.530.470.420.340.220.38

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
1.992.022.062.172.332.332.642.422.382.452.552.432.402.172.432.382.272.592.541.971.992.062.501.871.681.721.802.953.042.332.352.202.252.872.803.823.573.653.823.302.172.022.061.963.453.523.343.053.053.033.083.403.523.473.143.042.852.942.732.822.692.762.51
0.350.360.290.320.330.340.380.390.420.430.430.430.450.450.430.400.410.440.510.410.460.460.460.410.380.410.390.470.460.440.430.410.410.440.460.460.470.470.480.470.400.340.340.330.400.400.390.400.380.390.370.390.360.330.290.250.290.280.290.300.330.350.38
0.580.600.490.520.540.570.620.650.720.750.760.750.870.910.840.710.750.781.150.780.940.950.850.880.800.900.820.880.870.870.860.810.790.790.840.860.900.890.930.900.880.780.770.740.700.690.670.700.660.680.620.630.570.500.410.340.420.390.430.430.480.540.61
33.6033.6133.4433.0732.7732.4731.7232.0332.1732.0131.3931.1031.5731.7730.6031.5631.6330.3830.0631.5531.5132.1332.0632.1432.3332.5432.5132.6832.9333.1633.0733.0832.8432.1231.6432.0431.7932.0031.9932.0031.7731.7231.2131.2531.5531.6731.2931.0231.2131.4931.5131.0831.3231.5632.3332.6432.6532.7032.3231.8731.3131.2531.27
20.2919.3621.0320.7420.5620.3019.9020.5620.6720.6819.9819.5920.2717.9419.5520.1320.4817.9817.0219.9919.6919.8219.2120.5720.8620.6020.1920.5520.5320.1720.1320.5419.9519.4016.5020.2020.2019.2919.6119.5519.7119.4618.6319.3719.4719.7219.1719.3019.5519.4318.8817.3618.0221.1119.7820.0619.9419.8518.8118.2617.3516.8516.77
20.2919.3621.0320.7420.5620.3019.9020.5620.6720.6819.9819.5920.2717.9419.5520.1320.4817.9817.0219.9919.6919.8219.2120.5720.8620.6020.1920.5520.5320.1720.1320.5419.9519.4016.5020.2020.2019.2919.6119.5519.7119.4618.6319.3719.4719.7219.1719.3019.5519.4318.8817.3618.0221.1119.7820.0619.9419.8518.8118.2617.3516.8516.77
---------------------------------------------------------------
19.1918.3920.3520.0019.8019.5118.8319.5319.7519.7819.0918.6319.2416.8518.3418.9719.3216.5315.5318.7217.8118.3417.8519.4119.7119.2919.0019.4719.4719.0319.1319.6418.9818.3415.3219.2719.3218.3418.6318.5018.5118.2617.4218.3718.3918.6117.9918.1718.4118.2617.7016.3917.2220.2018.9019.1618.9618.8117.5716.3716.0515.4715.37
14.9614.5416.8515.4616.0615.0814.7715.6715.0715.0614.4215.3615.1313.9313.8714.7214.9212.9713.0014.8213.3414.3113.6615.1914.8714.3714.23-5.3215.0815.0914.4214.2613.7113.3410.7914.0014.0113.2413.5513.5613.4113.3112.7213.4813.9513.5514.1712.2513.3613.2812.8912.0013.0414.5213.6013.8014.4714.6612.7611.5611.2910.9311.27
0.210.190.190.200.200.200.190.210.220.210.200.210.190.180.180.200.200.180.150.200.200.190.190.220.220.210.200.190.190.180.180.190.200.190.180.190.200.190.190.200.200.200.200.200.200.210.210.220.220.220.210.210.240.240.230.240.240.250.230.240.230.230.22
1.041.001.011.031.021.030.961.051.071.041.021.100.991.021.051.141.141.020.981.121.131.071.091.221.161.151.081.181.121.051.091.191.191.131.061.141.121.031.041.121.091.111.111.081.081.101.041.081.071.081.021.011.121.081.061.171.181.191.101.121.081.050.95
1.291.261.301.271.241.251.231.231.251.221.221.231.281.281.231.241.241.201.211.241.241.201.181.241.231.221.231.221.171.181.181.221.241.231.211.301.251.241.221.271.241.271.281.241.241.251.251.261.221.261.271.241.291.281.261.321.301.371.351.691.541.541.44
69.7671.2069.1470.8272.3372.0172.9973.1172.1173.7873.8572.9970.3970.2973.1472.4072.8475.0974.4672.6572.3775.2576.3772.4973.4573.9273.0774.0177.0376.0076.0573.5572.5973.0974.5469.5071.7372.5574.0470.9072.3670.6170.1772.3272.2971.7671.8171.5273.6871.2570.7372.7870.0270.1671.2168.0869.0365.6766.8553.3658.4758.4662.65
6.415.856.326.186.556.156.017.227.557.306.627.197.026.396.016.616.855.435.476.986.706.926.478.407.887.556.76-2.496.826.486.066.406.055.844.636.186.525.826.106.636.145.885.525.866.055.966.105.806.106.275.625.266.106.455.545.656.406.615.365.105.075.035.43
-654.73-97.9365.1111186.70142535-478.91-108.19-94.43-71.12-59.15-97.10-50.261,8031,615-135.20-53.94-29.35-45.01-22.14-23.48-27.59-78.10-61.30-36.52-40.6920.61-78.63-51.21-44.83-50.40-46.13-34.66-20.2372.49122235236-3,819.5417735.1239.0941.9923.2524.0125.7240.3226.4930.8624.9626.2220.3220.3316.3216.3721.6121.8820.2022.8329.9842.9191.55
3.112.843.303.143.293.052.883.333.323.182.893.122.832.532.532.922.972.332.012.972.642.742.643.403.283.032.85-1.002.922.762.612.812.712.602.012.722.772.502.592.792.692.712.562.742.862.872.952.712.932.982.782.593.123.443.093.303.503.682.942.802.652.562.60
4.173.764.494.194.374.033.714.394.404.193.774.103.853.523.443.964.023.042.694.113.643.743.494.974.904.444.16-1.333.663.663.443.753.573.262.523.333.443.083.173.483.673.883.623.923.633.603.733.503.773.823.553.233.894.293.934.224.524.743.823.583.423.273.36
7.897.507.277.016.626.356.195.955.575.485.435.315.034.824.614.554.274.023.763.863.553.533.493.403.363.173.283.313.373.213.073.023.042.902.782.662.582.512.412.372.402.392.312.282.112.031.971.911.881.741.741.671.691.701.651.671.551.421.341.271.191.111.03
1.551.000.482.041.360.860.431.751.190.720.281.230.850.570.261.290.930.620.311.220.880.540.280.890.590.320.100.900.570.410.190.850.580.350.150.810.560.330.150.690.470.300.160.590.430.280.140.510.360.220.120.410.290.150.080.300.190.100.020.420.310.200.10
1.190.820.401.741.140.710.351.450.960.590.220.950.640.420.201.080.780.510.260.990.700.420.220.650.420.210.060.730.450.330.150.710.470.280.120.680.460.270.120.530.350.220.120.470.350.230.120.420.290.180.100.340.240.120.060.220.140.070.010.380.280.180.09