Arrow Electronics Financial Ratios for Analysis 2009-2024 | ARW

Fifteen years of historical annual and quarterly financial ratios and margins for Arrow Electronics (ARW).

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
1.391.481.401.441.521.551.561.541.521.551.621.571.771.631.75
0.270.360.300.290.350.380.370.380.360.330.350.280.340.350.30
0.650.670.490.440.610.650.660.620.580.500.540.490.530.560.48
12.5313.0312.1911.1311.4112.4712.6413.3913.0413.1613.0713.4113.7812.9011.92
4.445.574.523.120.373.873.563.733.543.353.253.944.254.011.86
4.445.574.523.120.373.873.563.733.543.353.253.944.254.011.86
5.126.195.193.901.174.654.294.584.414.224.034.684.924.602.54
3.525.084.172.65-0.393.062.613.052.973.002.733.483.793.621.29
2.733.843.212.04-0.712.411.512.232.142.191.872.482.802.560.84
1.521.711.761.681.761.671.611.651.791.831.771.892.181.951.89
5.586.077.207.757.376.707.027.128.218.478.578.619.398.559.25
2.713.013.103.113.413.323.273.483.783.773.704.144.774.574.68
13512111811710711011210596.5996.8998.6188.0876.4879.8977.95
15.4725.5820.7911.39-4.1113.428.1511.7511.9311.989.5612.7116.3114.754.23
24.5841.9136.2320.95-7.9030.3318.1730.2234.8428.4123.2627.2233.1329.906.20
4.196.595.683.44-1.224.062.483.693.844.013.324.706.105.001.59
11.3216.3214.648.09-2.678.385.147.337.618.006.249.0910.709.572.95
10994.7178.4768.8060.3663.1156.9950.2246.1443.3741.8837.6232.8728.3624.35
12.37-0.515.7117.2910.273.081.393.916.906.744.356.081.041.857.05
10.91-1.714.8815.728.551.61-0.612.125.325.513.235.070.061.056.05

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
1.481.491.391.451.611.621.481.501.491.491.401.441.441.471.441.471.451.461.521.611.641.741.551.621.691.691.561.581.591.571.541.661.661.711.521.771.671.801.551.751.681.741.621.781.751.861.571.561.721.891.771.651.591.601.631.711.661.841.751.911.942.00
0.300.310.270.320.390.400.360.380.350.340.300.280.270.270.290.300.310.320.350.380.400.390.380.390.420.410.370.360.360.350.380.380.370.380.360.390.380.380.330.340.330.340.350.320.350.360.280.290.340.370.340.340.300.310.350.340.300.300.300.310.310.31
0.570.620.650.760.740.690.670.720.650.570.490.460.430.430.440.470.490.560.610.700.710.680.650.660.740.690.660.650.650.640.620.620.610.620.580.670.630.610.500.520.490.510.540.480.550.570.490.510.530.600.530.630.580.580.560.520.460.470.480.500.460.47
12.2812.3912.6112.2312.5212.7512.9412.8113.0713.3113.2712.6411.6811.0910.9310.9111.3611.4111.2111.2911.1012.0412.3212.3312.6212.6412.3212.2912.8313.2713.4913.0213.3813.6812.4313.0313.1813.7012.7512.9813.1713.8512.8013.3013.0013.2413.0813.3613.3413.9213.6913.7113.9013.8313.0513.0712.7612.7011.8211.4711.8612.61
3.082.694.034.254.614.835.615.425.635.625.684.763.983.573.803.292.982.173.242.45-7.483.434.223.883.883.433.803.433.593.364.473.353.743.313.773.263.553.552.763.563.673.503.863.222.942.844.893.303.663.834.274.034.484.204.433.964.103.432.741.231.511.79
3.082.694.034.254.614.835.615.425.635.625.684.763.983.573.803.292.982.173.242.45-7.483.434.223.883.883.433.803.433.593.364.473.353.743.313.773.263.553.552.763.563.673.503.863.222.942.844.893.303.663.834.274.034.484.204.433.964.103.432.741.231.511.79
--------------------------------------------------------------
2.021.523.193.153.644.035.054.855.145.275.324.393.683.203.512.922.641.222.311.73-8.172.743.353.143.012.713.012.642.032.723.582.743.132.703.272.672.962.942.333.643.182.943.452.722.392.184.522.863.143.323.753.594.033.764.093.593.693.012.180.641.041.13
1.581.212.482.482.783.133.753.703.914.024.123.412.812.462.792.302.010.781.531.30-7.471.972.912.362.302.020.711.961.552.002.701.982.251.942.351.922.132.121.822.622.252.112.191.921.691.613.232.092.222.323.202.552.822.613.012.542.522.061.500.340.620.78
0.340.340.360.390.410.430.430.450.480.470.460.490.510.520.500.470.420.410.450.450.460.430.450.440.440.430.460.460.450.430.430.450.460.440.520.470.480.450.510.500.490.460.510.490.510.470.500.490.510.480.550.530.550.550.550.530.580.570.540.510.500.53
1.301.261.321.211.371.381.531.591.681.691.861.942.082.282.291.991.711.701.871.791.821.691.791.761.711.682.001.901.841.711.851.982.071.942.402.002.011.912.392.182.152.092.482.022.192.042.292.072.152.092.392.042.122.172.392.012.232.502.652.482.202.07
0.630.630.640.750.770.820.760.830.870.850.810.910.970.990.920.910.830.820.870.900.920.910.890.910.920.930.930.970.980.980.911.001.051.041.101.121.151.031.061.111.101.051.071.111.121.081.101.141.171.161.211.241.271.271.281.291.371.371.341.361.341.40
14214414012011711011910910310511198.6492.9991.2698.0099.0510811010499.7197.7599.3910298.8898.3396.5897.0092.8291.5392.0599.4589.6485.9786.4182.1480.0178.4987.7085.0381.1581.4685.8384.3981.4580.1283.3982.0278.6576.9177.4574.1572.4370.6371.0670.4969.6165.8065.4867.1666.3767.3064.39
1.891.443.343.604.214.926.316.486.886.746.965.554.623.974.603.442.811.072.311.96-11.362.594.323.363.312.721.112.742.122.553.702.633.042.443.802.622.982.642.803.452.972.543.222.402.351.994.382.733.072.994.743.744.303.944.863.773.972.962.160.440.761.00
3.002.315.305.896.868.0710.3410.8811.6011.5212.129.878.317.178.466.605.452.124.433.83-22.225.709.777.657.906.672.486.285.076.379.507.008.136.8611.107.718.826.746.638.387.096.267.855.085.224.339.396.236.826.419.626.417.106.549.846.286.094.303.170.651.131.51
0.550.410.900.971.161.361.631.681.871.881.901.671.431.281.391.070.850.320.680.59-3.420.851.311.051.020.870.340.900.710.871.160.901.050.861.220.921.030.950.941.301.110.971.120.940.860.751.621.031.141.121.771.341.551.421.641.361.451.170.810.180.310.41
1.320.992.442.452.552.954.034.054.504.454.903.993.392.913.272.401.950.721.491.21-6.861.572.702.061.931.610.701.751.361.662.301.641.911.522.421.581.851.641.872.272.001.682.101.631.531.283.141.942.011.883.112.483.012.723.152.492.772.071.510.300.530.69
11010810910310298.2594.7185.3983.5681.7178.4774.7772.4270.4768.8063.8861.2059.1060.3658.0258.0164.5963.1160.8259.1358.7656.9955.9953.8351.2550.2250.0148.7047.7446.1445.0444.2742.0043.3743.3643.6042.4341.8840.0538.2137.2137.6235.5834.2334.1532.8731.6631.6230.0428.3627.1224.8424.4324.3523.7723.1322.30
13.357.3612.377.441.693.76-0.51-2.18-4.23-2.915.715.393.71-0.0617.2914.8511.175.7610.274.360.90-3.813.080.11-5.47-0.841.390.02-1.48-0.233.911.531.24-0.366.901.162.27-2.496.742.172.821.224.352.321.49-1.666.084.432.782.191.04-0.22-1.23-1.531.85-2.04-1.80-2.327.055.384.461.92
12.406.8210.916.411.043.42-1.71-3.02-4.77-3.194.884.843.46-0.0315.7213.7110.425.418.553.00-0.06-4.201.61-1.08-6.22-1.23-0.61-1.38-2.34-0.832.120.160.29-0.895.32-0.021.56-2.815.511.292.200.903.231.480.97-1.915.073.752.342.000.06-0.99-1.75-1.681.05-2.60-2.13-2.486.054.573.861.61