Advantest Financial Ratios for Analysis 2009-2024 | ATEYY

Fifteen years of historical annual and quarterly financial ratios and margins for Advantest (ATEYY).

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
2024202320222021202020192018201720162015201420132012201120102009
3.332.142.023.113.403.712.263.335.113.324.694.041.975.606.560.31
0.150.050.04----0.210.320.240.320.15----
0.170.090.10---0.240.410.480.390.470.180.19---
50.5756.9656.5953.8056.7254.5451.4457.5656.4355.3644.1051.8648.7448.6548.71-
16.7829.9327.5222.6121.2822.8911.828.927.779.08-20.750.060.596.13-21.86-
16.7829.9327.5222.6121.2822.8911.828.927.779.08-20.750.060.596.13-21.86-
22.1433.7531.1126.3725.2324.6514.2412.2310.8312.18-13.366.135.4410.36-13.76-
16.0730.5727.9122.2621.2323.4411.729.637.2611.55-31.66-0.97-2.445.57-18.65-
12.8023.2820.9422.3119.4020.188.749.114.137.93-31.71-2.87-1.563.17-21.52-
0.720.930.840.740.780.930.810.670.770.600.490.590.640.550.28-
1.181.431.902.252.032.252.031.692.081.962.072.012.422.181.65-
5.485.485.075.485.945.455.464.805.796.545.484.935.854.393.34-
66.6666.5671.9366.5561.4266.9266.8175.9763.0555.7866.5774.0262.4183.18109-
14.4535.3729.6324.8923.1328.6814.5312.977.159.19-23.31-2.70-1.622.53-7.50204
18.7247.7841.7130.9029.6733.0216.5615.268.7115.74-41.13-4.56-2.692.56-7.57282
9.2821.7317.6516.5115.0518.717.116.133.184.74-11.79-1.69-0.971.94-5.97-366.61
12.3033.5528.4524.8923.1328.6814.5310.204.846.96-15.81-2.29-1.622.53-7.50204
4.033.703.293.352.682.261.571.441.11-------
0.300.690.900.810.770.510.330.190.080.29-0.05-0.040.23-0.01-0.270.03
0.120.470.700.660.680.460.300.140.060.29-0.13-0.240.12-0.07-0.31-0.03

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
3.043.332.232.222.162.141.992.042.162.022.052.923.163.113.553.443.533.404.194.093.863.713.353.472.482.264.004.044.403.333.473.323.215.115.494.653.833.323.393.083.134.693.613.703.684.043.793.343.201.971.701.682.535.605.184.966.126.566.958.6510.107.30
0.140.150.050.050.050.050.040.040.040.04----------------0.200.210.210.210.230.250.250.320.240.240.240.240.240.260.280.320.170.150.150.150.160.170.17-------------
0.170.170.180.140.140.090.150.110.100.100.10-----------0.030.030.170.240.250.260.270.410.440.500.510.480.320.310.310.390.390.430.480.470.210.180.180.180.190.200.200.190.320.320.30---------
55.4451.3250.5849.9450.3253.5459.1457.5058.0556.8057.8655.0356.3753.5751.4753.8656.8862.7657.6857.3059.4753.8456.7653.5653.8555.6245.7852.1350.5752.1657.5659.3062.1660.0660.0552.4656.1550.2359.0777.8254.9848.1422.9145.8751.2744.7253.1052.3051.4156.0543.6445.6748.7250.8446.8147.9249.2655.1133.4452.3652.94-73.08
22.5814.4820.1418.0614.0926.1629.8731.0632.9428.9829.9523.5026.9027.1819.5222.5920.1730.6522.7024.7522.9115.9427.6324.7022.3020.266.3510.875.479.593.107.2614.1111.22-1.958.716.7319.155.43-29.026.53-3.71-68.03-15.82-12.017.26-10.336.674.5511.79-9.90-8.152.931.564.7710.257.713.64-39.92-31.06-51.03-209.62
22.5814.4820.1418.0614.0926.1629.8731.0632.9428.9829.9523.5026.9027.1819.5222.5920.1730.6522.7024.7522.9115.9427.6324.7022.3020.266.3510.875.479.593.107.2614.1111.22-1.958.716.7319.155.43-29.026.53-3.71-68.03-15.82-12.017.26-10.336.674.5511.79-9.90-8.152.931.564.7710.257.713.64-39.92-31.06-51.03-209.62
--------------------------------------------------------------
23.0213.8319.7017.5112.8025.9527.2633.7235.6130.1530.4023.6826.5129.3217.7421.2319.3332.3323.0025.6122.5916.3827.5225.5523.3121.246.6810.073.8510.962.018.2615.1911.840.537.556.9612.0113.4016.338.67-3.14-137.33-15.37-9.54-4.15-12.224.753.6710.73-11.13-13.431.412.504.048.686.926.47-38.97-23.96-46.48-336.02
17.2111.3215.9214.409.0920.6420.7624.9626.8522.7522.8817.5019.9236.9415.4118.0215.8117.2218.6420.5218.2613.9723.8922.3819.5915.565.018.252.4414.340.366.4312.236.75-2.695.454.728.5411.37-19.283.64-4.07-126.49-19.28-12.10-5.33-13.952.801.2712.07-10.40-12.991.290.022.666.323.356.05-43.99-29.59-49.74-673.32
0.190.200.210.180.170.250.250.240.260.230.240.210.230.210.220.210.19-0.200.630.220.210.210.250.250.260.270.220.210.190.200.140.170.200.220.120.180.150.160.150.120.160.140.100.130.130.160.110.190.160.200.140.160.120.140.140.160.130.110.070.060.040.05
0.280.310.320.290.260.420.360.440.510.520.550.540.590.650.590.550.43-0.441.590.550.450.510.570.640.640.610.610.540.510.570.330.420.440.580.320.600.420.480.520.630.550.540.460.480.450.510.330.600.480.690.520.580.520.520.560.670.610.600.560.370.292.03
1.411.481.571.481.531.481.691.621.491.391.801.631.641.571.451.741.73-1.505.121.431.181.221.511.411.431.811.651.581.351.441.341.871.621.621.381.921.921.741.351.151.721.601.571.451.181.331.061.551.391.851.741.541.101.090.991.141.191.330.941.100.971.01
64.0560.6657.4460.8458.6960.7953.3755.6560.3964.9350.0355.2154.9557.2462.2851.6252.13-60.0517.5763.1576.4673.7359.4464.0662.8349.8354.5056.9766.9162.4467.3848.1155.7255.4465.1446.9946.7951.7366.6578.5652.3156.2857.3862.1676.5167.9284.8757.8964.6748.6251.6658.5981.7982.5591.0578.9875.3267.8196.0181.5192.7389.37
5.223.465.274.172.408.478.6710.1211.138.799.115.566.7911.815.045.924.50-5.1817.586.886.064.449.529.039.758.552.173.450.916.120.112.555.663.28-0.571.761.312.633.14-4.491.17-1.14-20.63-4.16-2.53-1.35-2.560.870.344.09-2.55-3.830.250.000.491.310.530.85-3.81-2.15-2.52-43.16
6.854.497.065.703.3111.4412.2114.5615.7412.3812.776.858.3714.676.437.645.87-6.6419.857.796.935.1210.399.9310.969.752.544.051.077.210.133.056.853.99-0.962.962.224.515.29-7.742.06-2.01-35.91-7.42-4.42-2.27-4.251.420.576.80-4.27-6.360.260.000.501.320.540.86-3.85-2.17-2.54-43.55
3.302.223.342.651.515.205.196.116.875.245.553.664.527.843.323.862.94-3.3711.744.543.892.906.045.595.114.191.091.720.462.900.051.102.421.46-0.320.970.701.361.69-2.280.58-0.58-12.20-2.57-1.56-0.84-1.590.520.202.46-1.46-2.130.150.000.370.990.420.68-3.03-1.77-2.10-34.95
4.482.955.023.972.288.038.339.7110.698.449.115.566.7911.815.045.924.50-5.1817.586.886.064.449.529.039.758.551.732.740.714.820.091.914.232.22-0.431.341.001.992.39-3.310.84-0.77-17.08-3.52-2.15-1.14-2.160.730.294.09-2.55-3.830.250.000.491.310.530.85-3.81-2.15-2.52-43.16
3.964.033.703.763.793.703.193.303.323.293.223.343.303.352.922.822.742.682.612.502.292.262.16--1.571.471.441.391.441.321.261.17-----------------------------
0.240.30-0.030.00-0.040.690.440.440.040.900.640.470.170.810.350.290.110.770.630.350.040.510.430.220.080.330.160.140.040.190.160.240.090.09-0.020.020.050.290.140.180.08-0.050.000.050.04-0.04-0.060.04-0.030.230.100.080.020.00-0.03-0.04-0.04-0.27-0.30-0.20-0.160.03
0.210.12-0.14-0.09-0.100.470.290.350.000.700.510.380.130.660.240.220.080.680.570.320.020.460.410.210.060.300.160.140.030.140.120.210.080.06-0.040.000.050.290.110.160.07-0.13-0.070.000.02-0.24-0.23-0.06-0.090.120.020.020.01--0.07-0.06-0.05-0.31-0.33-0.22-0.16-0.03