Axon Enterprise Financial Ratios for Analysis 2009-2024 | AXON

Fifteen years of historical annual and quarterly financial ratios and margins for Axon Enterprise (AXON).

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
3.003.002.653.833.123.361.902.274.234.214.214.373.896.896.23
0.300.35-------0.000.000.00---
0.420.53-------0.000.000.00---
61.1161.2362.6561.1457.8861.5660.2463.5765.0161.7262.2859.0149.4652.1960.82
9.907.84-19.47-2.08-1.205.913.7911.8717.8619.7620.2819.63-12.13-5.91-0.08
9.907.84-19.47-2.08-1.205.913.7911.8717.8619.7620.2819.63-12.13-5.91-0.08
11.149.78-16.700.251.008.446.1313.7120.3522.9624.2125.34-2.722.473.41
9.9116.52-16.37-0.920.396.694.5811.7417.8719.6420.3419.70-10.70-5.880.09
11.1412.37-6.95-0.250.176.951.516.4510.0712.1113.2412.84-7.82-5.040.00
0.450.420.510.490.630.581.020.960.860.890.930.990.860.640.75
2.252.282.972.945.764.783.012.804.393.444.684.283.962.332.71
3.743.322.692.973.613.226.136.807.145.356.136.347.646.426.78
97.5211013612310111359.5253.7051.0968.1959.5557.5747.7656.8653.87
10.8111.60-5.73-0.180.166.253.1111.4612.7015.4316.8416.88-8.54-3.730.00
11.3512.15-6.07-0.180.176.853.8913.8114.2616.0917.7517.55-8.89-3.830.00
5.075.16-3.56-0.120.104.061.546.228.6710.7512.3012.68-6.71-3.220.00
7.617.57-5.73-0.180.166.253.1111.4612.7015.4216.8316.87-8.54-3.730.00
21.4117.7514.7815.319.137.953.162.882.922.442.051.651.481.881.89
2.513.241.880.621.091.100.340.390.850.650.600.480.290.010.16
1.722.481.13-0.550.830.910.150.300.740.600.570.460.26-0.05-0.06

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
2.962.882.913.143.153.383.333.002.792.702.442.652.963.964.113.833.393.653.173.123.133.513.463.363.714.032.011.901.892.011.992.272.492.953.404.234.554.774.754.215.185.044.634.214.363.804.794.373.643.874.663.894.295.117.006.897.526.878.256.234.767.208.05
0.240.260.270.300.310.320.320.35--------------------------0.00-0.000.000.000.000.000.000.000.000.000.000.000.00---------------
0.320.350.370.420.440.470.480.53------------------------0.000.000.00-0.000.000.000.000.000.000.000.000.000.000.000.00---------------
60.7760.2556.4460.7062.1061.9659.5061.1961.9960.9160.7362.0762.3263.0463.2562.4959.0262.4260.2153.9161.2758.3559.5156.9362.6163.6463.6966.5855.1357.3061.4260.6464.7863.4866.4566.0061.6765.7766.7358.5564.7462.4561.3763.8562.7861.3660.6359.6858.4058.4759.4432.7053.7457.7552.8151.7049.4050.3756.5863.0956.9162.9359.46
4.426.523.539.3713.8910.754.846.7110.307.506.71-12.441.25-42.82-25.772.55-3.27-9.68-0.54-8.375.06-1.152.311.743.785.3413.428.08-0.891.036.7511.4715.4210.579.2615.1913.3120.0724.0019.0628.2116.7113.4222.4919.5521.1617.2714.7518.3421.4725.17-33.864.97-23.670.48-0.13-3.44-17.97-3.9820.94-20.64-6.75-4.14
4.426.523.539.3713.8910.754.846.7110.307.506.71-12.441.25-42.82-25.772.55-3.27-9.68-0.54-8.375.06-1.152.311.743.785.3413.428.08-0.891.036.7511.4715.4210.579.2615.1913.3120.0724.0019.0628.2116.7113.4222.4919.5521.1617.2714.7518.3421.4725.17-33.864.97-23.670.48-0.13-3.44-17.97-3.9820.94-20.64-6.75-4.14
---------------------------------------------------------------
14.6210.0435.9712.3717.36-3.2312.2110.336.6923.9628.27-17.10-1.14-23.70-25.474.00-2.05-8.540.10-6.926.450.494.302.635.005.0414.677.470.703.157.0111.6014.7910.369.4715.2113.2720.2823.8618.8427.8516.8213.5022.6319.6521.2217.2014.9318.3821.4925.20-33.935.03-17.710.59-0.13-3.39-17.94-3.9520.96-20.55-6.54-3.75
12.318.0928.9112.8014.833.3213.168.683.8917.8421.40-6.2120.92-21.53-24.5711.42-0.52-21.772.77-7.204.670.665.541.815.458.5512.77-2.190.472.865.787.735.356.216.249.113.0213.0616.1010.8617.0410.459.3713.4314.5313.8510.8411.8812.7812.2014.83-27.674.66-10.830.09-0.86-11.08-7.11-2.0712.65-13.62-3.31-1.90
0.140.130.130.130.130.120.110.120.160.150.140.130.140.140.140.160.130.110.170.200.170.150.160.160.150.150.260.280.280.250.260.300.290.260.230.240.240.220.230.250.270.250.220.270.270.280.260.280.280.290.240.200.210.170.180.170.160.140.180.250.170.160.19
0.780.720.740.630.600.570.630.640.680.720.820.760.940.880.800.940.700.661.252.041.251.141.251.461.000.820.850.700.770.560.630.930.990.980.921.211.020.680.661.060.970.921.051.301.070.941.011.181.151.120.941.250.730.560.670.620.590.500.590.840.760.690.97
1.061.310.971.050.931.010.900.940.750.750.740.680.871.081.050.990.960.920.991.170.880.830.780.880.901.051.151.691.761.751.792.082.191.931.862.022.071.812.131.521.641.611.771.781.751.911.811.771.981.921.791.811.952.121.991.691.631.731.512.241.431.662.00
84.7768.9393.1385.9496.4489.3999.6795.9012112012113310383.0585.5591.2293.4498.2890.4876.9210310811610210085.5378.1253.3151.0651.3450.3543.2841.1446.7248.3144.4943.4649.6242.2759.0954.9955.8450.9950.5751.3847.2449.7050.7245.5246.8750.2049.7146.2342.3745.1553.2755.3151.9259.6840.1363.0154.0745.02
3.192.127.333.434.030.863.222.300.994.274.88-1.294.36-4.29-4.742.65-0.10-3.540.73-2.281.200.151.340.451.241.896.48-1.240.251.392.914.202.722.722.263.251.023.975.153.946.403.522.744.965.555.593.744.374.824.574.37-7.161.21-2.190.02-0.17-1.99-1.15-0.413.71-2.83-0.63-0.41
3.922.669.383.604.250.913.352.411.034.495.14-1.374.49-4.43-4.902.74-0.10-3.690.78-2.451.300.161.460.491.372.107.75-1.550.321.743.695.063.073.092.533.651.154.395.344.116.703.702.875.235.765.843.894.545.044.784.54-7.451.25-2.260.02-0.17-2.04-1.17-0.423.80-2.90-0.65-0.42
1.671.093.681.621.880.401.501.020.602.643.10-0.802.95-3.09-3.411.87-0.07-2.490.46-1.460.770.100.870.290.841.323.29-0.610.130.721.532.281.521.601.462.220.712.883.682.744.602.602.063.623.983.942.823.283.583.523.53-5.620.97-1.830.02-0.14-1.73-0.99-0.363.15-2.32-0.54-0.36
2.411.565.342.412.790.592.171.500.994.274.88-1.294.36-4.29-4.742.65-0.10-3.540.73-2.281.200.151.340.451.241.896.48-1.240.251.392.914.202.722.722.263.251.023.975.143.946.403.512.744.965.555.593.744.374.824.574.37-7.161.21-2.190.02-0.17-1.99-1.15-0.413.71-2.83-0.63-0.41
27.6025.5224.0921.4620.3019.3318.9917.7517.3116.7915.8414.7816.4816.7115.6315.3114.0913.709.369.138.568.258.137.957.877.703.743.163.143.102.992.882.712.582.872.922.792.862.622.442.252.102.292.051.781.571.681.651.461.431.561.481.661.751.851.881.881.901.901.891.811.841.83
2.030.86-0.212.510.65-0.18-0.763.241.440.880.611.881.541.460.950.620.07-0.120.221.090.33-0.04-0.231.100.550.280.330.34-0.11-0.23-0.120.390.410.190.130.850.550.200.240.650.420.110.080.600.430.230.080.480.440.240.070.290.240.150.070.01-0.04-0.04-0.110.160.090.130.17
1.330.51-0.421.720.18-0.47-0.882.480.830.460.371.131.041.090.79-0.55-0.97-0.240.190.830.13-0.17-0.320.910.430.200.310.15-0.28-0.34-0.170.300.350.160.110.740.480.170.230.600.380.090.060.570.410.220.080.460.420.230.060.260.230.140.06-0.05-0.10-0.09-0.14-0.06-0.060.060.14