AutoZone Financial Ratios for Analysis 2009-2024 | AZO

Fifteen years of historical annual and quarterly financial ratios and margins for AutoZone (AZO).

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
0.840.800.770.871.080.910.920.970.900.840.790.790.810.810.850.95
2.112.312.371.521.191.491.441.391.571.581.641.731.711.611.341.19
-1.90-1.76-1.73-2.93-6.28-3.04-3.29-3.56-2.75-2.72-2.67-2.48-2.43-2.67-3.94-6.30
53.0951.9652.1352.7553.6053.6553.2452.7152.7452.2952.0851.8351.5151.0350.4150.12
20.4919.9020.1220.1319.1418.6816.1419.1019.3719.1719.3219.3818.9318.5217.9217.25
20.4919.9020.1220.1319.1418.6816.1419.1019.3719.1719.3219.3818.9318.5217.9217.25
23.5322.8022.9223.0022.3721.8719.2922.1522.2421.8822.0421.9621.4921.0620.6219.95
18.0518.1518.9518.7917.5517.1214.5817.6817.9817.6917.5517.3616.8916.4015.7615.16
14.4014.4814.9514.8413.7213.6311.9211.7611.6711.3911.2911.1110.8110.5210.039.64
1.081.091.061.010.881.201.201.181.241.261.261.331.371.381.321.28
1.411.461.381.491.311.271.331.331.381.421.451.541.591.601.581.54
33.8933.5532.1938.6634.6338.3943.4738.7936.9741.1047.1653.3053.3257.3858.5353.88
10.7710.8811.349.4410.549.518.409.419.878.887.746.856.856.366.246.77
-56.06-58.13-68.65-120.74-197.38-94.36-87.98-89.67-69.43-68.19-65.96-60.24-60.10-67.69-99.94-151.72
-52.70-54.35-63.25-103.34-146.78-80.20-73.37-70.37-56.94-55.43-53.76-49.46-50.27-54.53-70.90-89.31
15.5015.8215.9114.9512.0116.3414.3113.8314.4314.3214.2714.7514.8514.4613.2512.35
62.2876.1994.0562.5037.3946.3138.3735.0639.5739.6942.4443.7042.8741.1534.4428.64
-280.61-243.60-185.03-85.04-37.56-71.30-59.06-51.32-61.39-55.49-50.21-49.20-41.81-31.27-16.38-8.52
16915415515411383.4875.8654.0453.8348.8439.5938.6830.8929.6224.2616.50
10811212212894.3964.2856.8135.0837.8833.9726.7827.6221.5122.3218.1011.83

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
0.840.790.820.790.800.790.790.760.770.780.770.790.870.890.931.061.080.940.920.880.910.940.940.930.920.950.980.930.970.940.940.900.900.910.840.850.840.840.850.730.790.780.800.780.790.830.740.820.810.830.830.790.810.810.850.820.850.900.960.930.950.831.05
2.112.322.282.552.312.422.462.542.372.272.161.801.521.501.411.231.191.431.461.511.491.451.451.471.441.381.361.441.391.501.551.611.571.601.661.601.581.571.511.761.641.771.701.751.731.621.791.721.711.651.611.681.611.551.481.401.341.211.181.211.191.021.07
-1.90-1.86-1.78-1.65-1.76-1.71-1.68-1.65-1.73-1.87-1.95-2.48-2.93-2.99-3.62-5.37-6.28-3.32-3.19-2.98-3.04-3.24-3.21-3.11-3.29-3.64-3.79-3.27-3.56-3.01-2.82-2.64-2.75-2.66-2.78-2.67-2.72-2.76-3.03-2.66-2.67-2.42-2.53-2.42-2.48-2.61-2.58-2.39-2.43-2.55-2.67-2.49-2.67-2.88-3.13-3.52-3.94-5.84-6.58-5.66-6.30-53.32-14.37
52.5053.4953.8952.8452.7152.4752.2950.0551.5351.9152.9852.4752.2652.4553.5753.1253.0853.6354.3553.7453.4153.6154.0753.6653.6153.4952.9252.7552.7852.6352.6652.7452.8152.8452.7552.5152.5052.2652.2552.0652.3151.9752.1051.8651.8351.8051.8551.8351.8351.6051.3451.1251.2051.2350.9150.6750.5150.6750.0450.3350.3050.2349.68
20.9021.2519.2620.2521.4820.9918.1518.1420.6420.3318.6020.5621.2522.0116.5519.5022.3917.6916.2317.9019.5819.6716.3218.4716.6120.528.5018.1020.1520.2216.7718.6020.6920.6816.9518.3620.3420.6216.8518.0820.6620.4516.9518.3320.5520.6717.1218.2520.2720.2316.6717.7219.8319.8616.3617.0919.3319.5315.3016.3918.7118.4114.83
20.9021.2519.2620.2521.4820.9918.1518.1420.6420.3318.6020.5621.2522.0116.5519.5022.3917.6916.2317.9019.5819.6716.3218.4716.6120.528.5018.1020.1520.2216.7718.6020.6920.6816.9518.3620.3420.6216.8518.0820.6620.4516.9518.3320.5520.6717.1218.2520.2720.2316.6717.7219.8319.8616.3617.0919.3319.5315.3016.3918.7118.4114.83
---------------------------------------------------------------
18.4318.7916.6018.0719.5719.1716.3716.7019.4419.2417.3419.3820.0720.7714.9718.0420.9515.9814.4716.3418.0418.1214.6416.9915.0918.946.8716.6018.6818.8615.2817.2519.3519.3715.5016.8918.9119.3415.2416.4419.0418.9114.9616.3018.5918.7714.8916.1818.1618.3514.5115.6917.8017.8413.9815.0117.3117.5112.8814.1016.5716.5112.62
14.5415.3913.3514.1615.2015.8312.9113.5315.1515.3314.0015.1315.9916.3311.8814.0316.2912.3411.9112.5414.1714.5912.0213.3011.2513.7912.0010.8512.3512.6710.3611.2712.5612.6310.1310.8212.1912.409.8810.5412.2512.189.6910.4211.9912.049.5010.2211.7111.779.259.9311.4111.498.919.6011.0011.138.199.0210.5810.478.00
0.360.250.230.260.360.260.240.260.350.270.240.250.340.260.210.220.320.220.200.220.400.280.250.280.380.290.260.280.380.290.260.280.400.310.270.290.410.310.270.290.410.320.270.300.450.330.280.310.440.340.300.320.450.340.290.320.440.330.280.300.420.310.28
0.480.320.300.340.470.340.310.350.460.350.310.370.510.370.290.320.480.290.250.290.430.300.260.300.420.310.280.300.430.320.280.310.440.340.300.320.460.340.300.330.460.360.310.340.520.380.320.360.510.390.340.370.520.390.340.370.530.390.330.350.500.370.33
11.377.227.708.1910.948.687.617.9410.598.798.319.6712.9910.158.268.9912.4610.417.398.3812.919.888.219.6013.7910.188.549.5012.519.499.279.1111.818.817.639.6213.2711.7610.9011.5615.1812.2710.4212.0918.0314.1811.5611.4917.1315.7712.4614.1818.7814.5111.8415.3619.4415.0210.2111.1417.6511.7811.55
7.9112.4711.6910.998.2310.3611.8211.338.5010.2410.839.306.938.8710.9010.017.228.6412.1810.746.979.1110.969.386.538.8410.549.477.199.499.719.877.6210.2211.799.366.787.668.267.795.937.348.647.444.996.357.787.845.265.717.226.354.796.207.605.864.635.998.818.085.107.647.79
-19.00-13.47-10.65-11.38-19.88-15.06-11.39-14.05-22.89-17.49-15.04-26.13-43.71-33.81-22.71-43.08-84.34-21.00-17.49-19.73-32.98-25.54-18.48-21.19-26.33-26.93-21.76-18.43-30.38-19.35-12.98-14.68-23.87-17.58-13.13-14.52-23.58-18.81-14.42-14.33-23.04-15.77-11.27-12.67-22.00-17.33-11.37-12.78-20.91-17.55-12.89-14.19-24.04-20.31-14.26-21.06-36.40-43.89---54.52--
-17.86-12.68-10.02-10.76-18.59-14.07-10.62-13.03-21.09-16.06-13.71-22.87-37.41-28.86-18.94-33.28-62.72-17.72-14.86-16.85-28.03-21.45-15.53-17.92-21.96-22.04-17.73-14.66-23.84-15.75-10.69-12.16-19.58-14.52-10.72-11.89-19.16-15.24-11.43-11.64-18.78-13.10-9.28-10.44-18.06-13.84-9.10-10.74-17.49-14.46-10.45-11.59-19.36-15.99-11.04-15.37-25.82-26.52-17.03-18.22-32.09-49.94-23.65
5.253.813.083.645.414.153.073.525.304.083.353.845.414.222.443.045.132.662.332.765.714.153.023.694.283.943.082.994.693.672.663.184.963.872.733.144.953.852.663.094.983.872.663.115.393.922.653.185.174.042.763.225.143.862.573.054.833.722.272.664.443.282.21
21.1117.8213.5817.6126.0621.3116.6721.6631.3622.1917.4520.9822.6317.019.249.8615.979.068.009.9816.1811.408.3810.0511.4810.217.808.1311.889.657.138.9713.6110.608.648.6713.7210.697.3210.8314.8312.117.869.5215.9610.768.989.2014.9211.397.809.6914.6111.086.828.4812.559.075.246.3510.299.124.63
-280.61-282.21-279.42-300.92-243.60-236.03-226.58-204.18-185.03-173.03-157.13-102.77-85.04-81.56-68.68-44.93-37.56-69.93-72.85-75.08-71.30-64.59-63.88-65.78-59.06-51.07-48.83-55.94-51.32-60.88-64.18-66.12-61.39-63.16-57.85-58.74-55.49-52.60-46.04-52.25-50.21-55.45-51.27-51.07-49.20-43.20-42.96-43.63-41.81-37.22-33.26-34.26-31.27-27.02-24.37-18.56-16.38-9.70-8.65-9.78-8.52-0.84-3.42
16910970.9245.5315498.6659.3740.4015597.1453.8736.0015499.0644.8828.7411354.6926.9718.2583.4850.6731.8617.2175.8645.9726.9820.1154.0434.8019.2213.6953.8336.0218.2711.1448.8430.9314.6411.4539.5928.8014.8310.3138.6824.5213.848.4730.8920.1711.468.3829.6220.889.947.8324.2615.066.954.5416.509.652.59
10868.0143.3933.0711275.9845.9735.0912280.9545.2731.9412882.4334.5023.8994.3943.2719.1314.1364.2838.5624.4713.4756.8135.2919.3516.2035.0822.4911.8810.4037.8826.2612.258.3733.9721.779.008.6326.7821.0810.137.9027.6217.649.276.3421.5114.558.326.8922.3216.267.556.8418.1011.534.823.5211.836.921.00