Bruker Financial Ratios for Analysis 2009-2025 | BRKR

Fifteen years of historical annual and quarterly financial ratios and margins for Bruker (BRKR).

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
1.601.802.312.632.432.782.182.592.432.222.342.211.921.581.261.62
0.530.450.520.530.460.470.260.360.360.270.310.290.320.260.140.22
1.170.921.081.230.870.890.380.570.590.360.460.420.480.490.570.33
49.0051.0551.5950.0347.2948.0247.4846.2146.2543.6442.2043.7846.3045.5646.2946.43
7.5214.7417.1017.0912.4914.5213.8412.4311.288.975.838.068.719.4211.9312.27
7.5214.7417.1017.0912.4914.5213.8412.4311.288.975.838.068.719.4211.9312.27
12.9818.6120.6120.7816.5418.1717.2716.0514.6512.269.1311.3912.0112.6214.7014.99
6.1518.3616.3616.2811.3613.5312.9111.2011.027.885.606.777.728.8111.5011.58
3.3614.4111.7211.467.949.519.484.459.536.263.134.354.335.597.317.29
0.580.700.700.660.650.750.890.910.890.940.970.930.970.970.840.95
1.611.501.531.701.511.871.951.951.972.172.191.751.571.561.371.41
5.956.035.355.805.935.725.315.536.616.926.175.986.195.845.606.05
61.3160.5868.1862.9361.5863.7968.7866.0055.2552.7659.1661.0458.9562.4965.1560.29
6.3330.7326.5225.8716.5721.5920.0010.9522.2914.317.729.6211.0215.0418.3519.34
-18.2888.9975.1552.6237.9950.6544.0716.6831.3519.8810.6413.2516.4024.2133.0422.11
1.9610.088.267.695.297.148.504.128.546.063.204.114.215.506.256.91
2.9516.7712.8312.178.8811.4514.746.9914.2410.515.296.797.4811.1315.7715.15
11.859.617.667.196.415.955.784.714.344.434.585.074.263.773.192.55
1.682.381.841.852.151.361.520.970.811.360.670.860.800.530.940.91
0.921.731.061.281.520.971.210.770.581.160.490.570.380.200.770.81

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.601.661.651.811.801.892.082.032.312.362.552.562.632.162.062.062.432.672.612.602.782.232.192.122.182.242.222.222.592.602.632.462.432.292.272.262.222.052.082.412.342.292.332.202.212.122.101.991.921.811.611.611.581.271.291.281.261.611.541.611.621.571.521.57
0.530.550.540.490.450.470.470.480.520.550.540.540.530.400.420.420.460.460.500.500.470.380.360.260.260.210.210.210.360.390.360.340.360.330.320.280.270.240.240.330.310.300.290.290.290.310.320.330.320.300.270.270.260.060.090.120.140.160.200.210.220.240.270.37
1.171.261.190.960.920.990.991.031.081.221.201.181.230.760.820.840.870.861.131.090.890.610.570.360.380.290.280.280.570.650.560.530.590.520.510.430.360.480.480.490.460.440.400.410.420.460.470.490.480.480.500.480.490.520.460.520.570.250.310.320.330.410.510.68
50.3648.4548.0348.8850.3651.5349.9352.4951.6552.4850.6851.4849.9850.7049.1650.2449.8848.5543.8545.3549.3948.7247.0046.5349.2847.7146.2546.1948.2945.6644.4745.8347.4647.0245.7644.4344.2342.2942.7845.3242.4839.8543.8342.4142.7344.0144.3244.3646.5346.9244.7446.9445.8245.2745.7645.3247.0847.2344.9745.4850.3344.9644.0444.56
7.367.886.018.9812.1116.7612.6417.9018.4920.5512.5616.2218.3518.5915.0016.0617.9815.888.933.8719.6216.8510.919.0819.2214.8111.008.8317.9611.788.519.7717.3311.655.499.0614.787.127.984.308.761.177.744.8611.057.189.563.107.5813.475.258.4811.308.969.657.2012.4012.6712.609.6920.809.818.006.20
7.367.886.018.9812.1116.7612.6417.9018.4920.5512.5616.2218.3518.5915.0016.0617.9815.888.933.8719.6216.8510.919.0819.2214.8111.008.8317.9611.788.519.7717.3311.655.499.0614.787.127.984.308.761.177.744.8611.057.189.563.107.5813.475.258.4811.308.969.657.2012.4012.6712.609.6920.809.818.006.20
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5.736.402.989.9228.1916.0511.3715.5617.0820.2411.8315.8017.4817.8714.0215.3816.8414.727.373.1818.5415.979.718.3218.1014.029.768.2916.7010.887.288.2118.8010.924.797.5714.075.966.413.318.562.147.243.719.746.107.852.116.6712.864.596.6311.039.428.235.8012.4012.3111.209.5819.989.136.856.25
1.404.730.957.0524.0511.868.3711.1613.7513.798.4110.3511.0814.3010.0910.2210.9810.625.682.4811.4411.767.456.6814.119.307.036.25-0.648.495.645.6114.6711.813.906.2912.842.985.531.845.141.313.592.056.383.785.031.372.478.872.353.728.234.735.513.177.048.837.515.8011.876.195.113.64
0.170.140.140.160.200.190.180.180.200.190.170.170.190.190.180.180.210.180.140.140.220.220.210.210.260.250.250.240.270.220.220.210.260.220.220.220.280.210.220.200.270.220.230.210.280.230.250.220.280.250.240.230.280.250.240.220.270.240.260.240.310.240.230.22
0.460.370.350.350.440.390.370.380.430.410.380.390.480.410.400.390.450.380.360.370.530.460.440.460.550.470.470.450.560.460.460.440.560.430.430.450.630.480.470.410.610.450.420.390.540.390.420.350.450.380.370.330.450.380.350.340.430.340.390.350.430.330.320.30
1.731.611.581.521.741.531.511.451.501.521.461.441.641.641.691.701.871.551.311.301.661.451.411.281.551.441.591.381.661.611.731.711.931.761.801.612.041.631.651.551.731.561.641.441.791.471.511.441.791.691.691.551.681.541.471.431.791.591.861.591.991.751.901.61
51.9556.0657.0159.2951.8258.8159.5061.9560.0659.3561.5862.5954.9055.0053.1452.8948.0958.0668.7869.0954.3461.9763.8970.3058.0762.3856.5565.3854.1755.7452.1552.7046.6751.0950.1055.9644.1755.0554.6157.9551.9457.6555.0262.6650.1461.0359.4562.5550.3353.2253.2358.0953.5758.3261.4063.1550.3756.6948.3156.6845.2251.5047.3755.80
0.772.210.423.6314.677.234.626.468.739.325.056.027.018.095.785.897.325.742.671.157.507.204.253.338.615.364.013.47-0.415.083.152.979.976.712.213.338.461.683.010.963.430.771.901.154.222.173.220.821.875.741.542.286.343.333.582.055.695.655.553.8310.414.313.772.89
-2.23-5.96-1.1522.4342.4923.7114.7320.7524.7525.0814.0114.8014.2516.0911.8712.7016.7817.037.653.1817.6021.6913.078.3418.979.647.495.83-0.6210.015.965.4714.0211.493.685.4411.752.374.321.434.731.112.621.635.823.284.931.302.799.662.734.0610.205.726.213.7710.247.167.484.6411.905.474.893.88
0.240.660.131.154.812.321.502.062.722.651.471.752.082.821.901.902.341.920.820.362.482.611.571.373.662.341.741.50-0.151.921.251.183.822.610.861.363.580.701.270.391.420.330.840.491.810.871.290.310.722.220.570.842.321.201.330.721.942.182.011.383.721.431.170.81
0.360.990.191.868.013.812.443.354.234.242.312.783.304.883.383.413.923.091.320.583.984.482.712.456.354.213.182.75-0.263.082.011.946.374.501.492.386.211.282.290.642.350.541.350.822.981.492.200.551.274.021.121.674.693.123.271.804.894.744.453.038.163.262.741.83
11.8512.0411.949.869.618.418.528.177.666.436.646.917.197.186.726.486.416.285.926.005.955.555.635.885.785.275.025.064.714.744.804.574.344.374.154.364.434.574.564.274.584.835.275.175.074.664.324.154.264.183.863.993.773.643.803.453.193.002.502.542.552.282.051.82
1.680.400.150.152.380.980.680.591.840.690.220.511.850.940.780.642.150.840.300.231.360.500.160.091.520.680.510.280.970.320.100.200.810.250.03-0.091.360.470.150.160.670.270.190.110.860.08-0.15-0.110.800.250.250.030.53-0.03-0.15-0.180.940.380.320.030.910.410.310.08
0.92-0.11-0.150.011.730.540.420.501.060.150.070.471.280.550.490.491.520.39-0.030.030.970.28-0.020.021.210.500.400.220.770.170.010.170.580.09-0.08-0.131.160.340.080.130.490.130.090.060.57-0.16-0.33-0.190.38-0.030.08-0.040.20-0.26-0.34-0.240.770.250.260.000.810.350.270.06