CACI Financial Ratios for Analysis 2009-2024 | CACI

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

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
1.271.221.181.501.411.491.731.671.631.671.740.971.411.791.282.28
0.300.340.360.390.340.410.330.400.470.410.480.200.310.240.180.36
0.440.530.570.650.530.700.500.690.910.720.940.490.460.310.450.56
32.8034.3134.6934.9734.9833.7433.3332.6033.5633.8031.9331.1331.1529.3229.9031.44
8.488.478.008.938.007.587.636.837.077.137.227.367.947.036.196.74
8.488.478.008.938.007.587.636.837.077.137.227.367.947.036.196.74
10.3710.6110.2111.049.989.359.338.588.899.219.138.889.498.677.948.54
7.117.227.338.277.026.586.685.715.976.096.156.657.316.385.355.60
5.485.745.917.575.625.336.743.763.813.813.804.124.444.033.383.29
1.131.020.940.981.030.981.111.110.941.021.061.471.581.541.401.36
----------------
7.437.496.706.876.805.735.545.754.665.565.795.996.006.245.935.72
49.1448.7454.5053.1353.6863.6765.9263.4878.3665.6763.0360.9360.8158.4661.5563.77
11.9411.9312.0117.1612.0811.2014.299.128.888.5310.0012.6414.4511.089.148.78
-37.80-28.12-23.13-31.69-27.89-18.96-39.85-16.06-11.39-13.96-12.82-40.87-47.08-224.10-110.57-59.50
6.185.835.537.415.805.227.474.183.583.904.056.117.046.264.784.51
8.407.897.7110.518.006.669.655.514.755.045.2310.129.948.487.525.65
15814113011310695.3285.2973.3366.0861.2157.8452.0047.2643.3738.7834.35
22.0316.5731.4923.7020.3521.8712.7311.229.789.308.0910.449.657.396.824.96
19.2113.8528.3420.7717.5219.9811.089.498.948.597.489.792.386.936.094.55

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
1.751.271.281.321.241.221.231.201.171.181.291.421.491.501.341.291.461.411.381.331.351.491.541.821.761.731.521.551.531.671.641.721.711.631.611.691.651.671.541.681.691.741.581.761.070.971.681.601.531.411.651.621.501.791.641.611.411.282.162.082.182.282.35
0.330.300.330.350.350.340.360.320.340.360.380.420.370.390.410.320.360.340.360.380.390.410.420.310.320.330.320.350.380.400.410.430.450.470.480.380.390.410.420.440.460.480.490.520.200.200.370.380.380.310.310.330.320.240.240.250.180.180.320.320.330.360.40
0.500.440.500.550.570.530.580.480.520.570.630.740.620.650.720.490.580.530.590.640.660.700.750.470.500.500.530.580.640.690.740.800.850.910.940.640.660.720.750.830.870.941.001.130.500.490.590.620.620.460.460.500.470.310.320.330.340.450.470.480.500.560.66
31.2334.8233.3731.5531.2034.8934.4333.6534.2534.1935.4734.4434.6633.2935.5535.5135.6034.3634.9335.1635.5434.0234.8633.0732.8633.0535.2033.1631.8832.3932.6033.3032.1532.1733.7534.1134.6634.4433.6232.9634.1432.3632.7232.1530.4131.3031.2431.3430.6731.2931.8330.1931.3128.8529.3429.8329.3228.9829.7130.0830.9630.7031.49
8.749.709.367.277.428.748.897.938.277.307.918.358.527.169.769.649.218.947.767.907.355.907.508.658.546.879.328.116.207.046.197.596.497.286.526.687.848.676.575.837.377.646.727.437.087.447.577.476.958.087.847.688.188.116.766.856.256.366.036.116.227.216.67
8.749.709.367.277.428.748.897.938.277.307.918.358.527.169.769.649.218.947.767.907.355.907.508.658.546.879.328.116.207.046.197.596.497.286.526.687.848.676.575.837.377.646.727.437.087.447.577.476.958.087.847.688.188.116.766.856.256.366.036.116.227.216.67
---------------------------------------------------------------
7.588.517.935.776.047.327.546.737.266.617.347.617.826.419.189.028.538.246.806.846.114.586.447.867.786.078.387.115.166.015.086.425.336.145.385.706.737.685.534.776.266.565.456.376.226.726.886.806.227.477.187.007.587.526.146.165.555.715.215.195.246.195.55
5.846.615.954.574.656.335.785.285.555.666.026.085.918.767.757.256.426.275.505.684.993.645.395.816.764.435.7413.133.873.893.714.013.423.913.493.674.214.783.553.023.824.033.423.913.824.164.234.263.834.574.404.224.564.773.993.833.443.523.413.353.233.773.26
0.290.300.280.280.270.260.260.250.250.250.240.220.240.250.260.250.250.270.260.250.250.270.250.280.270.290.280.270.270.290.280.270.270.280.250.260.260.270.250.250.250.270.270.250.340.370.360.370.380.400.380.400.400.420.400.390.390.380.360.360.370.360.35
---------------------------------------------------------------
1.921.981.911.941.851.901.741.902.021.771.851.741.921.781.801.961.781.781.751.681.611.581.421.161.231.451.371.431.381.501.501.471.481.391.281.481.501.451.381.321.441.471.401.261.361.491.441.531.581.511.391.481.551.681.591.541.511.601.501.451.511.531.46
46.8045.5447.0946.5048.7747.2951.8447.4044.5550.7648.7051.7646.7850.6349.9245.8350.5750.6251.5353.4556.0156.9863.3077.4672.9962.0665.6662.7265.3859.9360.1761.0860.9864.9570.5060.8159.8561.9965.3968.3662.6761.1764.1771.5666.1460.5962.3958.9356.8159.6564.9160.9258.1953.5556.4758.5759.4156.3160.1661.9859.6858.9061.48
3.293.833.432.592.723.343.262.682.833.043.223.173.205.144.783.693.383.523.143.162.802.112.923.043.602.463.137.192.292.472.322.502.232.712.171.972.302.792.031.752.262.692.352.712.683.163.313.543.303.753.323.483.693.522.912.722.422.582.372.372.272.692.30
-12.37-12.12-9.13-6.23-6.13-7.88-6.71-6.42-6.08-5.86-5.58-4.91-6.06-9.49-7.49-8.47-6.80-8.13-6.37-5.91-5.10-3.57-4.72-10.83-11.07-6.86-8.11-16.38-4.33-4.34-3.74-3.75-3.05-3.48-2.58-3.62-3.96-4.57-3.06-2.50-3.07-3.45-2.80-3.03-10.01-10.23-9.03-8.45-7.76-12.23-14.27-12.46-12.96-71.20-29.87-21.93-38.42-31.23-17.65-14.76-21.45-18.24-10.46
1.671.981.701.261.281.631.511.331.371.401.451.341.432.222.021.821.571.691.451.431.250.981.331.601.851.281.593.581.061.131.041.090.941.090.860.941.081.280.890.750.941.090.910.991.311.531.531.601.481.831.671.711.831.991.621.521.361.351.231.221.191.381.14
2.222.692.311.691.762.212.081.821.881.951.991.832.003.152.802.502.162.332.001.951.711.251.692.102.431.662.124.671.431.491.361.421.231.451.141.221.411.651.180.971.221.411.201.302.132.532.092.192.042.582.282.322.522.692.212.051.992.131.621.611.521.731.39
16415815114514214113613813413012612211811310711411010610210097.1795.3293.7490.7788.1485.2983.3580.6874.5273.3371.0969.5367.4966.0864.6763.7062.2561.2159.0758.1558.4057.8456.1654.8653.1952.0050.4149.1547.8647.2646.5444.8343.2243.3741.7640.5839.5538.7837.3736.5035.2534.3532.00
1.5422.0315.136.333.0616.5710.148.756.1231.4925.1113.087.8023.7019.8915.026.9420.3514.049.324.0421.8717.875.513.2712.739.946.033.1611.228.625.402.329.787.645.473.219.307.763.844.648.095.631.761.1010.446.244.082.979.655.163.131.887.394.652.220.256.824.012.201.674.963.10
1.0319.2113.305.022.4513.858.387.665.5828.3423.4712.177.3720.773.7313.776.3017.5211.917.713.1619.9816.704.802.9011.088.685.162.869.497.234.531.878.947.105.163.038.597.233.534.507.485.181.480.989.795.713.650.932.384.702.871.786.934.362.030.146.093.341.671.374.552.80