Calix Financial Ratios for Analysis 2009-2024 | CALX

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

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
3.193.313.192.641.251.221.271.812.722.742.271.912.183.522.02
---------------0.05
----0.190.200.21--------0.06
49.8650.1752.4949.3344.2944.7333.8843.8646.7444.3144.7141.6634.6639.2732.90
2.466.0610.886.81-3.63-4.20-15.98-6.13-6.51-5.08-4.82-8.79-15.18-6.09-8.30
2.466.0610.886.81-3.63-4.20-15.98-6.13-6.51-5.08-4.82-8.79-15.18-6.09-8.30
3.667.5813.099.34-1.20-2.11-13.83-2.970.792.002.69-0.82-7.54-1.85-3.52
3.346.2310.696.33-3.90-4.25-16.03-5.90-6.33-5.04-4.52-8.53-15.18-6.44-9.78
2.824.7335.096.19-4.17-4.37-16.27-5.97-6.46-5.19-4.51-8.58-15.25-6.78-11.24
1.100.980.921.271.341.391.731.291.261.081.000.870.961.110.97
3.922.903.635.255.894.8610.705.784.554.784.144.454.987.108.42
8.259.257.977.809.126.586.358.948.6413.058.795.557.416.624.96
44.2539.4545.7846.8140.0155.4357.4940.8442.2427.9741.5265.7949.2555.1673.63
4.086.0341.9411.94-11.49-12.70-57.28-12.87-11.17-7.64-6.30-10.53-18.94-9.506.61
4.867.2852.7120.40-46.74-53.97-288.43-28.31-23.31-15.86-15.14-31.27-64.72-14.365.45
3.114.6332.137.84-5.58-6.09-28.14-7.71-8.13-5.62-4.50-7.50-14.67-7.20-9.31
4.086.0341.9411.94-11.49-12.70-57.28-12.87-11.17-7.64-6.30-10.53-18.94-9.506.95
11.0510.348.844.512.732.822.814.314.765.285.455.505.805.05-83.03
0.810.390.840.830.080.07-1.250.50-0.100.750.830.570.320.310.34
0.550.190.680.70-0.16-0.13-1.410.30-0.250.510.680.360.160.12-0.91

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
4.283.963.194.223.693.583.312.963.513.113.193.202.982.832.642.431.351.211.251.151.151.161.221.181.231.241.271.261.371.471.812.242.412.522.722.973.043.102.742.712.622.522.272.111.931.921.912.032.052.132.181.991.921.983.523.383.032.812.02---
---------------------0.11-----------------------------------0.08-0.05---
----------------0.160.200.190.170.170.330.200.210.210.220.210.20-----------------------------0.11-0.06---
54.3154.1642.7853.2752.2851.2251.0850.1749.5849.6351.7151.9653.1353.2152.3550.4847.3944.8745.5243.8544.5342.9144.6946.0645.5442.3136.6634.6534.3529.2539.5944.1846.5546.2344.3247.3048.7146.6746.0842.6245.2443.0342.6045.7545.0145.4140.5041.2142.0943.0540.4638.0730.7928.5342.1638.3739.6934.5933.6535.4432.2027.98
-5.73-0.90-4.576.044.533.975.348.464.805.338.2810.4512.1712.8314.5714.45-2.80-6.241.24-2.49-4.92-10.20-4.460.59-2.62-11.18-9.26-13.40-14.84-27.92-9.280.61-5.47-10.92-9.270.78-5.82-13.06-2.56-3.54-3.97-11.53-8.57-0.01-5.13-6.12-8.47-8.70-8.65-9.38-5.63-8.24-17.90-31.81-1.20-7.17-3.41-17.703.16-5.47-16.19-29.96
-5.73-0.90-4.576.044.533.975.348.464.805.338.2810.4512.1712.8314.5714.45-2.80-6.241.24-2.49-4.92-10.20-4.460.59-2.62-11.18-9.26-13.40-14.84-27.92-9.280.61-5.47-10.92-9.270.78-5.82-13.06-2.56-3.54-3.97-11.53-8.57-0.01-5.13-6.12-8.47-8.70-8.65-9.38-5.63-8.24-17.90-31.81-1.20-7.17-3.41-17.703.16-5.47-16.19-29.96
--------------------------------------------------------------
-4.380.21-3.416.885.454.565.768.664.795.317.8110.1312.2512.8114.2813.74-3.41-6.510.66-2.42-4.94-10.76-4.680.78-2.36-11.70-9.21-13.68-14.91-27.78-8.790.70-5.31-10.78-8.940.99-5.73-13.00-2.45-3.53-3.93-11.56-6.89-0.03-5.22-6.46-7.32-8.73-8.81-9.45-5.64-8.24-17.90-31.81-1.19-7.06-4.13-18.862.76-7.79-18.11-32.12
-4.020.05-2.496.433.593.844.885.693.724.3911.2710312.1312.7214.1813.65-3.54-6.830.41-2.95-5.03-10.93-4.830.71-2.50-11.81-9.33-13.86-15.06-28.36-8.710.52-5.42-10.91-9.090.82-5.83-13.10-2.68-3.64-4.03-11.68-6.860.53-5.46-6.85-7.19-8.78-8.98-9.57-5.69-8.29-18.01-31.84-0.80-7.09-4.47-21.083.22-11.43-18.40-34.22
0.220.250.280.280.280.270.280.270.250.240.240.250.330.350.400.390.370.310.380.360.320.280.360.380.400.370.470.400.380.340.370.370.350.330.320.330.290.260.300.290.270.240.250.260.240.240.240.220.210.220.260.230.270.180.360.290.270.180.37---
0.800.871.140.820.810.780.800.831.040.890.961.101.021.051.551.791.711.841.631.391.231.081.272.043.042.122.772.322.091.791.791.681.411.291.231.351.251.191.291.381.171.091.061.431.391.261.261.581.371.201.211.171.761.032.161.871.731.203.16---
2.412.262.103.272.692.712.612.352.352.102.071.872.102.182.452.182.031.512.582.361.671.621.721.701.611.781.722.912.361.832.572.122.192.252.232.332.362.333.632.472.071.942.161.901.511.281.541.441.401.631.971.751.691.322.112.302.021.911.88---
37.2839.8942.8427.5233.4433.1934.5338.2838.3742.8043.4748.0442.7741.3236.7541.3444.3059.4234.8338.1554.0055.6052.2253.1056.0350.4752.4730.9038.1049.1635.0542.5241.1540.0740.4238.6238.1238.5624.7936.4043.4646.2841.6747.2659.7870.2958.5962.4364.3055.1545.7051.5353.2368.4342.5839.2044.6447.0147.86---
-1.060.01-0.922.261.261.341.762.081.221.373.5033.125.926.558.608.30-2.65-4.600.32-2.31-3.43-6.70-3.670.56-1.98-8.50-8.88-11.87-11.49-18.29-5.390.29-2.73-5.00-4.050.36-2.21-4.51-1.10-1.43-1.47-3.75-2.360.20-1.91-2.32-2.44-2.64-2.59-2.74-1.88-2.51-6.28-7.58-0.38-2.71-1.64-5.13-0.84---
-1.250.02-1.092.671.501.602.122.531.501.714.4042.308.9210.3814.6815.64-9.80-19.991.31-11.27-16.26-32.92-15.602.90-11.18-53.68-44.69-52.19-38.71-50.51-11.860.63-6.14-11.25-8.450.71-4.46-9.34-2.28-3.14-3.33-8.95-5.660.50-5.10-6.61-7.26-8.20-8.24-9.18-6.42-9.18-23.65-26.58-0.57-4.11-2.53-8.44-0.69---
-0.870.01-0.701.831.001.051.351.550.951.052.6825.504.034.405.645.33-1.31-2.140.16-1.07-1.62-3.07-1.760.27-0.99-4.33-4.36-5.59-5.77-9.53-3.230.20-1.91-3.57-2.950.27-1.67-3.44-0.81-1.07-1.09-2.77-1.680.14-1.30-1.61-1.74-1.94-1.93-2.09-1.46-1.92-4.80-5.80-0.29-2.04-1.21-3.431.18---
-1.060.01-0.922.261.261.341.762.081.221.373.5033.125.926.558.608.30-2.65-4.600.32-2.31-3.43-5.95-3.670.56-1.98-8.50-8.88-11.87-11.49-18.29-5.390.29-2.73-5.00-4.050.36-2.21-4.51-1.10-1.43-1.47-3.75-2.360.20-1.91-2.32-2.44-2.64-2.59-2.74-1.88-2.51-6.28-7.58-0.38-2.71-1.64-4.74-0.88---
11.4611.3311.0511.3911.1810.8410.349.909.469.168.848.405.475.014.514.012.742.672.732.632.662.692.822.712.662.672.812.983.293.674.314.484.384.504.765.015.025.105.285.255.295.315.455.515.455.475.505.585.685.735.805.846.016.635.055.305.244.96-83.03---
0.560.220.810.590.370.120.390.300.210.110.840.650.490.150.830.330.070.020.080.07-0.06-0.010.070.10-0.05-0.11-1.25-0.57-0.43-0.470.500.110.110.11-0.10-0.02-0.13-0.230.750.28-0.01-0.100.830.720.470.050.570.510.380.280.320.190.020.070.310.22-0.011.130.32-1.57-1.99-0.85
0.420.160.550.390.220.050.190.170.120.060.680.540.440.110.700.24-0.01-0.01-0.16-0.15-0.23-0.10-0.13-0.01-0.11-0.15-1.41-0.70-0.52-0.520.300.000.050.08-0.25-0.14-0.20-0.260.510.10-0.10-0.140.680.610.410.050.360.350.250.220.160.05-0.080.020.120.12-0.080.80-0.85-2.44-2.38-1.05