Cboe Global Markets Financial Ratios for Analysis 2009-2024 | CBOE

Fifteen years of historical annual and quarterly financial ratios and margins for Cboe Global Markets (CBOE).

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
1.431.051.311.192.161.151.302.622.763.312.873.893.632.251.21
0.270.290.260.250.210.220.28--------
0.360.500.360.360.260.380.40--------
50.8344.0042.2436.6045.5543.9544.6680.5684.62100.00100.00100.00100.00100.00100.00
28.0412.3723.0619.3221.5221.6516.6842.4148.1950.8449.9647.6447.5538.2841.68
28.0412.3723.0619.3221.5221.6516.6842.4148.1950.8449.9647.6447.5538.2841.68
32.2928.2927.9124.0129.1129.1125.4748.7355.1757.3256.0153.8154.2845.1448.19
27.7610.9421.6419.2720.0920.6315.0043.6148.8150.1849.5947.3447.2537.6641.60
20.075.9115.0913.6314.9315.2417.8026.3030.7530.5230.3930.3026.8822.4624.98
0.500.570.510.530.490.520.421.471.731.611.301.511.551.720.75
---------------
9.169.479.468.788.567.749.515.396.916.817.088.1810.268.559.89
39.8338.5538.6041.5842.6347.1538.4067.6952.8553.5751.5544.6035.5842.6736.90
19.116.7814.6713.9811.0513.1212.8858.4178.9575.8761.8665.8259.0056.5256.58
-106.18-17.80-48.57-36.72-40.46-36.32-26.7265.6910697.5973.7780.1471.8275.7071.68
10.173.367.767.187.257.997.6138.9653.2849.4239.8646.4542.5239.1218.61
14.044.7910.7910.448.7810.239.2158.4178.9575.8761.8665.8259.0056.5256.58
37.7632.7133.8031.2130.3229.0427.593.913.162.973.282.742.661.95-
10.136.105.5713.355.664.773.482.822.953.082.572.292.261.411.24
9.705.545.0912.915.354.443.132.282.482.492.241.951.931.160.82

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
1.391.231.331.431.231.191.071.051.231.211.251.311.241.361.201.191.231.571.772.162.462.021.341.150.910.861.331.301.571.381.752.622.552.272.222.762.832.692.963.313.263.533.712.874.724.223.213.894.253.162.603.633.182.912.092.257.074.861.241.21---
0.260.260.260.270.280.280.290.290.360.380.310.260.270.270.250.250.210.210.210.210.210.220.220.220.230.230.280.280.310.330.35--------------------------------
0.340.360.360.360.400.440.490.500.580.600.450.360.370.380.350.360.280.260.260.260.260.280.370.380.390.390.380.400.460.500.54--------------------------------
50.3952.7552.4651.5152.8751.4547.7045.5044.5343.0242.9045.0745.2443.7836.1636.3836.8434.1838.8846.7343.5345.6346.5544.7246.9742.4742.2442.7944.1141.6554.3074.9580.7483.2583.9344.87100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100100.00100.00100.00
29.1221.5729.5030.3529.8426.9725.0924.9323.83-24.0824.6025.4623.3523.7320.2415.9717.5718.6124.5719.7721.8220.1724.3123.6121.9019.3421.5617.5119.5118.387.3339.2639.0045.0646.6340.9654.0649.3348.6952.2350.4248.4351.9651.1950.0449.9848.6545.9447.4349.8547.3043.8252.2046.9346.3844.1732.9537.1438.3146.8933.6143.6641.11
29.1221.5729.5030.3529.8426.9725.0924.9323.83-24.0824.6025.4623.3523.7320.2415.9717.5718.6124.5719.7721.8220.1724.3123.6121.9019.3421.5617.5119.5118.387.3339.2639.0045.0646.6340.9654.0649.3348.6952.2350.4248.4351.9651.1950.0449.9848.6545.9447.4349.8547.3043.8252.2046.9346.3844.1732.9537.1438.3146.8933.6143.6641.11
---------------------------------------------------------------
29.2720.8430.5229.6829.7226.6425.1223.4723.05-26.0523.0824.2621.2822.3819.0814.5620.6118.0323.6018.9320.8619.2721.2123.5020.1917.9520.5016.7717.3216.565.1439.2639.9548.4147.2143.0054.2449.5148.5050.4250.2448.2151.6550.8749.6649.6748.1545.6647.1749.5346.9243.5451.9246.8045.8742.5532.7336.9137.9946.8333.3843.5841.19
20.5914.3421.7621.7622.7918.4017.4715.9115.06-18.7211.2119.0814.6913.1413.5310.3213.8313.0417.0414.2315.6214.1215.7018.3814.7612.3415.0841.029.7610.504.2423.4323.8929.2928.8627.0835.9430.0229.4629.5032.3329.5930.7432.1829.9530.1629.2830.1735.2628.6027.0726.0328.2727.1125.8726.1418.8822.0022.4328.8919.5125.7924.76
0.120.110.120.130.120.130.130.140.140.130.120.130.110.110.150.130.130.160.180.120.130.120.110.140.110.130.150.120.120.120.070.400.380.430.430.480.470.410.380.430.410.370.380.320.310.350.350.380.340.390.340.370.420.380.390.460.200.220.160.21---
---------------------------------------------------------------
2.492.392.542.352.172.262.482.402.372.232.562.342.192.152.702.162.322.312.262.052.251.962.072.092.042.232.902.652.652.651.451.461.401.562.471.932.031.582.311.841.691.642.301.761.821.882.472.081.822.042.092.432.691.932.232.301.822.412.102.81---
36.0937.6635.4538.2641.5439.8136.2437.4538.0240.3935.1238.3941.0441.9033.3741.6238.7839.0439.8543.9140.0445.8743.5143.0644.0240.3331.0634.0034.0033.9961.9861.5164.2757.5436.4046.7144.2757.0339.0048.9753.1954.8439.2051.2749.5547.8236.5043.3149.5544.1043.1637.0833.4546.7540.3139.1849.5237.2742.8032.09---
5.193.495.215.325.504.584.904.614.56-5.663.074.603.443.064.032.613.293.464.762.543.182.542.904.272.722.643.728.272.102.410.5514.1913.9919.1519.8419.4025.9919.7517.3419.7319.7316.2917.1016.2112.7114.9015.4216.6116.6116.0514.4513.4616.8214.7016.2017.844.555.8710.7618.55---
-59.55-26.20-32.92-29.56-22.93-15.42-14.14-12.10-10.1111.10-10.15-15.23-9.80-9.36-11.51-6.85-10.80-11.71-16.21-9.30-11.35-8.45-8.64-11.82-6.52-6.08-8.32-17.15-3.43-3.70-0.7915.9520.9729.6431.9026.1535.1826.3822.5125.3825.3320.2820.5519.3314.7017.2818.2720.2319.6319.6017.7416.3920.3718.1520.6023.894.986.4613.2123.50---
2.511.522.572.832.692.332.192.282.06-2.471.342.431.591.491.971.341.812.123.011.672.111.641.792.601.671.562.224.881.151.260.289.469.1812.5212.4613.0916.9912.3811.2512.8513.1811.1411.8710.449.3710.7410.3411.7212.1211.209.459.7011.9910.4610.2512.353.854.753.596.10---
3.872.573.833.913.983.293.483.262.91-3.532.123.382.512.233.021.952.612.733.772.022.521.992.273.332.112.042.695.911.441.610.3614.1913.9919.1519.8419.4025.9919.7517.3419.7319.7316.2917.1016.2112.7114.9015.4216.6116.6116.0514.4513.4616.8214.7016.2017.844.555.8710.7618.55---
40.2038.3838.1237.7635.1834.7333.5232.7130.3830.7533.5933.8032.7932.2931.8331.2130.8830.2230.1730.3229.9229.7929.4329.0428.2428.0928.2127.5925.3724.9824.503.913.563.273.043.163.152.742.912.972.903.083.333.283.723.533.152.743.162.752.642.662.732.512.251.954.404.16-----
17.2322.678.4410.1311.924.979.716.107.475.8811.805.5712.016.755.5813.3510.934.461.485.663.532.851.064.772.763.111.453.481.591.53-0.192.822.141.411.192.952.351.270.933.082.161.411.022.571.971.341.092.291.611.000.722.261.821.030.871.410.830.770.691.261.060.860.48
16.8822.448.379.7011.664.789.595.547.165.6711.695.0911.666.555.4912.9110.594.301.385.353.292.671.004.442.513.001.393.131.361.36-0.272.281.691.101.082.482.021.060.842.491.691.080.882.241.741.191.021.951.310.770.631.931.560.820.791.160.680.660.610.830.740.640.39