CDW Financial Ratios for Analysis 2010-2024 | CDW

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

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
20232022202120202019201820172016201520142013201220112010
1.231.331.271.531.241.351.351.421.481.671.581.571.40-
0.710.790.910.750.770.770.770.750.750.770.820.961.00-
2.763.699.723.033.453.293.283.092.973.384.5727.63-556.99-
21.7619.7317.1417.3816.8616.6716.5217.0316.2915.9116.3516.4816.4915.80
7.867.316.826.396.296.085.846.005.715.574.725.044.904.01
7.867.316.826.396.296.085.846.005.715.574.725.044.904.01
9.138.537.738.697.777.717.607.867.517.356.747.257.206.59
6.786.266.235.435.275.184.454.924.983.211.821.840.29-0.42
5.174.694.754.274.093.963.533.113.102.031.231.170.18-0.33
1.611.811.581.982.252.272.131.971.921.991.821.771.61-
25.0323.8218.6020.0824.5329.7930.0925.1027.6630.0823.5826.8924.93-
4.244.804.225.145.315.445.555.695.867.036.747.076.78-
86.0376.0886.5171.0068.7767.1565.7664.1662.2751.8954.1451.6653.85-
54.0769.5114060.7976.7365.9453.0740.6636.7826.1518.6687.18-234.24-
-29.52-26.35-18.63-45.21-33.69-29.23-21.88-17.24-15.04-10.00-4.68-3.35-0.44-
8.318.497.498.449.218.977.516.125.974.032.242.080.29-
15.6114.9213.2515.3017.3615.4612.479.989.315.993.393.080.44-
15.2311.835.249.146.726.606.446.526.525.444.140.94-0.05-
11.739.755.589.086.955.904.923.641.622.522.312.181.482.93
10.648.824.877.995.355.344.403.261.092.202.011.891.172.65

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-312010-12-31
1.401.131.261.231.351.301.311.331.291.301.261.271.381.441.471.531.501.471.281.241.331.281.291.351.411.361.351.351.371.331.391.421.411.411.451.481.461.671.741.671.651.581.581.581.531.55------
0.700.670.700.710.760.780.790.790.820.850.880.910.830.790.770.750.760.790.790.770.780.780.780.770.730.750.760.770.810.790.780.750.760.760.760.750.750.760.770.770.780.790.810.820.830.95------
2.572.592.632.763.153.573.693.694.645.957.399.724.863.753.363.033.173.693.903.453.513.503.543.292.773.033.253.284.253.883.623.093.273.203.132.973.043.183.293.383.543.704.204.575.1717.82------
21.7721.8121.8222.9921.8121.0021.3521.7219.8419.0118.5617.6217.2617.1516.4417.7717.3617.1217.2417.1416.6416.7116.9817.0316.3216.6216.7516.3616.3316.4717.0018.1916.5716.6616.8316.3116.2016.1316.5716.1315.5316.0016.0316.5216.0016.2516.67-16.4916.52--
8.737.996.738.678.507.336.968.217.507.086.506.137.297.196.696.706.686.495.606.266.536.495.785.966.286.345.665.896.205.935.246.226.406.105.175.265.846.215.505.395.666.065.125.233.245.534.98-5.335.28--
8.737.996.738.678.507.336.968.217.507.086.506.137.297.196.696.706.686.495.606.266.536.495.785.966.286.345.665.896.205.935.246.226.406.105.175.265.846.215.505.395.666.065.125.233.245.534.98-5.335.28--
----------------------------------------------------
7.757.005.687.597.466.285.817.016.426.145.555.196.617.215.975.955.265.624.835.205.325.644.845.075.455.494.594.905.265.022.295.145.345.123.984.157.035.193.162.632.744.423.053.04-0.172.631.85-2.412.31--
5.745.184.435.905.614.674.515.284.794.544.213.895.035.334.814.814.064.333.834.094.114.253.863.914.204.133.525.193.293.621.793.263.403.212.502.614.313.261.991.701.702.791.922.21-0.081.681.17-1.451.42--
0.380.400.370.380.440.430.400.410.460.450.440.420.590.570.530.530.520.500.530.570.640.580.520.570.590.570.510.540.550.550.480.460.550.530.460.510.520.530.450.500.530.510.450.460.470.46------
6.325.855.685.786.235.635.145.325.454.884.594.925.194.805.435.366.075.215.416.156.785.915.567.447.616.056.187.635.996.335.485.766.856.275.637.287.136.376.447.586.515.8013.545.936.806.15------
1.021.031.021.001.151.121.081.101.231.241.171.121.341.351.331.381.301.291.221.341.471.371.291.361.451.401.401.401.461.461.461.321.621.561.561.541.671.741.701.781.981.841.541.701.901.79------
88.3387.3688.5290.3578.4980.2383.4581.9372.9272.3276.6080.2167.1766.4867.5565.2369.4869.7473.6567.3961.1065.5770.0065.9962.1764.2064.4964.1061.6061.8261.5167.9655.5657.5457.5558.3453.7451.6353.0250.6645.4348.8558.4852.9847.3750.37------
13.4712.9210.1014.5017.4316.2814.6717.9122.4625.2528.0130.5131.8526.1319.8818.3715.6017.9118.8719.3321.5721.0016.4916.3415.8316.1812.7419.7516.0316.596.419.9412.7111.597.488.1514.0310.875.615.536.2210.256.748.43-0.3322.34------
-9.49-7.96-6.00-7.92-7.90-6.19-5.41-6.79-6.58-5.79-4.94-4.06-10.79-12.63-11.28-13.66-10.75-9.60-7.70-8.49-9.18-8.74-6.66-7.24-8.89-7.84-5.40-8.14-4.96-5.43-2.27-4.21-4.86-4.48-2.90-3.33-5.45-4.69-2.31-2.11-2.20-3.30-1.85-2.120.08-1.37------
2.202.061.642.232.452.021.802.192.212.051.851.632.963.052.572.552.092.162.042.322.622.481.992.222.492.361.812.791.822.000.861.501.861.711.161.322.241.730.900.850.911.430.861.01-0.040.78------
3.984.263.024.194.223.583.143.844.013.683.382.895.475.534.584.623.793.853.884.374.814.693.653.834.224.053.024.643.083.411.402.442.992.781.822.063.502.611.311.271.382.191.301.53-0.061.19------
17.6416.2815.9115.2313.5112.0411.6211.839.808.186.615.246.157.588.349.148.677.406.256.726.506.466.346.607.697.066.566.445.275.465.746.526.176.216.286.526.365.855.665.445.194.914.394.143.841.44------
6.914.353.2411.737.824.362.669.757.985.562.795.584.572.432.419.085.103.571.546.954.642.801.695.903.922.161.444.922.812.372.273.643.031.882.531.621.720.571.022.522.031.021.432.312.221.411.420.002.522.090.000.00
6.213.903.0210.646.973.842.438.827.275.102.484.874.092.162.267.994.182.881.365.354.132.501.565.343.571.941.334.402.442.132.153.262.781.722.471.091.470.440.972.201.830.901.382.012.041.281.36-2.341.98--