Chegg Financial Ratios for Analysis 2010-2024 | CHGG

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

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
0.808.2414.1910.7811.318.294.441.732.371.662.580.441.09-
0.200.520.600.710.640.41------0.14-
0.641.061.522.471.800.69-----0.160.16-
68.4674.2667.1668.1277.5775.0968.5752.9337.0130.7931.5031.7226.1623.31
-9.451.1710.068.814.34-1.94-7.44-15.77-19.15-21.37-19.97-21.21-20.99-15.84
-9.451.1710.068.814.34-1.94-7.44-15.77-19.15-21.37-19.97-21.21-20.99-15.84
9.6013.7920.3728.5222.218.430.15-6.37-0.825.889.9211.7715.9023.35
7.0213.550.74-0.13-1.70-4.19-7.25-15.95-19.16-21.18-21.60-22.98-21.98-18.57
2.5434.77-0.19-0.97-2.34-4.64-7.95-16.63-19.65-21.24-61.98-22.99-21.86-17.45
0.410.310.270.290.280.420.570.871.030.960.781.090.88-
--------------
22.8132.6143.4949.9035.6425.2223.5024.3122.9121.1736.0429.60101-
16.0011.198.397.3110.2414.4715.5315.0115.9317.2410.1312.333.63-
1.9223.88-0.13-1.02-1.93-3.63-5.19-19.03-25.62-26.21-20.3756.9472.46-
6.9963.01-0.19-2.28-3.85-6.33-8.29-49.73-45.23-45.57-25.23-75.61-56.39-
1.0510.82-0.05-0.28-0.65-1.96-4.54-14.53-20.32-20.36-17.06-24.98-19.15-
1.5311.57-0.05-0.29-0.69-2.14-5.19-19.03-25.62-26.21-20.37-40.51-24.93-
9.198.838.084.714.103.563.572.422.622.943.369.2510.68-
1.911.711.931.890.950.660.520.270.000.823.054.893.878.04
1.351.031.250.830.600.390.320.27-0.030.10-1.34-2.76-1.56-8.72

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-312010-12-31
0.910.890.920.802.313.134.568.247.1910.818.0214.1913.6418.647.7110.789.098.207.9311.319.5013.2213.968.296.5610.114.384.443.652.171.671.731.441.612.472.371.552.091.461.661.031.381.432.58------
0.570.400.200.200.370.430.540.520.530.670.680.600.550.560.570.710.700.650.660.640.650.660.650.410.420.42------------------------
3.251.640.620.640.580.741.181.061.132.052.081.521.241.251.432.472.381.861.971.801.891.901.840.690.720.71------------------------
68.2172.1773.3375.6347.0674.0773.8074.9472.5676.5472.7673.1560.9769.4164.0272.2359.5071.5567.7979.1576.4678.1476.0476.9373.1776.0473.7273.6364.3169.7465.8267.3845.7659.6441.6061.2924.0745.9422.8354.2516.2540.1511.9751.285.1347.0018.95---
-162.74-297.28-1.437.07-36.66-10.22-2.373.74-6.943.772.6612.630.2117.528.4623.92-11.5614.422.4913.61-5.377.26-1.057.89-14.05-0.96-3.404.10-17.82-9.38-8.84-1.70-21.49-15.79-22.945.96-29.28-14.46-33.303.25-40.03-14.95-34.41-11.04-40.44-2.63-26.50---
-162.74-297.28-1.437.07-36.66-10.22-2.373.74-6.943.772.6612.630.2117.528.4623.92-11.5614.422.4913.61-5.377.26-1.057.89-14.05-0.96-3.404.10-17.82-9.38-8.84-1.70-21.49-15.79-22.945.96-29.28-14.46-33.303.25-40.03-14.95-34.41-11.04-40.44-2.63-26.50---
--------------------------------------------------
-157.67-293.324.389.45-11.4724.223.391.0551.173.874.9212.394.3017.63-31.4313.87-23.427.76-3.947.19-11.53-1.54-3.795.33-17.51-4.69-2.704.76-17.43-9.43-9.19-1.97-21.74-16.03-22.935.86-29.25-14.47-33.283.25-39.44-14.91-34.33-6.89-47.17-5.73-28.91---
-155.67-378.12-0.815.14-11.5813.461.170.911533.842.8411.723.8716.51-32.8612.66-24.116.92-4.346.55-12.19-2.16-4.435.59-18.47-5.27-3.404.98-18.38-10.70-10.22-2.36-22.52-16.98-23.535.33-29.73-15.11-33.632.00-39.79-12.79-34.63-7.02-47.50-6.00-29.21---
0.140.150.100.110.090.090.080.080.070.070.080.070.050.060.060.090.070.100.090.080.060.070.070.130.100.100.180.160.140.210.220.220.230.180.240.230.250.230.270.270.230.210.220.24------
--------------------------------------------------
5.757.787.055.995.188.858.538.737.4311.5810.1511.6218.4819.6717.0515.9312.3317.3220.2710.896.8815.7810.987.518.619.179.556.776.366.447.126.037.524.116.085.188.725.537.955.865.176.517.9610.88------
15.6511.5612.7715.0317.3810.1710.5510.3112.127.778.867.744.874.585.285.657.305.204.448.2713.085.708.2011.9810.459.829.4213.2914.1413.9812.6314.9211.9621.9214.7917.3710.3216.2811.3215.3517.3913.8311.318.28------
-114.95-168.78-0.151.02-1.772.380.220.1724.040.910.712.200.492.45-5.244.27-5.752.12-1.231.65-2.45-0.44-1.011.30-3.53-1.01-0.710.94-3.12-2.71-2.99-0.67-7.47-4.06-7.121.57-10.98-4.30-12.120.68-13.82-3.23-10.22-1.98------
-122.52-378.73-0.503.71-5.097.290.700.4466.876.768.903.130.653.27-7.229.53-12.176.87-2.643.29-3.84-0.71-1.702.27-6.50-1.70-1.171.50-4.88-6.86-8.16-1.75-20.47-10.76-12.982.77-20.27-7.59-21.611.19-23.67-5.29-12.93-2.45------
-21.21-55.36-0.080.56-1.011.250.090.0810.490.280.220.830.211.04-2.041.16-1.590.69-0.380.55-0.78-0.14-0.330.70-1.82-0.54-0.620.82-2.62-2.25-2.28-0.51-5.08-3.08-5.711.25-7.50-3.52-9.220.53-9.32-2.62-7.74-1.65------
-49.66-101.36-0.120.81-1.121.370.100.0811.260.300.230.870.221.09-2.231.23-1.700.74-0.420.59-0.85-0.15-0.350.77-2.05-0.59-0.710.94-3.12-2.71-2.99-0.67-7.47-4.06-7.121.57-10.98-4.30-12.120.68-13.82-3.23-10.22-1.98------
1.783.549.499.198.938.998.428.838.346.486.388.089.359.258.804.715.024.023.754.103.883.853.623.563.393.423.283.573.412.322.272.422.362.442.452.622.512.692.742.942.803.053.053.36------
1.030.660.521.911.461.020.591.711.230.960.601.931.420.860.551.891.340.910.510.950.720.400.150.660.390.210.060.520.290.170.010.270.34-0.08-0.220.000.21-0.150.080.820.810.270.351.395.601.792.460.000.000.00
0.440.210.251.351.050.840.451.030.680.570.371.250.940.590.400.830.540.330.070.600.460.210.030.390.230.120.020.320.160.120.040.270.40-0.08-0.21-0.030.16-0.30-0.140.100.06-0.17-0.05-0.61-0.70-0.150.74---