Coherent Financial Ratios for Analysis 2009-2024 | COHR

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

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
2.723.013.404.152.663.003.223.803.403.693.744.884.904.353.947.16
0.420.460.340.280.510.280.290.260.220.180.250.150.020.030.010.01
0.730.860.640.401.090.410.430.380.300.240.360.180.020.040.010.01
30.9331.3638.1637.9133.2438.2639.8939.9537.8236.6133.1836.9338.9941.1539.0042.30
2.04-0.7212.4912.951.6610.9111.8011.8911.1010.356.8012.9715.7919.6514.9816.37
2.04-0.7212.4912.951.6610.9111.8011.8911.1010.356.8012.9715.7919.6514.9816.37
14.3112.8821.7122.3111.8718.6119.6418.4317.9517.5114.5720.3822.4725.3021.0721.63
-3.14-6.898.5011.35-2.699.4510.5412.2210.8710.666.6814.0617.1320.2414.8715.85
-5.94-7.825.028.38-2.827.897.599.807.928.895.639.2211.6816.4411.1812.59
0.320.380.420.480.450.700.660.660.680.700.640.640.730.780.680.79
2.532.782.272.772.562.842.812.872.942.862.752.452.292.342.592.20
5.555.724.744.713.985.055.395.035.025.275.005.144.935.554.396.78
65.7963.7777.0777.4491.7372.2367.7372.6172.7269.2573.0470.9974.0565.7783.1653.85
-2.84-5.717.4010.05-3.239.498.5910.588.379.055.689.2311.9615.879.4312.05
6.657.7713.8521.39-84.3915.9514.0018.4515.4516.0611.1913.7815.1619.3011.7513.68
-1.10-1.892.994.57-1.285.505.006.455.406.233.576.8010.0112.837.6110.56
-1.65-2.814.266.31-1.576.826.107.796.567.454.277.8311.7115.439.3511.92
36.5335.7333.8132.2922.4417.7916.1814.2612.6411.9110.9810.229.418.356.655.47
3.604.613.554.993.502.712.471.841.952.071.501.681.371.161.180.81
1.311.440.853.721.890.630.12-0.311.031.231.041.290.700.510.950.55

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
2.672.722.712.882.993.013.083.022.873.401.992.002.974.154.263.223.092.662.802.783.223.003.413.173.633.223.684.013.893.803.853.803.793.403.653.793.983.693.753.893.723.743.824.224.624.885.445.305.914.905.284.634.684.353.984.224.213.943.797.518.317.166.69
0.400.420.420.410.470.460.450.460.470.340.200.210.220.280.280.300.330.510.520.520.520.280.300.300.330.290.310.330.300.260.250.250.220.220.240.140.160.180.190.220.240.250.270.280.230.150.160.170.030.020.020.030.040.030.010.010.010.010.010.010.010.010.02
0.680.730.730.720.890.860.840.870.920.640.640.660.400.400.420.450.501.091.131.111.120.410.460.450.510.430.470.500.450.380.350.350.310.300.340.190.220.240.260.300.350.360.400.420.320.180.190.200.030.020.020.040.050.040.010.010.010.010.010.010.010.010.02
34.1332.8630.3230.9929.1428.4933.8830.0132.9936.7638.8638.5738.5635.6737.0239.7639.3636.6839.2222.2636.1738.2237.1638.3639.4140.0140.1738.8740.5339.7439.8840.6639.5538.3537.8737.2737.6238.1335.9735.6636.5233.1631.5131.0937.5437.7135.4037.7836.9147.9234.6934.2939.7541.5740.6541.3940.9836.2839.8240.0241.4240.8537.51
5.584.811.852.82-2.02-12.885.430.603.1612.8812.9012.1711.9512.0310.8615.0913.899.0411.01-11.79-5.4311.239.0911.5511.8412.4611.7011.5411.3913.0411.8511.7110.6911.979.4511.3811.4811.809.679.3510.447.825.045.578.9814.2012.6212.3612.5422.9812.8011.2316.6519.5419.7520.4218.8618.9514.9010.4612.9613.0911.73
5.584.811.852.82-2.02-12.885.430.603.1612.8812.9012.1711.9512.0310.8615.0913.899.0411.01-11.79-5.4311.239.0911.5511.8412.4611.7011.5411.3913.0411.8511.7110.6911.979.4511.3811.4811.809.679.3510.447.825.045.578.9814.2012.6212.3612.5422.9812.8011.2316.6519.5419.7520.4218.8618.9514.9010.4612.9613.0911.73
---------------------------------------------------------------
1.430.75-2.63-3.31-8.38-19.37-0.38-4.84-3.795.527.619.8411.3711.5411.9413.518.185.465.32-16.13-8.979.577.8910.1310.2910.6510.5910.6110.2912.3711.9513.7210.7711.718.4711.5911.7011.468.3614.038.887.535.205.548.6214.1913.2815.8213.0924.4114.5112.3617.7819.5820.8220.0220.5518.6214.8110.7312.8212.6214.02
-0.44-6.08-3.67-5.09-9.28-17.83-2.70-5.91-5.522.973.856.327.228.109.4610.305.476.870.94-14.74-7.647.737.198.378.328.4610.213.418.0811.939.1610.317.365.947.289.929.108.687.9412.506.626.734.924.416.466.7011.029.759.6112.1710.5510.4813.4316.7217.7815.8515.2914.1110.578.709.629.267.50
0.090.090.080.080.080.090.090.100.100.110.110.110.120.120.120.140.130.140.120.130.060.190.180.180.170.180.170.170.170.190.180.180.180.200.170.180.180.190.180.170.180.180.160.150.150.170.170.150.190.170.190.190.210.200.220.210.220.220.200.180.170.180.18
0.640.690.650.600.580.680.590.700.670.620.580.610.650.750.730.720.690.760.610.780.290.760.710.730.720.780.710.730.690.810.770.750.730.850.700.720.710.740.710.680.720.760.680.670.560.660.610.510.620.450.620.580.590.610.690.700.760.890.740.570.510.510.50
1.641.551.261.321.321.341.341.431.381.271.271.341.201.231.271.381.261.251.261.360.661.351.361.511.371.491.531.441.361.421.411.511.421.471.381.491.421.401.351.311.141.371.371.521.461.401.391.331.341.131.301.451.511.451.431.421.451.441.521.751.701.531.65
54.7258.1071.1568.1068.0167.3367.0862.8365.2971.0671.0167.4075.1573.4070.6965.3371.3472.1371.2566.0413666.9066.3159.5965.5860.2858.8662.6966.3663.5863.7659.5663.3661.4365.2360.3063.4164.4266.4968.9578.6265.4865.4659.3061.6664.4264.8067.4567.1479.4469.0162.2059.7961.8863.0263.6062.1962.4959.4051.2953.0658.7354.41
0.42-0.84-0.28-0.49-1.40-3.920.05-0.95-0.851.381.542.192.472.782.823.151.782.470.29-4.75-1.222.472.212.672.512.652.961.002.243.632.632.922.041.831.922.532.342.342.043.161.801.871.281.111.482.562.592.122.174.092.452.403.424.244.734.174.223.952.631.761.891.912.18
-1.111.970.661.172.035.34-0.081.381.192.572.924.325.085.926.287.434.4764.54-21.68-250.33-28.554.163.804.514.304.324.921.723.936.324.445.103.663.383.904.294.094.163.725.913.493.702.622.232.583.813.903.132.735.193.133.104.465.155.815.185.194.923.351.982.142.172.48
0.17-0.32-0.11-0.19-0.50-1.300.02-0.32-0.280.560.630.881.141.261.271.560.850.980.12-1.89-0.481.431.271.531.391.541.730.571.332.211.661.851.331.181.221.821.661.611.402.111.161.180.780.670.971.881.921.541.853.432.081.992.813.423.853.403.433.192.121.551.671.681.86
0.25-0.49-0.16-0.29-0.75-1.930.03-0.47-0.410.791.081.511.691.741.741.891.021.200.14-2.29-0.581.781.541.871.681.882.050.671.562.671.982.201.581.441.462.161.961.931.652.471.371.410.940.801.152.172.171.762.114.012.402.333.294.124.694.134.193.912.611.741.871.892.13
38.0036.5337.4438.5131.9435.7337.6237.3136.2233.8134.0833.3132.5832.2931.7030.9629.3822.4422.1322.7123.4517.7917.4916.8816.4116.1816.2515.4615.1814.2613.5213.1012.8712.6412.6312.2812.0311.9111.6311.4811.1210.9810.7410.6610.4610.2210.119.909.649.419.258.988.738.357.877.427.046.656.335.755.635.475.30
1.003.602.521.751.324.613.252.160.603.552.362.060.454.993.843.091.283.501.290.62-0.392.711.741.340.292.471.570.920.191.841.210.910.311.951.290.990.352.071.370.790.011.501.080.870.381.681.070.950.361.370.890.670.221.160.930.520.171.180.860.520.260.810.59
0.401.310.900.740.911.440.790.39-0.450.850.681.190.043.722.942.400.961.890.13-0.26-0.780.630.090.21-0.260.12-0.04-0.28-0.38-0.31-0.320.01-0.161.030.770.690.201.230.730.29-0.331.040.750.650.281.290.800.750.270.700.390.310.020.510.480.290.090.950.710.410.220.550.38