CommScope Holding Financial Ratios for Analysis 2010-2024 | COMM

Fifteen years of historical annual and quarterly financial ratios and margins for CommScope Holding (COMM).

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
2.031.771.641.721.722.722.692.322.933.842.452.342.66-
1.471.201.020.960.920.690.730.770.810.670.700.680.65-
-3.13-6.15-60.7326.8211.762.272.653.274.292.042.312.091.88-
37.1134.4736.2132.5728.8135.7537.4041.2135.3436.4934.5131.9325.3529.39
-1.95-8.152.92-0.61-6.099.8510.3511.534.7715.089.477.17-5.757.05
-1.95-8.152.92-0.61-6.099.8510.3511.534.7715.089.477.17-5.757.05
7.741.1014.599.153.1417.6818.6419.6312.7421.8516.8515.073.3112.92
-12.40-15.94-5.78-7.76-12.873.744.605.54-1.638.282.191.12-15.353.89
-26.13-17.89-7.72-7.46-11.663.074.254.53-1.866.180.560.16-11.981.38
0.620.640.510.620.580.690.650.690.510.780.740.690.64-
3.373.582.995.226.096.206.426.125.576.626.127.257.23-
7.106.394.405.674.915.645.075.174.576.265.735.575.63-
51.4057.1583.0364.3674.3064.7571.9470.6079.8558.3363.7165.4964.83-
28.6776.63223-161.52-111.147.9811.7615.98-5.8018.111.780.45-28.74-
10.5515.734.166.6810.45-5.73-6.74-7.021.96-16.85-1.09-0.2920.62-
-9.08-10.14-2.64-4.22-6.442.112.753.12-0.944.820.410.11-7.61-
-13.56-14.95-3.75-5.83-8.742.443.223.75-1.105.970.540.15-10.02-
-14.00-7.42-0.771.774.309.138.637.196.396.965.857.638.86-
1.370.920.602.223.082.532.983.261.721.511.451.840.852.35
1.460.430.021.632.552.172.662.931.441.341.241.680.672.12

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-312010-12-31
1.042.302.032.081.991.951.771.791.681.641.641.651.671.731.721.661.751.701.721.861.882.012.722.442.772.732.692.782.762.442.322.252.422.792.933.083.723.943.843.263.062.682.452.652.40------
1.711.561.471.361.211.191.201.061.051.031.021.010.990.980.960.970.970.940.920.890.880.810.690.690.720.720.730.750.750.760.770.770.790.800.810.800.790.670.670.680.690.680.700.820.83------
-2.79-2.78-3.13-3.77-5.83-6.17-6.15-17.86-20.26-30.26-60.73-114.0613845.8126.8237.8633.2816.9711.768.377.254.282.272.272.572.532.652.933.013.253.273.293.754.074.294.063.802.022.042.102.222.172.314.584.74------
39.4834.4243.0334.1535.8137.8687.5830.9229.7028.5511831.0230.8132.4433.5433.9231.2031.5432.0325.6225.7136.2033.5635.6136.8736.7231.3637.9740.1839.9041.1941.9542.3839.0834.9234.8436.2835.5234.4836.2338.6136.1234.4734.9335.4832.94-33.8731.45--
13.900.2546.09-51.636.1811.00-139.726.532.741.2049.391.00-0.840.435.582.57-9.26-1.56-14.76-2.13-8.158.254.6711.4913.289.258.0511.1111.6210.559.5313.9714.077.931.89-4.3712.6111.289.2115.1019.1015.677.1011.2410.029.37-8.177.78--
13.900.2546.09-51.636.1811.00-139.726.532.741.2049.391.00-0.840.435.582.57-9.26-1.56-14.76-2.13-8.158.254.6711.4913.289.258.0511.1111.6210.559.5313.9714.077.931.89-4.3712.6111.289.2115.1019.1015.677.1011.2410.029.37-8.177.78--
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2.24-13.8933.13-61.73-4.201.55-166.950.45-3.28-4.8913.79-7.57-7.07-6.13-0.94-4.94-15.99-9.41-21.47-8.75-14.47-0.06-4.175.708.304.132.346.036.783.164.198.187.371.84-5.34-12.647.097.335.4611.734.9110.93-4.634.864.823.34-2.912.02--
2.03-32.11-57.78-52.78-7.28-0.70-182.880.34-3.29-6.93-27.05-6.58-7.69-5.400.45-6.01-15.93-8.54-19.60-7.15-13.64-0.21-2.195.555.313.014.794.534.722.954.627.254.741.10-6.58-8.315.264.785.789.642.636.90-1.051.270.121.98-0.590.79--
0.160.140.100.160.140.150.050.190.180.170.030.160.160.160.160.160.150.150.160.160.160.110.160.170.170.160.160.160.160.160.170.170.170.150.150.120.110.170.170.200.210.200.180.190.20------
0.810.730.490.770.700.640.061.071.031.06-0.051.161.311.281.301.301.391.531.601.511.361.311.481.511.631.511.731.441.331.371.471.581.621.501.681.141.571.511.481.531.461.451.491.571.65------
1.391.401.151.401.171.230.521.421.441.400.241.401.321.261.431.451.281.271.351.341.131.151.311.281.211.141.251.211.261.211.241.341.321.241.371.021.211.201.351.421.371.311.391.381.31------
64.8864.4778.3464.4076.7173.1317363.3462.4164.2136864.3968.1171.2062.7962.1570.5971.0066.5167.2679.4178.3868.9670.5074.3179.1072.2074.2171.4274.4972.7167.2568.3972.7165.6288.6774.5475.1966.5363.3265.6568.8264.5865.0568.74------
-2.257.87-0.3633.283.90-1.9565.12-4.2612.9344.53-16.35149-223.22-46.976.73-45.77-107.10-27.89-52.22-12.92-23.44-0.13-1.323.643.871.953.253.303.652.393.916.554.690.98-6.15-6.133.232.953.667.462.295.57-0.821.720.18------
-0.913.15-0.1310.630.79-0.3713.36-0.280.731.66-0.301.461.801.14-0.281.323.621.794.911.743.710.100.95-2.53-2.48-1.23-1.87-1.69-1.86-1.08-1.72-2.86-1.79-0.362.082.27-3.76-2.98-3.40-6.58-1.81-3.870.50-0.50-0.05------
0.85-3.030.11-8.23-0.570.26-8.620.18-0.47-1.070.19-0.94-1.15-0.730.18-0.85-2.27-1.15-3.03-1.03-2.10-0.02-0.350.950.930.470.760.720.770.470.761.270.820.16-1.00-1.030.590.800.971.910.551.35-0.190.240.02------
1.61-4.430.17-12.07-0.810.38-12.710.25-0.67-1.530.27-1.32-1.61-1.010.24-1.18-3.13-1.56-4.11-1.38-2.85-0.03-0.401.111.080.550.890.840.910.560.921.530.990.19-1.16-1.210.670.981.212.420.711.76-0.250.310.03------
-15.38-15.70-14.00-11.75-7.63-7.30-7.42-2.58-2.27-1.52-0.77-0.410.341.021.771.291.532.934.306.237.359.029.139.138.869.018.638.137.877.267.197.436.856.726.396.927.427.076.966.896.536.225.854.274.14------
-0.59-0.841.371.080.43-0.220.92-0.93-0.53-0.070.600.660.33-0.612.221.720.85-0.223.081.34-1.35-0.052.531.850.690.182.981.710.960.523.262.801.450.611.720.980.380.011.510.84-0.26-0.191.450.950.15-0.340.000.350.120.000.00
-0.64-0.871.461.070.46-0.090.43-1.30-0.79-0.200.020.200.04-0.741.631.350.61-0.342.550.98-1.60-0.162.171.630.570.132.661.480.830.452.932.571.310.561.440.770.25-0.041.340.72-0.33-0.211.240.780.06-0.38-0.230.05--