Cirrus Logic Financial Ratios for Analysis 2009-2024 | CRUS

Fifteen years of historical annual and quarterly financial ratios and margins for Cirrus Logic (CRUS).

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
5.934.703.173.944.105.414.385.393.952.565.764.784.826.144.415.93
-------0.050.160.19----0.000.01
-------0.050.190.24----0.000.01
51.2150.4351.8551.6652.6250.4049.6549.2447.4546.4549.8648.8053.9954.6653.7355.65
19.2013.1220.5617.3213.548.5017.1320.6015.4111.8721.7024.8018.6322.5511.503.07
19.2013.1220.5617.3213.548.5017.1320.6015.4111.8721.7024.8018.6322.5511.503.07
21.9016.8824.0520.7618.8715.2322.4424.7220.3815.6723.7826.4820.9724.7515.038.40
20.3413.4220.6917.9114.157.9117.3020.4715.059.9921.8024.8418.7422.7912.073.53
15.359.3118.3215.8712.457.5910.5716.9710.576.0215.1316.8720.6155.0617.381.99
0.800.920.840.750.800.881.071.090.990.800.991.240.780.740.830.84
3.844.036.203.824.143.573.754.654.335.835.143.483.514.142.893.90
11.0112.617.4112.608.329.8315.2012.8313.218.1411.3011.699.679.459.2216.15
33.1528.9449.2328.9843.8837.1524.0128.4627.6444.8432.3031.2337.7638.6139.5822.60
15.1110.6620.4015.6512.977.8913.9422.6814.387.2916.9624.9218.8946.4217.572.01
20.3214.9332.4420.1317.5611.4521.2735.8030.2217.3617.7525.4119.9249.3720.142.42
12.308.5615.3711.8710.016.6511.3318.4810.464.8014.9220.9716.1640.9814.351.68
15.1110.6620.4015.6512.977.8913.9421.5612.125.8916.9624.9218.8946.4217.481.99
33.9730.1028.2724.0921.1219.3418.7517.9113.7212.0010.298.667.236.383.332.65
7.535.932.115.814.893.364.835.562.262.513.482.351.221.210.380.35
6.865.321.675.514.632.994.004.931.632.013.251.900.690.930.330.30

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
5.345.465.936.645.455.174.704.433.393.413.173.191.904.503.944.353.984.234.104.013.384.305.413.774.124.854.383.873.503.975.393.883.663.633.953.102.752.502.563.353.065.275.765.736.126.454.784.113.463.694.823.774.245.006.146.185.204.774.414.063.915.455.93
------------------------------0.050.080.130.160.160.160.160.170.190.220.25----------0.020.020.02----0.00---0.01
------------------------------0.050.090.140.180.190.190.190.200.240.280.34----------0.020.020.02----0.00---0.01
52.1550.5151.8151.2951.2650.2849.9850.2450.1851.4852.8052.8050.5450.4850.4651.7751.8952.5552.3652.7153.4751.4151.8450.3250.5448.9550.3448.7049.6550.4250.1148.7849.3948.8349.6847.4146.3646.8646.6243.8147.8449.4149.0247.4552.1651.2540.4250.9651.6553.9856.3653.9653.5051.7250.3354.8656.4457.0556.3353.5452.0452.2155.10
24.3312.5114.0927.0721.985.61-16.8623.9421.5013.7922.0126.2920.436.898.4226.6918.477.703.5719.4022.291.742.9613.6415.17-2.426.8521.4421.3614.7513.6427.9524.258.569.5718.3714.3817.6911.9214.868.6010.4313.4024.1226.5720.3116.3434.2226.0210.5818.8821.5717.6315.5418.7723.7525.8021.3616.4316.108.75-0.66-15.92
24.3312.5114.0927.0721.985.61-16.8623.9421.5013.7922.0126.2920.436.898.4226.6918.477.703.5719.4022.291.742.9613.6415.17-2.426.8521.4421.3614.7513.6427.9524.258.569.5718.3714.3817.6911.9214.868.6010.4313.4024.1226.5720.3116.3434.2226.0210.5818.8821.5717.6315.5418.7723.7525.8021.3616.4316.108.75-0.66-15.92
---------------------------------------------------------------
25.8415.1316.0427.8022.747.18-15.7123.7821.7913.9922.0326.2620.847.089.5126.8919.098.394.4219.8922.722.543.839.9615.49-1.777.2521.7021.2714.9313.7027.8723.958.359.1017.9414.0117.5111.7314.151.6210.4513.5624.2026.6620.4016.4034.2426.0710.6819.0521.6117.7115.6915.1924.3529.1021.6813.6117.1312.200.53-15.43
18.8511.2512.0622.4115.684.92-14.4017.5216.1310.0919.6823.2818.276.218.6123.5417.137.513.6418.2919.601.942.569.2315.88-1.683.967.0017.2313.3810.6923.3320.076.976.0411.9011.3711.808.377.610.416.728.4218.9617.5013.3112.7421.8818.297.0045.9413.6711.079.9514325.7530.6921.4932.5016.9712.150.59-23.17
0.230.170.170.280.230.150.180.270.250.190.230.270.210.150.160.270.200.150.180.230.250.160.180.230.260.190.210.320.290.230.230.360.320.210.200.280.250.240.220.280.200.200.210.300.270.240.320.450.290.170.200.250.220.200.180.270.280.270.230.270.250.180.16
0.950.800.791.170.710.520.801.931.641.101.671.741.220.710.841.640.800.580.911.281.250.790.700.961.270.750.731.281.020.790.971.741.350.860.821.331.141.191.622.270.900.841.091.641.000.681.031.130.650.470.860.970.950.951.121.071.040.830.771.001.190.890.76
1.671.972.292.851.771.702.482.181.781.912.041.681.662.032.701.981.911.781.812.131.782.141.992.281.772.013.012.221.831.972.732.121.591.842.622.721.812.342.272.011.671.982.372.001.952.442.991.821.482.012.512.242.262.202.342.572.082.372.612.592.132.693.10
53.8345.7439.3331.5950.8752.8136.3241.2250.7047.1644.1353.5354.2844.3233.3345.3547.0350.6649.6342.2650.4442.1245.1639.4550.8144.7729.9240.5749.1545.5832.9342.4456.6048.8834.3433.0549.7138.4839.7244.7254.0145.5538.0245.0446.0936.9230.1449.5360.7844.7835.9240.0939.7740.9538.4935.0743.3537.9434.4334.7142.2933.5129.04
5.302.282.477.704.410.94-3.246.035.272.486.038.175.801.221.828.174.521.430.835.446.470.410.542.655.09-0.381.032.796.113.703.0411.058.882.071.634.814.214.172.823.190.131.561.986.645.533.594.8112.266.751.4510.914.092.892.3329.758.2410.547.059.315.663.700.13-4.49
6.963.043.3210.416.091.32-4.539.028.103.929.5913.309.951.562.3410.515.941.911.127.399.090.600.783.907.57-0.581.584.249.405.874.8018.1516.194.233.4210.339.709.096.728.520.391.632.076.975.633.704.9012.726.901.5311.514.363.092.4931.639.0511.627.9210.686.634.390.15-5.41
4.341.862.016.263.580.76-2.604.784.031.894.546.173.820.951.386.263.501.110.644.164.810.310.462.144.14-0.310.842.265.043.142.488.286.391.481.193.352.882.791.862.130.081.331.745.744.773.134.059.805.251.189.343.382.442.0126.266.998.695.727.614.522.980.11-3.75
5.302.282.477.704.410.94-3.246.035.272.486.038.175.801.221.828.174.521.430.835.446.470.410.542.655.09-0.381.032.796.113.702.8910.147.761.751.374.063.533.472.282.490.091.561.986.645.533.594.8112.266.751.4510.914.032.852.2929.758.2410.547.059.275.663.700.13-4.44
36.2834.6433.9733.3931.7030.3130.1031.0929.8528.5928.2727.2825.6924.4424.0924.1422.7221.7921.1221.4920.3919.2219.3419.1019.1018.4718.7519.1218.8518.1917.9117.1915.2113.9513.7213.6213.0112.6012.0011.3710.6610.5710.2910.039.509.078.668.608.027.407.236.386.086.046.384.414.243.693.332.992.802.682.65
1.711.577.534.52-1.11-0.705.935.151.921.292.11-2.260.04-0.455.812.940.700.014.894.081.960.953.363.241.260.084.833.251.22-0.065.563.670.550.192.261.770.000.652.510.92-0.030.203.482.491.380.552.350.44-0.71-0.011.220.770.550.151.210.930.500.170.380.260.110.050.35
1.481.396.863.97-1.48-0.925.324.731.631.171.67-2.57-0.21-0.635.512.750.58-0.034.633.861.800.882.992.860.96-0.104.002.660.83-0.224.933.270.280.091.631.26-0.330.492.010.61-0.190.153.252.331.270.541.90-0.31-1.16-0.260.690.390.280.030.930.680.280.120.330.230.080.040.30