Canadian Solar Financial Ratios for Analysis 2009-2024 | CSIQ

Fifteen years of historical annual and quarterly financial ratios and margins for Canadian Solar (CSIQ).

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
202320222021202020192018201720162015201420132012201120102009
1.041.071.181.171.051.040.991.020.851.190.970.941.051.391.46
0.310.320.260.260.300.240.330.410.480.280.270.420.160.160.06
1.171.741.521.471.671.722.892.942.861.923.214.332.071.160.83
16.8116.9117.2319.8522.4520.7018.8114.6216.6319.6216.666.989.6015.3012.38
5.954.773.616.348.099.747.943.277.1312.377.91-11.010.368.041.03
5.954.773.616.348.099.747.943.277.1312.377.91-11.010.368.041.03
9.997.918.9712.3613.0813.1910.876.629.8515.1612.79-4.723.3210.134.28
5.374.772.623.875.617.973.973.076.4410.843.40-15.34-3.914.513.40
3.603.211.804.225.366.332.942.294.968.091.91-15.10-4.783.383.61
0.640.830.710.530.590.770.580.530.790.960.670.571.011.050.61
5.374.073.664.004.4811.337.958.258.645.505.964.395.794.663.36
6.296.045.956.375.406.027.065.965.947.075.254.554.998.824.16
57.9960.4161.3957.2967.5460.6551.6761.2161.4951.6069.5180.2373.1141.4187.66
9.8112.945.177.7811.6919.059.727.2620.8233.4311.35-64.71-19.479.5011.40
9.8713.045.217.8712.4219.2910.687.3923.2333.7311.51-65.65-19.939.8011.71
3.063.301.492.253.054.961.751.213.937.941.86-8.64-4.843.575.11
6.788.843.825.758.1514.556.474.3010.9324.068.24-37.81-16.348.0010.71
56.0135.7633.2131.6424.0021.5118.1215.5514.8813.237.876.9710.82--
9.4812.88-5.93-1.939.873.473.31-4.796.854.474.56-3.421.40-1.341.35
-11.504.19-11.63-7.315.08-1.320.36-22.38-3.793.384.10-4.82-3.37-4.41-0.56

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-09-302014-06-302013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.041.021.041.161.221.041.071.171.201.201.181.191.131.141.171.241.151.171.051.090.991.011.040.920.930.940.990.950.950.950.811.020.850.910.96---0.970.971.020.900.940.990.951.041.051.111.181.191.391.301.251.351.461.301.461.59
0.350.350.310.290.270.310.320.360.320.310.260.280.280.270.260.320.270.310.300.290.270.270.240.090.170.220.330.310.300.400.530.410.480.460.39---0.270.340.440.380.420.340.220.160.160.230.250.130.160.110.030.060.060.080.080.12
1.271.371.171.221.411.841.741.871.871.831.521.481.491.531.471.521.451.521.671.731.651.791.722.482.132.022.892.612.632.722.592.612.862.221.82---3.213.323.323.514.332.502.212.090.191.832.271.561.161.351.411.160.830.940.860.78
17.2519.0212.5416.6818.6418.6917.6818.7616.0314.4719.7118.6012.9317.8613.5619.5121.1627.0324.9526.1817.6222.1730.1126.0924.5110.1019.7117.5224.2413.5017.1815.5917.8914.9215.1617.7722.8918.9519.4920.4112.809.695.052.2312.397.698.732.3813.2114.7317.0117.3013.5712.448.4316.3020.21-7.86
2.913.690.034.509.488.566.894.595.021.244.414.321.853.990.246.466.5313.7412.1210.545.861.3615.1612.498.295.4911.746.3312.10-0.344.915.329.403.635.109.1417.0710.858.7211.263.226.84-31.04-10.58-0.88-4.13-4.55-6.145.197.689.2910.605.196.306.029.3311.32-21.74
2.913.690.034.509.488.566.894.595.021.244.414.321.853.990.246.466.5313.7412.1210.545.861.3615.1612.498.295.4911.746.3312.10-0.344.915.329.403.635.109.1417.0710.858.7211.263.226.84-31.04-10.58-0.88-4.13-4.55-6.145.197.689.2910.605.196.306.029.3311.32-21.74
----------------------------------------------------------
2.483.38-0.883.0610.107.545.686.644.930.164.222.561.142.410.132.563.969.9510.038.344.87-5.4416.7810.343.023.398.501.406.49-2.586.835.388.423.173.279.4615.6210.185.579.56-3.47-2.44-36.25-13.64-6.73-7.32-9.13-9.531.841.737.946.740.980.84-6.9112.4016.49-8.01
0.230.93-0.081.197.194.923.954.063.220.741.702.870.792.090.640.972.9613.407.377.686.05-3.5412.388.662.393.045.541.465.52-1.975.013.135.563.572.817.1211.408.944.035.64-3.31-1.66-35.61-13.40-7.32-6.55-12.63-8.781.471.335.645.390.980.445.1911.8915.48-9.67
0.130.110.140.160.210.170.220.220.280.150.210.160.200.160.160.150.130.160.170.140.210.100.180.150.130.270.190.150.120.130.160.130.250.210.17---0.210.200.170.110.130.140.150.160.250.240.220.260.320.270.250.280.280.230.150.08
1.120.771.261.071.260.831.060.981.200.661.030.821.100.961.291.181.000.951.251.362.530.982.401.761.463.092.572.501.852.132.162.062.751.701.04---1.811.771.520.821.021.000.890.771.461.200.961.241.381.591.561.701.401.240.850.53
1.181.171.411.421.491.311.601.622.081.301.721.351.741.851.911.471.231.581.551.201.760.911.451.701.283.112.311.581.471.421.591.511.921.631.55---1.651.551.201.131.041.151.291.091.252.291.731.452.672.571.651.501.890.940.990.73
76.5377.1163.9763.3760.5168.9356.4355.5743.2869.4952.2566.8651.7448.7547.2061.3373.1057.0257.9574.9451.1498.7762.1552.8870.4528.9638.9656.8561.4363.4656.7459.6946.9355.2058.04---54.5858.0074.7880.0086.8778.0469.6182.8572.2139.2452.0462.2633.7335.0154.4359.9247.5296.1591.18123
0.720.98-0.091.735.744.394.284.83-0.421.861.870.940.730.360.491.327.454.774.044.56-1.328.965.701.453.845.921.374.24-1.534.312.657.493.952.34---6.118.94-2.46-1.31-34.81-9.70-5.28-4.69209-8.481.261.084.774.050.680.323.196.755.07-1.46
0.730.99-0.091.735.764.424.325.024.230.421.882.000.950.730.360.511.347.885.064.324.87-1.429.085.781.473.896.511.394.31-1.564.762.698.364.392.36---6.199.08-2.51-1.33-35.32-10.24-5.63-4.96-12.89-8.891.321.114.924.170.680.323.286.995.27-1.52
0.230.29-0.030.551.761.091.091.181.060.110.540.510.260.200.100.140.392.091.241.041.20-0.332.331.320.310.831.070.220.71-0.250.810.441.410.750.50---1.001.36-0.35-0.19-4.65-1.87-1.08-1.07-3.19-2.110.330.341.791.450.240.121.432.682.32-0.73
0.470.64-0.061.234.223.032.933.112.840.291.381.340.680.530.260.330.965.153.322.893.33-0.976.855.181.212.983.950.952.99-0.932.041.573.932.131.43---4.435.92-1.37-0.81-20.34-6.45-4.11-3.92-10.79-6.530.950.944.023.620.660.303.006.234.65-1.28
------35.76---33.21---31.64---24.00---21.51---18.12-----14.8813.89----7.877.45--6.97---10.82-----------
-10.76-4.379.486.784.700.6612.887.306.360.00-5.930.000.000.00-1.930.000.000.009.870.000.000.003.470.000.000.003.310.000.000.000.000.006.853.240.000.000.100.004.563.150.000.00-3.42-1.830.000.001.390.000.000.00-1.340.000.000.001.200.00-0.350.00
-23.32-10.97-11.50-7.58-4.54-4.144.192.213.05--11.63----7.31---5.08----1.32---0.36------3.79-3.84---0.34-4.102.70---4.82-2.97---3.37----4.40----0.50--0.90-