Dana Financial Ratios for Analysis 2009-2024 | DAN

Fifteen years of historical annual and quarterly financial ratios and margins for Dana (DAN).

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
1.581.541.651.691.711.661.691.822.232.342.502.252.082.082.17
0.610.590.550.570.540.550.610.560.650.570.530.290.310.300.35
1.621.501.221.341.201.241.611.341.901.401.150.460.490.530.56
8.537.519.368.7413.1214.2114.7914.3314.0114.2813.5913.4811.8910.994.65
2.990.854.421.443.397.077.396.696.497.126.445.944.392.04-7.94
2.990.854.421.443.397.077.396.696.497.126.445.944.392.04-7.94
6.986.608.836.687.4610.6810.709.9010.0310.4110.399.848.547.773.29
1.69-0.312.73-0.181.986.075.273.694.823.935.445.044.060.93-8.68
0.36-2.382.20-0.442.625.241.5410.992.624.72-0.193.722.49-0.35-8.84
1.331.361.170.961.191.381.281.201.411.351.321.401.431.161.01
5.765.845.185.646.286.786.347.828.348.678.738.428.487.448.20
6.396.445.804.966.616.556.187.017.697.596.667.316.595.925.81
57.0956.6462.8873.5555.2655.7259.0452.0647.4648.1054.7949.9255.3561.6562.83
2.93-19.4010.13-2.7811.8430.5110.4152.5821.1829.0725.0726.3622.123.52-43.15
4.03-27.2115.87-4.5618.8743.3914.2762.6127.1237.2424.1720.7017.942.71-35.37
0.60-4.182.62-0.693.237.432.0613.444.096.995.096.124.550.71-8.44
1.13-7.874.59-1.205.4113.764.0423.027.3812.398.7611.458.991.40-15.83
11.3411.1813.6912.6913.679.977.688.635.547.119.7213.1412.4812.3912.76
3.294.521.082.674.393.883.772.622.542.943.941.581.722.041.89
-0.161.48-0.860.491.501.661.100.420.911.592.520.820.811.190.99

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
1.491.481.601.581.581.591.471.541.491.521.521.651.661.661.651.691.962.211.601.711.641.631.631.661.651.631.701.691.721.751.551.822.112.132.222.232.242.212.262.342.412.402.382.502.382.232.252.252.072.001.962.081.971.921.952.082.232.182.192.172.172.072.06
0.610.610.620.610.610.610.580.590.580.550.540.550.560.550.560.570.610.620.560.540.560.570.610.550.560.590.590.610.580.600.580.560.650.660.640.650.600.590.590.570.540.520.530.530.540.300.300.290.290.300.300.310.310.310.320.300.330.350.340.350.300.350.38
1.731.691.641.621.601.581.621.501.531.361.351.221.291.251.311.341.611.671.441.201.311.361.611.241.321.451.481.611.381.531.551.341.911.991.811.901.531.461.481.401.211.131.161.151.220.470.470.460.460.490.480.490.490.480.490.530.530.560.550.560.440.550.65
9.909.318.926.588.849.868.667.058.017.087.945.639.3511.4311.0910.0110.73-0.9310.7011.2213.0314.1413.8712.9814.4615.0014.3613.9414.6915.0515.5213.4815.0315.0713.7312.5114.5114.6714.1814.1014.6614.5013.8613.0514.0814.3912.7712.2413.8814.1013.5411.4912.0612.0511.9411.9611.7411.079.287.106.175.63-0.99
3.553.913.550.843.374.373.212.54-4.102.282.663.524.275.124.773.654.46-10.302.445.036.79-4.126.475.587.437.068.146.157.597.668.235.606.507.766.835.605.047.467.596.518.007.606.346.036.717.565.371.867.067.446.821.285.315.435.50-2.044.224.061.53-12.26-1.73-4.20-13.08
3.553.913.550.843.374.373.212.54-4.102.282.663.524.275.124.773.654.46-10.302.445.036.79-4.126.475.587.437.068.146.157.597.668.235.606.507.766.835.605.047.467.596.518.007.606.346.036.717.565.371.867.067.446.821.285.315.435.50-2.044.224.061.53-12.26-1.73-4.20-13.08
---------------------------------------------------------------
2.102.451.28-1.042.063.242.271.33-5.171.121.492.022.952.593.362.852.71-13.641.043.675.04-5.465.324.976.375.707.163.925.685.386.17-0.625.205.174.973.353.076.036.47-3.227.396.964.214.006.177.174.243.055.545.845.453.747.224.860.111.822.771.51-2.32-14.47-3.69-1.93-13.65
0.160.580.11-1.560.711.091.06-7.01-3.470.310.691.102.182.403.141.902.26-16.143.014.285.13-2.954.535.074.806.045.05-5.663.773.864.4133.524.123.433.11-5.968.113.673.926.895.384.911.842.34-10.194.722.034.972.804.083.163.375.263.16-2.11-1.532.510.07-2.59-16.28-3.46-0.67-13.57
0.320.350.350.310.340.340.340.340.330.330.310.300.290.290.300.290.270.160.270.280.300.310.300.330.330.350.360.330.320.330.320.300.300.340.320.320.320.340.340.320.330.330.330.320.320.350.320.310.320.360.360.350.360.350.340.270.290.310.300.290.250.240.24
1.301.551.531.391.421.431.401.481.451.511.401.371.291.361.601.651.640.971.421.481.531.541.451.671.541.671.771.631.711.831.771.961.691.971.871.921.821.982.012.081.922.012.012.111.851.991.881.901.701.911.992.112.062.082.071.701.942.212.222.281.841.591.59
1.471.571.541.511.441.471.411.621.441.441.321.481.341.361.361.471.411.011.481.521.461.411.341.591.411.461.421.581.461.501.491.741.451.651.551.741.661.621.611.811.591.611.521.601.541.581.381.631.471.501.461.641.531.491.451.371.411.461.511.661.391.211.23
61.4357.2358.4859.5862.5261.2163.7255.5162.4562.7168.0461.0267.0966.2466.2261.1463.6488.9160.7959.1161.6863.8967.3256.7063.7561.8363.1957.1361.4459.9760.2151.6961.9154.5558.2051.5854.3255.4355.9149.6156.5255.7959.2956.3158.6256.9065.0355.2661.0359.9261.6355.0358.9660.5362.1565.6563.7061.6959.5654.2564.8874.6573.42
0.711.04--2.691.522.141.87-11.10-9.750.531.011.472.622.733.642.132.51-10.062.044.375.96-3.646.567.357.0410.159.14-9.875.635.956.7639.377.016.565.43-9.9911.615.686.7510.087.057.493.254.237.898.284.027.784.717.356.147.2810.525.97-2.360.884.571.11-3.15-23.21-2.55-0.24-14.23
0.981.42--3.692.072.932.59-15.57-13.310.811.562.304.214.416.013.494.09-16.623.206.9610.04-6.3411.2510.4510.1914.7212.16-13.537.438.029.2146.889.068.597.05-12.7914.127.188.5512.928.928.243.604.077.366.313.106.113.785.845.035.908.755.26-2.030.683.560.84-2.48-19.02-2.31-0.22-12.76
0.140.20--0.550.320.450.39-2.39-2.130.130.250.380.660.690.890.530.60-2.500.531.191.55-0.901.391.791.612.141.87-1.951.281.301.5110.061.321.201.07-1.932.651.321.562.431.871.770.740.861.371.870.921.811.131.641.361.502.171.27-0.470.180.910.20-0.60-4.54-0.72-0.06-3.11
0.280.41--1.040.590.840.78-4.51-4.090.240.460.671.161.221.590.920.97-3.800.912.002.65-1.562.553.323.074.213.74-3.832.382.382.8517.242.452.221.95-3.484.662.352.774.303.233.071.291.482.483.551.723.382.113.142.642.964.302.51-0.940.351.740.39-1.14-8.52-1.18-0.10-5.20
10.7010.6511.0711.3811.4111.6511.4911.1811.6613.2813.8613.6913.2613.3512.8812.6912.4111.9012.8713.6713.0512.6010.699.979.438.658.357.688.958.488.188.636.055.835.975.546.836.906.717.117.849.158.769.729.1913.1213.2213.1413.6913.1813.2612.4812.6113.1112.4012.3912.7511.8812.3112.7616.8720.0818.94
1.020.78-0.703.291.370.60-1.184.522.140.95-0.831.080.130.640.182.671.34-0.87-0.354.391.990.40-0.113.881.620.77-0.193.772.461.230.082.621.260.95-0.182.541.670.78-0.122.941.891.270.183.942.010.88-0.071.580.56-0.04-0.711.720.870.37-0.012.041.020.840.321.890.87-0.77-1.74
-0.50-0.44-1.16-0.16-1.11-1.07-2.001.480.05-0.49-1.62-0.86-1.43-0.27-0.180.490.10-1.71-0.791.50-0.07-0.92-0.791.660.01-0.22-0.631.100.750.08-0.580.42-0.110.07-0.650.910.470.04-0.491.590.910.55-0.202.521.170.55-0.210.820.04-0.37-0.870.810.270.04-0.241.190.730.660.240.990.14-1.31-2.04