Darling Ingredients Financial Ratios for Analysis 2009-2024 | DAR

Fifteen years of historical annual and quarterly financial ratios and margins for Darling Ingredients (DAR).

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
1.861.531.451.461.331.661.711.982.112.096.382.201.731.202.05
0.480.460.300.330.370.420.420.450.490.510.300.190.230.600.09
0.940.870.440.510.620.720.740.840.981.050.440.240.301.530.11
24.2323.4226.1924.7223.0321.8821.4822.3121.7421.0625.6626.4529.4426.6526.38
13.9915.7518.6512.0614.147.534.634.564.214.169.4113.0717.4711.3811.87
13.9915.7518.6512.0614.147.534.634.564.214.169.4113.0717.4711.3811.87
21.4821.8725.4122.0224.0017.2413.1113.4412.4610.9714.8917.8921.8615.7816.09
10.6113.6817.329.9011.313.481.753.612.912.069.0811.6715.159.7011.19
9.5411.2913.738.319.293.003.513.022.321.626.057.389.436.106.99
0.610.710.770.640.630.690.740.720.710.770.561.141.270.521.40
6.787.437.656.627.137.768.037.977.707.7820.5720.0424.9511.6623.09
8.269.4010.088.738.218.649.248.578.859.1614.1518.0615.936.8912.95
44.1938.8436.1941.8244.4542.2639.5042.6041.2639.8525.7920.2122.9252.9728.19
14.0719.1719.6310.1712.144.545.735.164.323.335.3912.3118.419.5314.67
58.2770.4137.9724.6135.9220.7438.0977.47-208.81-33.8714.9138.0596.21-14.6125.25
5.978.1210.725.356.002.172.692.281.791.333.368.4211.963.209.81
7.2910.3613.736.777.642.653.312.822.211.653.779.9614.113.7813.38
29.4224.3620.8218.2116.1414.1914.1412.6111.9912.4512.309.027.865.023.46
5.544.964.223.742.152.372.462.372.551.671.762.112.090.980.96
2.182.662.602.080.130.570.870.941.180.340.791.171.580.690.70

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
1.411.571.671.861.781.851.731.531.521.591.551.451.461.481.481.461.491.541.431.331.431.531.601.661.811.901.921.711.761.892.051.982.102.152.132.112.212.232.192.092.102.062.076.381.512.412.562.202.031.841.871.731.521.401.271.202.232.222.252.052.192.192.06
0.470.490.480.480.490.500.530.460.470.450.320.300.290.300.320.330.340.370.390.370.400.410.410.420.420.420.420.420.440.440.450.450.470.480.490.490.510.500.510.510.520.520.530.300.180.180.190.190.190.200.210.230.260.280.310.600.070.070.080.090.100.110.11
0.920.970.950.940.991.021.130.870.900.820.490.440.420.450.480.510.520.590.670.620.680.700.720.720.730.730.730.740.790.810.830.840.890.930.970.981.061.041.071.051.101.121.140.440.220.220.230.240.240.250.260.300.340.380.461.530.090.100.100.110.120.140.15
22.0522.4621.3827.0423.7822.6423.6821.9921.5425.3725.3124.5127.5226.7526.1724.3824.9525.4924.1525.4722.4622.0722.0621.6920.2622.9622.5421.6920.6921.8721.6921.9021.4022.8223.1821.6021.3722.2321.7420.5921.9223.4418.0821.7427.1726.8427.5622.3427.5728.0628.5826.9428.3030.9031.5028.8025.5125.4826.0326.5029.1827.0122.15
4.2310.209.669.8410.9820.2914.2814.1015.3516.8817.0516.1117.3422.3819.067.2914.9812.5214.4034.137.118.965.8121.801.912.563.636.763.674.263.704.324.166.213.424.074.554.573.643.975.107.32-0.063.659.7811.9913.159.9814.5314.6513.5613.6916.3519.6020.0410.8511.4511.3812.0311.0315.8813.066.59
4.2310.209.669.8410.9820.2914.2814.1015.3516.8817.0516.1117.3422.3819.067.2914.9812.5214.4034.137.118.965.8121.801.912.563.636.763.674.263.704.324.166.213.424.074.554.573.643.975.107.32-0.063.659.7811.9913.159.9814.5314.6513.5613.6916.3519.6020.0410.8511.4511.3812.0311.0315.8813.066.59
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0.125.646.025.856.9416.8412.1111.1513.0215.2815.8714.9116.0921.1117.405.5312.5110.1912.2432.474.484.692.985.88-0.80-3.2411.632.301.602.021.055.443.304.780.5810.550.061.120.457.362.774.86-7.324.5510.5710.0911.869.0513.1013.2411.5611.6814.5117.5316.677.4510.5010.5811.149.9715.5212.415.92
1.195.425.715.247.6914.3610.378.8510.9312.2413.7611.8912.3816.4014.504.3911.897.7110.0328.233.053.172.164.76-0.74-3.5911.1211.100.831.020.664.603.363.650.1410.51-1.060.360.016.991.463.18-5.584.436.496.247.285.818.218.307.386.859.0211.1010.584.416.756.847.056.1610.057.533.62
0.130.140.130.150.150.160.160.190.200.210.210.210.200.210.190.180.160.160.160.160.170.160.170.170.170.170.170.190.190.190.190.190.180.180.160.170.180.170.180.200.180.190.170.160.250.260.280.320.300.300.280.300.320.340.310.160.370.370.370.350.390.380.34
1.791.801.621.551.511.651.652.052.142.132.082.161.802.051.841.901.571.601.701.761.851.851.921.961.791.761.822.081.981.942.012.081.871.861.611.831.831.691.721.981.821.831.896.104.354.915.155.925.165.594.736.194.915.156.063.554.735.015.825.775.545.655.71
2.312.382.161.962.132.282.322.542.542.742.522.792.462.752.692.492.252.242.132.102.342.282.222.182.192.242.092.402.232.302.212.232.162.132.012.102.112.182.172.322.202.092.053.983.814.614.545.054.484.454.333.824.173.973.852.163.553.483.383.243.283.012.54
39.0437.8141.5945.8342.1639.3938.7335.3935.4032.8435.7632.3036.6332.7433.4436.1239.9540.2642.3042.9038.4739.5140.4641.3741.1740.2143.0137.4540.4039.1640.6640.4441.7542.3444.8142.9442.5941.1941.4138.8641.0043.1043.8222.5923.6519.5219.8417.8020.0920.2420.7823.5721.5822.6923.4041.6725.3925.9026.5927.7927.4829.8935.48
0.411.791.741.862.875.734.614.095.245.745.464.714.536.225.061.563.582.463.309.211.131.290.831.80-0.22-1.254.024.590.390.480.352.011.391.650.134.35-0.380.250.093.350.771.63-2.431.112.392.342.952.713.593.642.993.204.566.075.772.163.543.663.853.235.904.581.98
1.597.197.247.7013.8031.5142.8715.0121.4916.3810.319.119.1513.2111.483.789.066.689.4827.244.315.113.548.25-1.05-5.9020.8830.554.165.384.2830.1235.45113-8.69-210.274.82-3.41-1.09-34.10-5.29-9.7111.713.087.976.298.418.3811.9913.8013.0716.7527.2549.36103-3.315.876.186.385.569.667.733.49
0.180.770.750.791.182.331.751.732.182.552.882.572.503.402.740.821.891.251.604.550.540.620.390.86-0.11-0.601.932.160.180.210.160.890.600.700.051.80-0.150.100.041.340.300.62-0.920.691.611.612.041.862.442.452.042.082.903.723.310.722.472.542.632.163.902.881.24
0.220.920.900.961.452.862.192.212.793.183.693.293.234.333.451.042.371.562.015.790.680.770.491.05-0.13-0.722.332.660.220.270.191.100.740.860.072.22-0.190.120.051.660.370.78-1.150.781.961.922.402.192.892.912.372.463.394.393.960.853.293.393.532.955.344.101.75
29.1428.5729.3129.4228.0027.9125.8324.3622.8922.1721.6420.8220.2119.6518.5718.2117.4916.6616.1216.1414.4614.6114.3014.1914.0614.2014.8114.1413.3913.1612.7812.6112.6712.5012.3411.9911.6411.9211.8512.4512.5812.9012.7312.309.809.549.299.028.798.468.137.867.717.356.905.023.903.763.623.463.313.112.96
4.252.541.635.544.202.501.164.963.902.190.924.222.711.780.833.742.821.590.212.151.560.920.292.371.210.780.162.461.611.180.572.371.701.020.272.551.801.130.361.671.090.25-0.191.761.421.090.502.111.661.200.452.091.481.010.740.980.580.320.180.960.600.390.09
2.691.381.072.181.891.070.482.662.391.290.502.601.581.040.482.081.720.85-0.160.130.20-0.02-0.160.57-0.06-0.05-0.170.870.460.440.200.940.710.37-0.041.180.830.550.050.340.17-0.36-0.490.790.710.640.281.170.980.770.261.581.110.780.620.690.390.210.120.700.450.270.02