Diebold Nixdorf Financial Ratios for Analysis 2009-2024 | DBD

Fifteen years of historical annual and quarterly financial ratios and margins for Diebold Nixdorf (DBD).

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
1.521.101.081.131.181.401.381.441.721.611.742.122.102.122.14
0.542.131.591.551.321.060.790.620.580.460.440.430.410.360.34
1.16-1.90-2.74-2.82-4.23-18.223.841.751.470.910.840.790.730.570.53
23.2221.8826.7226.5224.2019.6321.6921.4626.9526.5522.6924.3925.7625.4823.91
2.31-6.123.510.62-0.60-7.11-2.03-5.122.426.03-5.433.395.18-0.065.54
2.31-6.123.510.62-0.60-7.11-2.03-5.122.426.03-5.433.395.18-0.065.54
6.54-2.037.776.404.53-1.703.44-1.065.078.72-2.246.028.002.748.40
38.51-12.67-1.30-6.91-5.19-10.45-4.16-7.501.895.66-5.493.715.60-0.084.55
36.59-16.80-2.02-6.90-7.74-11.61-5.24-1.253.054.18-7.032.465.08-0.720.96
0.901.131.111.071.161.070.880.631.081.171.181.151.131.121.06
4.904.605.265.767.166.035.053.534.795.365.305.484.784.734.61
5.215.656.566.037.126.215.573.605.606.595.775.936.606.666.40
70.0664.5755.6360.5151.2758.7765.5610165.1655.3963.2161.5855.2754.8357.05
12842.719.3332.2068.06430-44.35-17.5013.6619.34-30.6410.0017.58-1.717.40
-321.0425.124.0512.8719.4434.2015.1924.0228.8125.75-43.1314.9324.94-2.3512.77
33.08-19.11-2.23-7.32-9.09-12.35-4.10-3.402.654.58-8.713.195.99-0.673.11
59.04-48.21-5.54-17.81-21.51-25.58-9.43-6.605.7110.37-17.275.7210.31-1.104.88
28.73-17.33-10.68-10.71-6.59-1.616.3813.646.708.589.6913.0713.7315.0616.16
-6.84-4.911.570.231.77-1.370.490.420.572.871.952.123.324.154.44
-8.11-5.510.94-0.210.91-2.53-0.150.30-0.232.231.541.392.573.403.78

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
1.451.421.391.521.470.691.041.100.431.121.071.081.231.141.101.131.271.241.241.181.211.231.291.401.551.391.311.381.471.401.411.441.513.771.701.721.661.691.561.611.661.621.541.741.901.882.092.122.182.142.122.102.162.212.182.122.382.252.272.142.241.602.14
0.510.520.520.540.560.002.342.13-2.071.761.591.551.571.591.551.501.431.431.321.251.161.141.060.990.870.790.790.750.740.750.620.600.790.410.580.590.560.530.460.460.420.420.440.450.490.430.430.420.420.400.410.440.400.390.360.350.350.360.340.350.230.38
1.021.091.081.161.27-0.59-1.80-1.90-1.85-1.94-2.33-2.74-2.89-2.79-2.72-2.82-3.01-3.48-3.46-4.23-5.06-7.29-8.15-18.221057.223.863.843.123.043.111.751.803.840.861.471.641.371.230.911.000.830.850.840.871.040.810.790.810.780.710.730.820.700.650.570.540.550.570.530.550.560.64
25.5225.8823.3021.5522.8024.4224.3922.4423.9118.8822.3324.3727.1426.7028.9425.0028.5527.8024.9023.4825.1624.2723.9416.5820.4619.6922.4022.3621.3820.9721.9917.7120.1026.7427.2428.1325.4926.4927.7132.0626.1225.4723.8423.4424.5022.2620.5221.5324.1724.7527.6725.5527.4025.5924.3323.9625.9026.7825.5324.3523.5924.4523.18
5.007.522.665.353.96-0.42-0.24-4.370.68-10.74-10.054.654.041.373.840.522.392.30-2.85-2.832.150.63-2.38-1.18-14.33-11.45-2.21-0.50-0.77-2.65-4.41-7.05-8.821.78-1.124.132.103.72-0.526.946.087.803.39-13.51-4.29-3.34-2.20-1.492.965.157.826.887.673.791.44-17.907.007.046.563.914.836.756.77
5.007.522.665.353.96-0.42-0.24-4.370.68-10.74-10.054.654.041.373.840.522.392.30-2.85-2.832.150.63-2.38-1.18-14.33-11.45-2.21-0.50-0.77-2.65-4.41-7.05-8.821.78-1.124.132.103.72-0.526.946.087.803.39-13.51-4.29-3.34-2.20-1.492.965.157.826.887.673.791.44-17.907.007.046.563.914.836.756.77
---------------------------------------------------------------
1.054.82-1.591.74236-76.07-10.52-13.12-5.68-15.64-15.94-0.12-0.27-4.35-0.61-4.27-12.30-2.98-8.06-7.09-2.80-3.99-6.92-5.37-18.11-14.37-4.46-2.15-2.70-5.28-6.78-9.40-11.80-6.163.914.391.653.54-2.356.246.228.341.70-13.26-3.99-3.60-2.69-1.573.425.438.517.847.624.251.64-18.018.096.685.674.624.546.702.23
-2.421.59-1.632.15227-73.42-12.95-15.41-6.15-23.39-22.07-3.61-0.22-3.21-0.86-4.63-10.19-2.66-10.19-10.65-3.31-4.37-12.91-6.69-21.31-12.07-6.88-9.29-3.21-2.70-5.33-6.95-10.40-3.6433.015.343.683.44-0.495.494.315.671.42-7.72-3.07-14.85-2.12-1.562.283.406.479.305.893.140.41-15.176.164.473.860.15-1.114.400.25
0.240.240.230.250.230.270.280.320.280.270.250.300.270.270.270.300.270.240.240.300.280.280.240.300.240.230.210.240.210.210.210.240.170.140.220.270.260.270.250.230.310.300.300.250.310.280.240.320.270.290.270.340.290.260.240.310.290.270.250.280.260.270.26
1.081.101.081.381.091.081.011.280.931.081.041.471.121.181.251.661.311.251.441.891.371.431.181.761.051.080.991.361.091.151.131.390.890.990.901.191.041.110.980.991.091.141.261.091.111.191.171.601.101.151.021.441.010.990.981.351.141.041.051.221.000.960.94
1.391.451.361.441.341.411.371.581.511.511.511.781.431.481.501.711.491.511.531.861.791.611.471.751.271.261.161.511.231.221.251.350.961.121.111.411.041.151.121.311.281.301.391.201.281.241.241.661.541.651.561.981.651.481.471.861.651.521.291.711.781.711.51
64.6062.2566.4162.6667.1464.0165.7756.8759.7059.5059.6350.5563.0660.9259.9852.6560.4259.5158.7548.4050.3455.7561.0851.4471.1571.2977.7459.6173.1073.8771.8766.6794.2080.7181.1263.6886.3478.5280.5768.5370.0769.1564.8775.0070.5672.3872.6954.0758.6354.6257.7245.4754.4960.6561.3448.2654.6259.2669.7552.7550.5852.7759.45
-2.021.47-1.362.1221631.797.5711.093.8315.9618.234.500.233.600.966.0612.433.2613.1424.218.1818.1948.0273.39-1,077.54-49.14-14.17-22.54-4.81-3.78-9.19-8.00-8.48-3.463.347.284.274.02-2.144.385.466.440.78-8.42-2.98-15.90-1.66-0.811.893.014.979.604.982.200.42-11.994.012.972.370.932.393.241.15
5.57-3.473.19-5.40-437.8722.384.696.532.329.149.111.960.101.530.412.425.061.225.016.922.023.267.865.8415.968.904.567.722.281.914.3610.9913.62-4.814.5815.357.946.98-3.815.837.538.851.10-11.85-4.08-26.24-2.47-1.212.714.176.8813.617.093.070.59-16.476.624.954.031.614.185.602.01
-0.560.38-0.360.5553.30-19.89-3.61-4.96-1.74-6.26-5.55-1.07-0.06-0.86-0.23-1.38-2.78-0.62-2.43-3.23-0.89-1.35-3.05-2.11-5.21-2.67-1.27-2.08-0.55-0.43-1.00-1.56-1.68-0.510.911.410.800.82-0.441.041.421.780.21-2.39-0.88-4.11-0.53-0.260.651.031.753.271.740.830.16-4.711.751.271.000.391.001.310.44
-1.000.70-0.660.9895.4531.86-10.15-12.523.83-17.10-13.81-2.68-0.13-2.05-0.57-3.35-6.24-1.40-5.69-7.65-2.08-2.96-6.88-4.36-10.37-6.18-3.02-4.79-1.20-0.98-2.31-3.02-3.39-0.721.983.041.741.75-1.002.352.933.720.45-4.75-1.63-8.18-0.95-0.471.091.762.985.632.811.330.26-7.702.611.941.520.611.562.510.71
28.6426.8627.3028.7326.39-26.62-18.51-17.33-16.67-15.78-12.78-10.68-11.02-10.75-10.74-10.71-10.45-9.12-9.17-6.59-5.55-3.96-3.59-1.610.303.436.106.388.108.277.5313.6415.269.239.506.706.567.557.298.589.9210.359.739.6910.6210.2413.1213.0714.1313.9714.6913.7313.6815.2414.9115.0617.2615.9216.1016.1615.9115.4914.18
-1.25-0.84-0.63-6.84-11.16-4.22-1.21-4.91-6.10-3.88-2.871.57-3.72-1.84-0.840.23-2.53-2.16-1.011.770.10-0.88-0.75-1.37-4.89-3.38-1.880.49-3.12-2.46-0.880.42-2.74-3.16-1.750.57-1.83-1.51-0.962.87-1.70-1.41-0.491.95-0.93-1.00-0.502.12-0.45-0.53-0.413.32-0.85-1.53-1.364.150.77-0.26-0.844.441.811.200.29
-2.02-1.36-0.94-8.11-12.10-4.50-1.35-5.51-6.54-4.20-3.020.94-4.12-2.04-0.94-0.21-2.84-2.39-1.150.91-0.30-1.15-0.94-2.53-5.28-3.64-2.02-0.15-3.48-2.66-1.010.30-2.68-3.33-1.82-0.23-2.36-1.80-1.122.23-1.94-1.42-0.601.54-1.26-1.22-0.601.39-0.98-0.85-0.612.57-1.44-1.89-1.523.400.21-0.67-1.013.781.380.860.11