Ducommun Financial Ratios for Analysis 2009-2024 | DCO

Fifteen years of historical annual and quarterly financial ratios and margins for Ducommun (DCO).

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
2.992.643.032.872.362.252.752.623.152.963.083.122.932.262.10
0.290.310.370.490.510.470.480.440.560.530.590.620.660.010.09
0.420.470.600.971.050.900.920.791.301.131.421.641.920.010.12
21.5620.2522.0721.9021.1119.4818.4819.3515.1318.9116.8519.2718.2419.6218.30
3.825.587.577.247.803.802.805.31-11.316.985.347.62-5.876.483.78
3.825.587.577.247.803.802.805.31-11.316.985.347.62-5.876.483.78
8.129.9911.9711.8211.727.826.899.466.2610.899.5311.567.169.819.93
2.164.6826.415.085.241.631.366.92-16.003.541.273.23-9.016.043.19
2.104.0421.004.644.501.443.604.59-11.242.681.542.36-8.194.852.36
0.680.700.660.750.910.980.981.071.200.990.970.960.721.181.22
2.983.323.333.805.065.013.733.704.904.214.364.073.074.525.19
7.236.858.9310.8410.749.287.547.228.648.158.027.685.847.888.19
50.4853.2540.8733.6733.9839.3448.4350.5442.2544.7945.5447.5462.4946.3044.56
2.505.4728.568.8611.093.528.5211.91-40.327.744.867.91-23.297.794.35
7.0714.7410586.42-196.9810458190.301,006-35.41-12.82-15.2432.2815.037.63
1.422.8213.853.484.111.403.544.90-13.442.661.492.26-5.895.732.88
1.783.7617.984.555.471.864.456.67-17.563.632.013.01-8.007.703.96
43.5743.4539.8028.0825.3022.4920.7918.9516.7623.4321.6621.0219.3824.1922.38
2.222.64-0.051.064.333.973.073.832.144.804.244.47-0.282.502.93
0.861.06-1.380.012.782.490.762.330.793.183.112.99-1.621.832.20

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.062.992.992.933.162.842.642.752.792.943.033.143.073.032.873.082.972.782.362.352.292.402.252.342.382.472.752.462.482.492.622.572.662.553.152.933.033.092.963.423.293.473.083.523.253.423.123.313.183.262.932.792.592.832.262.632.662.562.102.392.262.27
0.280.280.290.290.300.310.310.320.330.340.370.450.460.480.490.520.520.530.510.440.450.460.470.470.480.460.480.500.440.430.440.460.480.480.560.510.510.520.530.550.560.570.590.590.600.610.620.630.650.650.660.600.610.080.010.080.090.110.090.150.170.19
0.400.410.420.430.450.460.470.490.510.520.600.830.880.930.971.091.131.161.050.790.840.880.900.900.920.850.920.990.770.760.790.840.910.931.301.041.031.101.131.201.261.331.421.421.501.581.641.741.831.891.921.531.540.080.010.090.100.140.120.200.220.24
26.0124.6021.6922.7321.4220.2920.5020.6819.8919.8622.6121.6422.9621.0622.0622.2622.1821.2221.4621.1621.0920.6819.9219.4720.6917.7818.1218.8118.6418.3519.7419.0319.6518.9714.5612.3917.8515.4817.9217.6020.2019.9811.5317.8219.4918.6819.5919.3319.4618.7017.1818.4719.4418.4918.2320.0521.7118.5318.2320.5119.0015.54
7.076.614.654.392.673.525.157.084.455.587.178.198.176.757.356.836.817.858.128.067.547.453.824.253.613.49-1.825.304.703.126.746.075.453.02-56.58-0.736.202.105.375.359.018.251.076.597.865.868.677.747.596.43-24.135.20-2.404.284.286.278.776.58-5.399.007.314.04
7.076.614.654.392.673.525.157.084.455.587.178.198.176.757.356.836.817.858.128.067.547.453.824.253.613.49-1.825.304.703.126.746.075.453.02-56.58-0.736.202.105.375.359.018.251.076.597.865.868.677.747.596.43-24.135.20-2.404.284.286.278.776.58-5.399.007.314.04
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5.054.581.961.651.783.334.565.322.935.9585.936.616.394.975.734.834.285.415.275.655.084.921.092.681.181.57-3.554.033.241.844.094.714.0014.57-57.59-10.171.75-1.752.152.495.264.29-2.792.513.971.414.503.263.131.96-28.460.74-3.824.024.175.728.196.05-5.888.416.633.46
3.923.592.661.641.272.894.294.542.384.9567.245.875.264.266.124.323.464.574.754.584.334.330.412.611.031.736.673.362.711.551.993.782.899.53-41.62-5.891.02-1.142.751.563.552.87-1.312.562.872.112.382.772.981.30-25.760.52-2.752.944.095.815.494.05-3.035.634.442.32
0.170.170.170.170.170.180.180.190.180.170.170.190.190.190.190.180.180.210.240.260.270.260.250.250.250.250.250.230.260.260.280.250.260.270.280.230.250.240.250.250.250.240.250.240.250.230.250.230.230.230.230.220.120.280.290.280.300.300.300.290.280.29
0.720.690.760.700.720.740.870.860.850.820.850.890.850.900.950.920.891.141.311.301.301.321.301.271.291.440.950.820.890.870.950.830.840.911.161.031.041.031.081.071.050.971.181.001.040.961.050.910.930.951.010.900.541.001.151.051.091.181.280.970.941.07
1.851.831.841.881.961.891.811.982.071.972.282.342.402.572.722.392.182.132.782.352.602.732.422.482.402.321.921.771.721.901.871.801.741.832.031.871.921.902.061.801.771.792.051.831.751.761.991.731.771.881.891.800.991.611.961.681.761.692.011.701.621.56
48.6949.2849.0247.9545.8347.5749.7045.5043.5645.5939.4538.4937.5035.0133.1037.5941.2542.3532.3238.2734.5832.9337.1836.3037.4638.8346.8650.9152.3447.2948.1650.1251.8449.1744.3148.0146.9447.3243.6849.9350.7750.3544.0049.2751.5551.0345.1652.1050.9647.8647.5550.1390.5656.0745.8153.4551.0853.3644.7952.8255.5757.78
1.181.060.800.510.380.991.541.660.841.6623.352.672.442.002.932.041.642.623.032.932.872.830.261.630.641.054.032.071.750.991.342.381.886.75-35.09-3.810.69-0.772.011.142.622.11-1.051.922.351.632.082.332.581.15-23.740.37-1.171.141.642.312.321.78-1.372.622.001.14
3.052.872.271.461.172.604.144.852.615.5585.8213.1014.9315.4928.5931.5868.08-264.78-53.8318.9826.5240.757.7682.73-45.0114.67275-46.229.746.5410.1420.3423.0213987617.09-3.633.61-9.19-4.72-9.51-6.452.78-5.22-5.57-3.42-4.00-4.18-4.21-1.6932.90-0.641.911.873.163.873.943.07-2.405.033.942.30
0.680.610.460.280.210.520.790.860.420.8411.321.141.020.811.150.760.600.941.121.201.151.130.100.650.250.441.670.780.710.410.550.960.742.61-11.70-1.370.25-0.270.690.390.870.69-0.320.610.710.480.590.640.680.30-6.000.11-0.340.821.201.651.631.21-0.901.651.220.68
0.850.760.570.360.270.681.051.130.561.1014.701.471.311.051.510.990.781.231.491.641.571.520.140.860.330.572.101.040.980.560.751.290.993.50-15.28-1.880.34-0.370.940.521.160.91-0.440.800.950.640.790.850.910.40-8.160.15-0.461.051.622.132.111.58-1.242.221.670.93
44.4843.8943.5743.5342.7043.2043.4542.0441.1540.5339.8030.1129.0428.3228.0827.2726.5025.9625.3024.5423.6222.9822.4922.4021.9321.7320.7919.8419.3519.0218.9518.8918.4018.0016.7622.5123.3323.2323.4323.8423.1922.5621.6622.3821.9121.4321.0220.6720.1419.6319.3824.3824.2124.4224.1923.7823.2322.7022.3822.6322.0421.62
0.12-0.112.220.31-0.72-1.512.640.050.50-1.53-0.05-1.00-1.45-1.911.060.13-0.29-1.024.331.700.68-0.143.972.862.260.893.072.381.411.153.832.441.070.492.141.091.560.324.801.861.40-0.894.241.350.64-0.574.471.070.54-0.45-0.28-2.72-2.14-2.382.50-0.26-0.88-2.002.93-0.82-1.44-2.23
-0.43-0.440.86-0.75-1.52-1.941.06-1.11-0.24-1.92-1.38-1.84-2.01-2.280.01-0.56-0.71-1.342.780.460.04-0.422.491.771.620.610.760.240.000.562.331.310.400.150.790.050.89-0.193.181.030.86-1.083.110.690.17-0.822.99-0.09-0.29-0.92-1.62-3.73-2.64-2.491.83-0.73-1.24-2.132.20-1.39-1.83-2.39