Deere Financial Ratios for Analysis 2009-2024 | DE

Fifteen years of historical annual and quarterly financial ratios and margins for Deere (DE).

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
1.901.982.152.242.041.922.122.132.062.172.052.242.072.212.31
0.640.620.640.720.730.710.730.780.780.730.680.770.710.730.78
2.912.562.633.553.973.744.195.455.454.083.364.723.903.865.09
38.4332.7933.8633.3831.7531.5533.2031.7130.2131.3132.0930.8431.5333.0929.67
21.2617.3617.2710.9310.4110.9010.618.359.6313.3014.5113.0913.1911.635.79
25.2619.3819.5214.4314.1514.1213.6311.2111.9915.1416.4715.2615.5614.7510.30
28.5322.9824.1820.3919.2919.2819.4017.0716.7818.7619.4918.0418.4218.3815.33
21.2617.3617.2710.9310.4110.9010.618.359.6313.3014.5113.0913.1911.635.79
16.6013.5613.547.748.296.347.265.726.728.779.368.488.757.173.78
0.590.580.520.470.540.530.450.460.500.590.640.640.660.600.56
4.624.164.294.744.484.165.095.455.285.895.204.845.025.686.78
5.915.917.376.555.805.525.766.587.087.507.196.406.855.876.57
61.7561.8049.5255.6862.8866.0763.3455.4351.5448.6650.7357.0353.2862.1655.59
46.6135.1832.3621.2728.5321.0022.5823.3028.7234.8934.4544.7641.2029.7318.10
60.6146.4243.0132.2545.7435.7725.9827.1232.5238.5537.8552.6349.3736.1323.92
9.767.927.093.674.463.383.282.633.355.165.945.465.824.332.12
16.8513.2411.626.037.826.156.095.036.349.4611.1110.4811.818.113.93
77.3867.8359.8441.2736.4635.4629.7120.7521.3426.2427.4717.6916.7814.9311.39
29.2515.3424.6123.6410.645.576.7911.9111.199.638.362.915.515.324.68
30.9018.4728.5726.6812.297.369.4113.8412.249.757.791.614.625.003.66

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
2.072.012.051.901.981.962.071.981.972.072.252.152.172.292.342.242.262.202.122.041.991.941.981.921.911.911.982.122.102.162.202.132.102.102.242.062.052.112.262.172.222.182.242.052.182.172.362.242.232.092.032.072.022.092.342.212.242.462.332.312.142.072.00
0.650.640.640.640.620.610.620.620.630.630.650.640.670.690.700.720.730.740.720.730.700.700.710.710.720.720.740.730.730.750.770.780.760.770.790.780.750.740.750.730.690.680.680.680.720.720.750.770.740.720.710.710.680.690.720.730.730.750.770.780.690.710.72
2.862.892.862.912.682.592.532.562.692.582.662.633.053.143.263.553.764.233.763.973.703.753.803.744.093.994.384.194.374.615.065.454.995.275.485.454.814.564.444.083.393.403.353.363.924.114.354.724.214.014.143.903.483.513.673.863.904.184.975.093.333.753.95
40.3339.9040.9138.8339.0938.2937.2934.2632.5633.3030.0331.0634.2934.2536.2933.5034.6231.9833.4731.9431.5531.6331.9632.2330.6231.5931.9532.5532.7834.5032.7833.5733.1729.7730.4930.4529.4430.3130.7531.9930.4130.9232.1232.9931.6931.4432.4330.1329.5531.7132.3731.1830.8131.4633.0931.8533.8933.1833.7026.9131.0529.5131.16
17.9120.4618.1819.9322.8222.1319.7018.5718.0019.0912.0314.2318.6519.1716.7711.4714.2310.037.468.3411.0912.998.4810.4011.5412.917.499.5611.4014.115.836.6610.499.316.366.819.7312.458.8912.0113.6014.7112.6113.1715.4815.9812.7511.4612.6715.9611.8312.2712.8915.0512.1910.4213.4813.877.54-1.038.649.075.32
24.2925.9524.7625.0126.7625.4023.4920.8220.1020.4914.4216.0920.7721.4019.7414.3417.4813.7311.8612.2614.8216.0812.9013.8314.3715.7411.6312.6514.1716.859.539.7113.4711.749.499.2311.9814.4711.7113.9315.2216.3814.8515.1517.3017.7315.1813.5114.7017.9114.6714.3715.0917.2115.5013.0916.3116.7712.053.6412.8813.0610.66
---------------------------------------------------------------
17.9120.4618.1819.9322.8222.1319.7018.5718.0019.0912.0314.2318.6519.1716.7711.4714.2310.037.468.3411.0912.998.4810.4011.5412.917.499.5611.4014.115.836.6610.499.316.366.819.7312.458.8912.0113.6014.7112.6113.1715.4815.9812.7511.4612.6715.9611.8312.2712.8915.0512.1910.4213.4813.877.54-1.038.649.075.32
13.1815.5614.3715.3718.8516.4515.4814.4613.3615.699.4411.3214.4614.8413.437.789.097.206.787.298.9610.016.248.348.8311.27-7.746.368.229.753.544.397.266.294.605.246.738.456.067.258.959.858.908.549.959.938.757.028.2210.557.887.788.5110.158.396.349.027.685.03-4.187.147.003.96
0.120.140.120.150.150.180.140.170.160.160.120.130.140.150.120.130.120.120.110.140.140.160.110.130.150.150.100.120.130.140.100.110.110.130.100.120.130.140.110.150.150.160.130.160.170.190.130.170.180.190.140.180.180.190.140.170.160.170.120.130.140.160.12
1.021.080.811.161.031.100.791.201.040.990.841.151.181.310.971.291.031.020.781.131.021.080.731.041.151.060.711.391.231.320.961.301.171.360.901.221.241.230.981.451.221.170.941.281.221.210.801.321.151.120.811.361.241.300.981.601.421.591.161.631.341.340.92
1.351.331.241.491.271.381.321.751.621.561.411.901.651.571.471.791.331.281.131.461.201.261.111.391.371.351.201.551.491.521.361.611.411.341.221.651.491.451.491.861.641.571.561.801.691.651.411.731.611.621.461.841.731.771.471.631.611.531.231.521.481.331.22
66.6467.4372.4760.5170.7165.0368.3051.5755.4957.6563.8747.4654.4257.1961.3050.1567.7270.3279.7961.5174.8571.6580.9864.6365.8066.6974.9157.9360.4959.1766.3655.8663.6466.9373.7054.6260.2962.0960.3948.2754.7457.4757.7350.0353.2654.4463.6851.9355.8655.7161.5548.8452.0150.8261.2755.3455.9858.8573.2259.3960.6267.4473.62
7.5010.447.9210.8612.8912.769.1711.079.9011.095.086.9710.6011.868.695.866.295.614.346.327.339.534.416.958.7911.61-5.775.337.4910.512.904.356.576.893.845.206.628.454.697.177.869.206.647.8611.6013.128.6810.0410.6614.317.889.869.4812.207.817.2910.119.714.93-4.625.656.873.11
9.5813.3910.2814.1316.6416.6112.0914.6113.4615.266.749.2614.7316.8912.828.889.428.726.7810.1411.5115.307.3811.8415.8821.84-11.906.148.4111.893.355.077.517.954.365.897.369.365.207.928.5710.067.298.6413.1414.9610.0711.8012.4016.759.3811.8211.2014.479.438.8612.3712.156.39-6.107.008.633.95
1.612.241.722.272.872.912.142.492.172.491.141.532.072.271.621.011.050.860.720.991.221.560.721.121.311.73-0.800.781.031.370.350.490.830.840.450.610.871.160.661.061.381.611.181.361.711.861.181.221.492.061.101.391.521.951.201.061.481.340.60-0.541.011.130.49
2.633.722.823.934.864.933.474.173.684.081.782.503.473.702.611.661.731.441.221.732.172.831.282.042.453.30-1.501.441.992.610.670.941.551.560.821.151.652.171.201.942.442.902.092.533.293.612.192.352.774.052.252.833.053.842.211.992.752.391.11-1.001.741.990.88
84.3082.3379.3277.3880.0476.4072.0067.8363.0761.8658.0559.8450.7448.3944.9441.2741.1437.9238.0436.4638.9737.6235.5835.4632.2332.1328.6129.7126.6924.0521.4820.7523.6622.8420.9421.3423.5424.4924.3026.2430.2229.3227.7527.4722.4421.3019.2217.6918.9318.6016.8716.7818.2217.7115.6414.9314.4513.3211.7611.3917.5616.2615.52
15.023.40-3.2329.259.91-0.50-4.1715.341.37-5.72-8.2524.6113.775.670.4523.6412.852.45-1.6010.641.26-4.64-5.125.57-2.05-3.71-4.016.792.24-0.51-2.3011.914.19-0.99-2.4511.193.57-0.46-1.489.631.87-2.25-1.998.361.51-2.94-3.182.91-2.85-3.77-3.005.511.51-1.56-2.115.322.540.97-0.744.681.14-2.79-3.81
16.504.45-2.7230.9011.820.88-3.5618.474.33-3.48-7.3328.5717.017.861.4226.6815.113.90-1.1112.292.56-3.61-4.897.36-0.39-2.50-3.519.414.441.14-1.6413.845.870.27-1.9712.244.500.22-1.319.752.31-1.86-1.927.791.24-2.93-3.291.61-3.41-4.01-3.124.621.13-1.70-2.155.002.551.02-0.753.660.41-3.31-4.15