Deckers Outdoor Financial Ratios for Analysis 2009-2024 | DECK

Fifteen years of historical annual and quarterly financial ratios and margins for Deckers Outdoor (DECK).

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
2024202320222021202020192018201720162015201420132012201120102009
3.393.843.233.523.974.374.815.163.294.105.102.592.593.524.945.16
----0.030.030.030.030.030.03------
----0.030.030.030.030.100.040.010.010.04---
55.6350.3251.0353.9851.7551.4948.9546.6645.1548.3348.9547.3144.6949.3050.2445.63
21.6318.0017.9319.8115.8516.2011.69-0.118.6512.35-0.1413.3613.2220.6824.8822.29
21.6318.0017.9319.8115.8516.2011.69-0.118.6512.35-0.1413.3613.2220.6824.8822.29
23.2119.3719.3421.5717.6818.4214.259.2011.3115.063.4516.0215.5822.7926.1123.54
22.8318.3617.9219.7015.9816.2811.60-0.398.3712.17-0.2513.2113.0220.7124.9922.53
17.7114.2514.3515.0312.9513.086.010.326.528.90-0.919.369.1214.6616.0214.36
1.371.421.351.171.211.421.511.501.471.550.281.241.321.201.241.36
4.013.383.044.213.303.523.243.203.433.930.713.142.612.763.985.18
12.6111.849.8211.4711.0111.1713.059.7610.2111.482.788.467.417.128.5810.64
28.9530.8237.1831.8333.1632.6927.9837.4035.7431.7913243.1549.2351.2542.5434.30
36.0429.2729.3726.4924.2225.2912.160.6012.6417.27-0.3016.4017.4623.9924.4623.77
36.7630.1530.4327.5625.6126.9813.160.6516.1622.43-0.4021.8725.0932.2025.4324.98
24.2220.2219.3817.6515.6418.529.050.489.5713.83-0.2511.5712.0817.6119.8219.52
36.0429.2729.3726.4923.5924.5611.770.5812.2316.68-0.3016.4017.4623.9924.4623.77
13.7211.249.518.626.795.985.154.975.044.694.284.283.583.622.832.12
6.613.361.033.501.662.001.711.030.630.810.231.250.730.130.590.78
6.042.850.733.311.481.841.520.800.300.380.150.870.46-0.110.500.73

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
2.863.392.862.872.963.842.752.632.443.232.742.702.873.523.252.983.273.972.892.442.694.373.062.412.934.813.252.433.165.162.961.972.313.292.851.682.254.103.192.232.805.10-1.822.444.23-1.722.746.81-2.875.209.51-4.805.288.31-4.725.908.68
--------------0.020.020.030.030.030.030.030.030.030.040.030.030.030.030.030.030.030.030.030.030.030.040.040.030.030.04----------------------
--------------0.020.030.030.030.030.050.030.030.030.120.040.030.030.170.040.030.060.320.160.100.060.400.090.040.040.210.000.01-0.320.040.01-0.40---0.06----------
56.9556.2158.7453.3951.2650.0552.9548.1947.9748.7452.3050.8551.6253.2256.9651.1650.3551.4854.0850.3546.9751.5853.8050.1945.8848.0352.2546.6643.2143.0150.4644.5443.7240.9249.1343.9840.5044.7252.9146.6141.0348.95-43.1641.0646.85-42.3242.1845.99-48.9642.7450.03-47.1344.3249.96-42.8839.7743.89
16.0915.0331.2720.5710.4713.3826.9514.609.1711.0524.7017.7612.259.7430.4920.63-2.724.4427.2517.91-11.358.0228.0118.01-15.734.5723.8413.96-26.82-8.367.0011.12-44.91-7.3625.4410.52-29.800.2227.3512.41-23.87-0.14-12.02-25.14100.00-15.84-16.46100.00-21.88-7.00100.00-23.869.64100.00-23.243.14100.00
16.0915.0331.2720.5710.4713.3826.9514.609.1711.0524.7017.7612.259.7430.4920.63-2.724.4427.2517.91-11.358.0228.0118.01-15.734.5723.8413.96-26.82-8.367.0011.12-44.91-7.3625.4410.52-29.800.2227.3512.41-23.87-0.14-12.02-25.14--15.84-16.46--21.88-7.00--23.869.64--23.243.14-
--------------------------------------------------------------
18.0717.1131.9821.4612.0414.5127.1514.729.2811.1924.6617.6912.229.4630.4920.52-2.854.4427.3417.93-10.698.5128.0017.89-15.584.4723.8213.75-26.98-8.526.6910.80-45.23-7.6425.2110.24-30.250.2827.1912.00-24.01-0.25-11.82-25.310.95-15.68-16.365.01-21.87-6.9713.83-23.9410.0118.53-23.284.3514.84
14.0113.2924.9916.359.4011.6020.7111.597.309.3519.6114.149.545.9623.7116.29-2.824.2921.4814.35-6.996.0822.4714.82-12.135.1510.6510.27-20.08-4.255.408.09-33.78-6.2619.727.47-22.140.4119.978.48-17.53-0.91-8.55-17.210.38-11.44-11.553.20-15.05-4.889.36-15.176.5411.48-14.812.819.19
0.250.310.470.380.240.310.480.360.240.320.470.300.220.260.450.300.150.210.500.320.160.280.570.350.180.320.530.320.160.310.560.310.130.300.570.310.170.290.550.340.180.28-0.300.170.29-0.300.170.25-0.400.190.27-0.400.220.27-0.440.210.30
0.470.891.190.700.440.740.880.490.380.741.030.560.530.941.520.630.320.581.180.480.310.681.180.490.310.700.980.460.270.701.010.470.210.751.090.460.340.791.260.530.350.71-0.490.280.55-0.450.290.64-0.590.420.96-0.740.631.13-0.690.421.13
2.482.824.502.182.332.584.071.911.802.293.411.882.272.533.331.851.881.943.181.591.692.183.101.551.872.753.361.511.432.013.411.531.322.064.071.581.392.154.141.781.432.78-1.711.282.23-1.471.252.28-1.821.252.62-1.951.682.86-2.021.632.38
36.2731.8920.0241.2938.5634.8322.1347.1849.8939.2426.4147.9039.7035.6127.0048.7347.7546.5128.2856.4553.1641.3228.9958.0148.2332.7726.7659.4662.7844.6826.4358.9868.3643.6422.0957.0764.5541.8221.7450.4562.8932.43-52.6470.2640.27-61.2472.2539.52-49.4571.9234.37-46.0753.6131.50-44.5055.3537.75
5.576.0518.539.953.535.2015.756.703.054.4714.896.973.392.3216.818.17-0.701.4117.948.49-1.942.2919.298.78-3.372.198.365.12-4.61-1.654.234.11-6.42-2.4515.414.21-5.580.1515.174.55-4.33-0.30-4.37-4.08--6.32-2.80--8.68-1.15--7.461.70--8.010.68-
5.696.1718.9810.233.635.3516.236.943.164.6315.427.243.532.4117.508.59-0.741.4919.009.12-2.082.4520.659.55-3.652.379.005.55-5.04-1.794.615.24-8.31-3.1319.485.61-7.510.1919.276.06-5.81-0.40-6.17-5.90--9.40-3.95--12.31-1.20--7.811.79--8.510.73-
3.504.0711.656.272.233.599.924.121.782.959.144.232.101.5410.704.95-0.430.9110.684.60-1.111.6812.735.22-2.191.635.643.26-3.31-1.323.002.50-4.34-1.8511.142.31-3.780.1211.062.91-3.17-0.25-2.59-2.86--3.43-1.96--5.96-0.95--6.021.40--6.470.58-
5.576.0518.539.953.535.2015.756.703.054.4714.896.973.392.3216.497.98-0.681.3717.478.22-1.892.2318.728.47-3.262.128.114.95-4.45-1.594.093.97-6.20-2.3714.934.05-5.370.1414.694.38-4.33-0.30-4.37-4.08--6.32-2.80--8.68-1.15--7.461.70--8.010.68-
13.6013.7213.6711.5911.4911.2411.199.549.239.519.578.858.558.629.007.386.776.796.695.465.735.985.824.814.955.155.425.044.764.975.074.974.775.045.244.464.324.694.984.314.124.28-3.653.473.60-3.223.243.61-3.102.822.91-2.432.252.21-1.821.711.69
0.736.616.860.770.793.363.00-1.48-0.181.031.37-1.03-0.223.503.06-0.090.131.661.41-1.26-0.272.001.59-0.890.041.711.32-0.94-0.041.030.87-1.48-0.230.630.74-1.67-0.140.810.93-1.24-0.310.230.00-0.82-0.060.080.00-0.840.130.120.00-0.95-0.340.020.00-0.260.020.090.00-0.15-0.040.17
0.596.046.380.410.602.852.64-1.63-0.260.731.12-1.19-0.313.312.94-0.170.071.481.27-1.34-0.311.841.46-0.970.001.521.21-1.00-0.060.800.68-1.65-0.330.300.49-1.87-0.250.380.56-1.42-0.400.15--1.03-0.140.02--1.030.020.07--1.04-0.40-0.01--0.32-0.010.08--0.19-0.070.16