Denny's Financial Ratios for Analysis 2009-2024 | DENN

Fifteen years of historical annual and quarterly financial ratios and margins for Denny's (DENN).

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
0.430.540.710.630.550.500.440.380.360.700.730.700.700.690.63
1.311.161.572.402.181.741.521.421.400.990.951.031.051.691.87
-4.24-7.35-2.80-1.73-1.86-2.38-2.97-3.45-3.5610020.53-42.63-22.56-2.51-2.19
40.5138.5442.4635.1738.5936.1541.2442.0740.9639.5138.5038.6036.6636.3836.35
11.3913.2826.142.3130.4711.6813.369.2712.8512.1410.2711.559.4710.0611.91
11.3913.2826.142.3130.4711.6813.369.2712.8512.1410.2711.559.4710.0611.91
14.6216.6830.298.2234.2516.0717.9613.7617.3316.7315.0316.3015.0215.6817.41
5.8121.7826.15-2.4727.568.2910.737.0810.9410.327.807.195.264.397.06
4.3016.3719.61-1.7721.696.937.483.837.326.935.314.5720.854.146.83
1.000.920.910.671.181.881.631.661.651.631.561.501.541.761.95
12750.6545.2815825113499.2296.4193.0696.7998.7410499.2286.4492.93
21.6917.8520.2913.5219.7023.9824.7525.5529.6826.1526.7124.4835.9731.7433.59
16.8320.4517.9927.0018.5315.2214.7514.2912.3013.9613.6714.9110.1511.5010.87
-31.82-201.29-119.623.92-85.04-32.77-40.67-27.28-59.372,067291-500.20-1,160.46-21.90-32.59
-8.98-36.46-51.242.34-51.30-18.82-20.54-12.06-25.67-42.98-34.64-26.30-122.90-12.14-19.32
4.2914.9917.93-1.1925.5013.0312.236.3412.1111.298.316.8732.047.3013.29
9.8831.9467.61-5.5010124.2320.9811.3323.6821.4414.0912.9055.6815.2028.36
-1.20-0.65-1.05-2.04-2.42-2.17-1.51-1.00-0.790.020.09-0.05-0.10-1.05-1.32
1.280.651.16-0.050.701.121.110.920.980.840.610.610.600.380.34
1.160.521.81-0.012.390.680.700.510.600.590.450.630.520.290.56

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
0.390.370.380.430.380.420.600.540.540.550.660.710.520.550.710.630.790.821.080.550.440.580.490.500.450.460.440.440.400.340.410.380.350.410.390.360.750.740.720.700.640.680.670.730.680.650.710.700.800.760.780.700.530.520.570.690.880.700.730.630.690.590.53
1.251.251.261.311.161.201.201.161.191.421.361.571.962.061.812.402.313.102.522.182.081.961.831.741.561.611.641.521.511.441.341.421.311.321.361.401.050.980.970.990.991.000.970.951.000.990.991.031.001.021.011.051.741.741.721.691.661.771.801.871.962.052.11
-4.99-5.02-4.87-4.24-7.22-6.05-6.11-7.35-6.23-3.39-3.85-2.80-2.06-1.96-2.25-1.73-1.78-1.49-1.67-1.86-1.94-2.06-2.23-2.38-2.81-2.66-2.59-2.97-2.99-3.31-3.99-3.45-4.25-4.21-3.86-3.56-22.4859.1839.3210070.76-12,846.6430.4320.5345571.80102-42.63349-73.74-79.54-22.56-2.42-2.42-2.45-2.51-2.57-2.34-2.30-2.19-2.08-2.00-1.93
40.1537.7040.2340.3641.1240.8139.7638.5937.4138.6639.6442.4342.8543.4940.6235.7636.1524.5138.4041.6139.7937.7236.2136.8236.3436.0635.3640.8442.0140.7641.3641.2742.3542.3942.3039.9140.7441.8841.3240.3639.6839.9437.9038.0638.0438.4839.4538.9039.0538.3338.1636.8937.9736.7635.0135.6938.5136.4134.8538.2838.5535.6933.41
10.517.869.106.7012.2812.7713.7514.6013.4512.0512.9158.1817.0117.226.84-1.354.52-33.6818.6623.3354.8630.3615.9412.3811.6912.0510.5813.9114.0012.7512.7412.3613.69-3.8914.6311.8512.7014.1212.7512.7412.5713.0410.076.9411.5310.8211.7510.179.6715.2310.989.0710.2210.098.4610.4012.109.558.1417.3912.7611.207.19
10.517.869.106.7012.2812.7713.7514.6013.4512.0512.9158.1817.0117.226.84-1.354.52-33.6818.6623.3354.8630.3615.9412.3811.6912.0510.5813.9114.0012.7512.7412.3613.69-3.8914.6311.8512.7014.1212.7512.7412.5713.0410.076.9411.5310.8211.7510.179.6715.2310.989.0710.2210.098.4610.4012.109.558.1417.3912.7611.207.19
---------------------------------------------------------------
7.154.115.663.998.409.581.3213.3319.2226.7629.0654.3515.75-1.9138.832.8710.18-69.8211.7220.7751.8327.0013.318.058.629.037.4611.2611.1410.2610.2510.1611.69-6.2212.3810.0710.3412.3510.9911.0710.6511.358.094.709.687.499.307.747.086.267.695.436.146.283.182.287.404.313.5012.967.456.392.36
5.833.084.272.526.937.300.5110.5714.5420.0021.2040.3711.82-0.7828.772.949.04-57.189.3216.3039.5322.5410.237.216.847.396.299.707.046.566.558.707.58-9.297.997.067.237.897.107.527.137.225.753.736.005.326.185.594.433.694.6370.705.845.983.042.017.104.043.3412.736.875.992.60
0.240.250.240.250.240.250.240.240.240.290.260.250.250.250.190.190.160.090.200.250.280.350.360.480.480.470.470.420.430.430.420.420.430.420.430.420.430.430.430.440.410.400.390.390.390.390.370.360.370.380.380.370.490.470.460.440.450.460.440.450.440.470.49
36.4538.1131.7131.6328.5627.3121.7513.408.155.786.3312.2548.2246.8740.9343.5744.9827.3949.5650.1750.9740.3133.6333.6832.9732.4932.3725.5825.6125.9324.2924.9924.6025.6225.1423.9125.2225.4126.3126.0125.7424.8323.8424.5625.1425.2623.7024.5125.9025.9323.4723.9024.0923.5822.8521.6522.9922.9623.5120.8221.6722.8623.02
6.565.866.365.396.746.335.014.734.794.964.455.496.145.203.873.753.472.116.394.146.248.158.276.079.198.297.966.347.607.976.836.539.068.819.027.499.398.978.507.137.938.197.876.608.287.116.835.818.889.0510.248.7010.118.538.907.8610.2010.1210.027.7611.5710.9812.35
13.7215.3614.1516.6913.3614.2217.9619.0518.7818.1520.2216.4114.6617.3023.2623.9925.9242.6914.0921.7314.4211.0410.8814.839.7910.8511.3114.2011.8411.3013.1813.789.9410.219.9812.019.5910.0310.5912.6311.3510.9911.4313.6410.8712.6513.1815.4810.139.948.7910.358.9010.5510.1211.458.828.908.9911.607.788.197.28
-11.96-6.70-8.42-4.63-22.09-20.03-1.33-34.41-38.28-39.18-45.76-66.58-13.680.83-22.71-1.81-4.6810.56-4.50-13.44-41.37-24.02-11.05-8.63-9.82-9.86-8.04-13.50-9.55-10.95-12.94-15.85-18.0921.94-17.33-14.46-118.57359219611344-59,109.2311250.551,826252389-145.29953-165.98-221.74-951.30-8.36-8.17-4.03-2.64-9.70-4.83-3.86-14.02-6.84-5.92-2.55
-3.06-1.68-2.18-1.31-3.92-4.09-0.28-6.23-8.03-15.85-16.25-28.52-6.930.44-12.19-1.08-2.857.48-3.10-8.11-23.37-14.55-6.59-4.95-5.15-5.32-4.38-6.82-4.87-5.07-5.40-7.01-6.818.55-7.24-6.25-10.45-13.07-11.60-12.71-11.02-10.53-8.78-6.01-8.84-8.00-9.08-7.64-6.78-5.54-7.02-100.75-4.52-4.48-2.23-1.46-5.31-2.75-2.23-8.31-4.16-3.68-1.62
1.410.781.020.621.651.830.122.563.435.865.449.982.98-0.205.480.551.44-4.901.864.0311.137.803.673.433.293.482.934.063.022.852.723.683.27-3.943.452.953.093.413.043.342.932.912.241.442.342.062.271.991.651.401.7426.262.852.841.390.883.181.841.465.723.032.831.28
3.021.682.191.443.573.990.265.467.3716.6216.3037.6313.16-0.8818.392.536.14-22.166.8315.9044.7922.999.186.385.536.055.156.974.904.824.416.595.67-6.976.195.775.636.085.546.345.014.803.712.444.173.614.063.752.932.482.9245.656.206.052.921.836.373.733.0712.206.566.192.83
-1.06-1.03-1.07-1.20-0.66-0.77-0.80-0.65-0.78-1.01-0.77-1.05-1.41-1.55-1.59-2.04-2.17-3.90-3.60-2.42-2.00-2.38-2.30-2.17-1.75-1.86-1.90-1.51-1.49-1.17-0.92-1.00-0.73-0.69-0.75-0.79-0.090.030.050.020.030.000.070.090.000.030.02-0.050.01-0.03-0.03-0.10-0.99-1.02-1.03-1.05-1.03-1.14-1.20-1.32-1.52-1.64-1.76
0.400.270.001.280.910.620.280.650.420.15-0.111.160.960.660.16-0.05-0.18-0.140.030.700.520.410.201.120.710.390.051.110.630.460.110.920.560.300.110.980.670.430.120.840.550.340.150.610.490.260.080.610.460.270.090.600.470.250.140.380.310.100.150.340.280.080.05
0.090.10-0.071.160.860.620.290.520.320.06-0.151.810.910.640.15-0.01-0.20-0.18-0.022.392.100.990.270.680.460.25-0.140.700.470.360.070.510.400.220.080.600.450.300.080.590.350.190.070.450.400.200.050.630.520.360.100.520.390.200.110.290.280.080.110.560.360.130.05