D.R Horton Financial Ratios for Analysis 2009-2024 | DHI

Fifteen years of historical annual and quarterly financial ratios and margins for D.R Horton (DHI).

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
7.326.625.926.426.707.257.256.936.906.816.325.955.104.694.705.11
0.190.180.230.260.260.250.260.270.330.390.420.460.410.390.450.57
0.230.220.310.360.350.330.350.370.480.650.720.860.690.650.831.31
25.9126.3731.3728.3524.3122.0122.8421.6321.8421.1421.8922.4619.7916.8717.563.25
16.1317.2122.6119.1514.2311.5912.4211.1910.9210.099.8610.225.681.573.91-13.18
16.1317.2122.6119.1514.2311.5912.4211.1910.9210.099.8610.225.681.573.91-13.18
16.3717.4722.8519.4514.6812.0612.8711.6111.5210.7410.6811.217.043.145.03-12.18
17.0817.8122.7919.2914.6912.0812.8211.3711.1310.3810.1510.515.580.332.26-15.22
12.9213.3817.5015.0311.699.209.097.377.296.946.657.3921.961.975.57-15.03
1.021.091.101.161.071.131.141.161.050.970.790.710.600.680.740.54
1.091.171.061.211.261.221.191.201.141.090.810.780.840.881.050.97
------------30229327512.48
------------1.211.241.3329.25
18.6120.7229.8027.5419.6415.7215.9713.4013.0512.7310.4211.3926.602.749.34-22.90
18.7320.8730.0527.8419.9115.9816.1613.5413.2012.9210.6211.5026.892.759.40-23.06
13.3114.7219.4217.4512.5910.3710.368.527.676.735.245.2213.191.344.13-8.14
15.1416.9822.8020.3214.5111.8211.839.788.817.736.076.1115.711.665.11-9.91
79.7069.1057.5242.7433.3027.9424.3420.6618.2215.9914.0412.5811.208.308.237.56
6.6012.541.581.463.842.361.421.161.661.89-1.80-3.37-0.810.062.233.60
6.1612.261.170.833.422.151.830.751.431.89-2.08-3.53-0.910.012.173.58

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
7.327.227.356.566.626.976.806.675.925.715.956.036.426.035.546.286.706.827.257.137.256.917.276.857.257.067.367.036.936.637.186.916.906.627.257.146.816.736.956.676.326.457.036.085.955.385.695.305.105.054.844.934.694.845.084.774.704.694.795.165.116.966.56
0.190.180.200.180.180.220.220.220.230.240.250.250.260.240.250.250.260.280.290.260.250.260.280.260.260.260.280.290.270.280.310.320.330.340.370.380.390.400.420.410.420.410.470.450.460.440.470.420.410.380.390.390.390.420.430.440.450.460.500.530.570.570.52
0.230.230.240.220.220.280.280.280.310.320.330.330.360.310.340.330.350.380.400.360.330.350.380.360.350.350.390.400.370.390.450.460.480.510.590.620.650.680.730.710.720.690.890.820.860.790.870.720.690.600.650.650.650.730.770.790.830.840.981.121.311.311.08
25.5426.5125.6225.9726.8826.5724.7927.1029.8633.1032.1230.4529.6728.4427.8626.9825.7324.2223.3223.2922.9721.9021.1221.8223.2223.4121.9522.5821.5221.5921.5721.9122.0021.9321.6321.6920.9221.3621.1021.2021.1419.6323.9323.7622.2223.4822.5221.3920.2020.1819.7718.7116.7717.5216.3516.6715.8716.6819.2618.69-4.801.097.38
15.9417.2415.9515.1618.4417.8115.0916.9421.2324.6723.4321.0121.3519.1918.2217.1116.3914.4312.9411.9612.9412.1210.3610.3813.1413.6011.3911.0511.5211.6710.6510.6911.5211.5110.469.7210.4211.079.309.229.887.7211.3611.0010.5011.739.738.347.386.454.463.503.664.21-2.48-0.820.884.973.235.70-19.81-15.24-11.14
15.9417.2415.9515.1618.4417.8115.0916.9421.2324.6723.4321.0121.3519.1918.2217.1116.3914.4312.9411.9612.9412.1210.3610.3813.1413.6011.3911.0511.5211.6710.6510.6911.5211.5110.469.7210.4211.079.309.229.887.7211.3611.0010.5011.739.738.347.386.454.463.503.664.21-2.48-0.820.884.973.235.70-19.81-15.24-11.14
---------------------------------------------------------------
17.0918.0516.7816.1519.2118.3415.6217.4621.4324.8423.5421.2321.2919.4318.3017.4316.5014.5213.8113.0213.1012.7711.2110.6813.4913.8911.7211.7411.6811.7710.8810.9511.5811.7110.869.9910.6811.319.609.5810.148.0011.6411.3610.9012.129.938.467.426.284.403.223.092.89-4.10-2.52-0.183.291.323.78-22.27-17.52-13.24
12.8313.5812.8712.2614.3713.7311.8213.2116.9318.7517.9616.1916.5115.3114.4213.3412.9511.7010.7310.7310.039.688.518.1610.3510.239.255.687.537.657.057.127.587.737.056.537.537.506.176.196.725.277.557.377.508.627.755.207.5068.504.223.063.252.873.70-2.59-0.933.591.2516.96-22.82-15.41-13.96
0.280.280.260.230.320.300.260.240.320.300.300.280.340.330.310.300.340.300.260.250.320.320.280.240.320.330.290.260.340.320.270.250.320.290.240.220.280.270.220.220.240.220.190.190.210.200.170.170.180.170.180.170.210.180.130.140.160.230.140.170.150.140.12
0.300.290.270.240.340.310.270.240.310.270.270.270.350.330.320.320.390.340.280.260.340.330.270.240.330.330.290.260.350.310.280.260.350.300.260.230.320.290.230.230.250.230.190.200.230.220.210.200.260.240.210.210.270.240.180.190.230.330.200.260.290.240.17
------------------------------------------------92.7989.1574.5173.1188.5771.3753.6555.1259.2843.1331.072.973.517.4714.28
------------------------------------------------0.971.011.211.231.021.261.681.631.522.092.9030.3425.6412.056.30
5.035.434.874.056.596.124.504.718.339.008.437.168.847.907.036.236.865.594.514.124.894.833.723.085.125.174.192.344.043.893.172.964.183.843.122.604.053.932.732.713.252.283.012.933.433.742.971.842.7922.561.501.041.361.111.07-0.79-0.341.920.447.42-9.78-5.76-4.10
5.075.474.904.086.646.174.534.758.409.088.517.238.948.007.126.316.955.674.584.184.974.913.783.145.185.244.252.374.093.933.213.004.233.893.172.644.114.002.782.763.312.323.042.963.473.773.001.862.8222.671.511.051.371.111.07-0.79-0.341.930.447.46-9.85-5.79-4.13
3.603.893.442.864.684.183.053.205.435.755.404.585.605.124.434.024.393.522.832.653.233.112.361.973.323.342.651.462.572.411.921.772.452.201.731.412.142.041.381.381.631.161.401.381.571.761.350.901.3811.830.740.520.670.520.49-0.36-0.150.810.182.87-3.48-2.12-1.68
4.094.433.923.315.404.803.513.696.386.806.365.396.526.025.264.685.074.053.223.033.683.572.692.273.793.823.021.672.952.792.192.032.822.551.971.612.462.341.581.591.891.341.601.611.842.091.581.071.6514.100.910.630.820.640.60-0.44-0.181.040.223.49-4.23-2.49-1.97
79.7076.8373.5871.0569.1065.2961.9359.8757.5253.0748.6445.2042.7439.4436.8335.1233.3031.1529.5328.6827.9426.5425.5524.9124.3423.2622.1821.4420.6619.8719.2318.7018.2217.5016.8616.3915.9915.3514.7914.4114.0413.6413.3812.9812.5812.1111.6211.2511.2010.948.498.378.308.218.178.118.238.298.158.157.567.888.35
6.600.69-1.41-0.4612.546.614.272.391.58-1.59-2.34-0.481.46-0.09-0.42-0.683.841.60-1.07-0.302.360.21-1.22-0.981.420.80-0.26-0.201.16-0.49-0.36-0.071.660.240.070.001.890.51-0.46-0.35-1.80-1.56-0.73-0.02-3.37-3.11-2.30-1.80-0.81-0.48-0.25-0.010.06-0.24-0.070.162.231.841.340.623.603.483.09
6.160.33-1.59-0.5712.266.294.042.251.17-1.90-2.55-0.570.83-0.60-0.89-0.873.421.36-1.15-0.352.150.17-1.26-1.041.831.190.20-0.250.75-0.76-0.51-0.131.430.06-0.04-0.061.890.39-0.52-0.38-2.08-1.70-0.82-0.07-3.53-3.22-2.37-1.84-0.91-0.55-0.27-0.010.01-0.28-0.090.142.171.791.320.613.583.463.07