Danaher Financial Ratios for Analysis 2009-2024 | DHR

Fifteen years of historical annual and quarterly financial ratios and margins for Danaher (DHR).

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
1.681.891.431.865.191.471.430.971.271.752.011.801.501.831.89
0.240.280.330.350.420.260.280.300.340.130.130.220.230.170.20
0.340.390.490.530.720.350.400.530.540.150.160.280.310.210.25
58.7460.7661.4455.9855.7455.7555.2355.2953.8453.2351.1051.5650.8251.0348.21
21.7728.2925.7118.9918.2517.9216.5816.2014.9815.8917.0717.3316.2716.3313.69
21.7728.2925.7118.9918.2517.9216.5816.2014.9815.8917.0717.3316.2716.3313.69
30.8736.2934.2629.0024.8924.8323.7722.8821.0821.4721.7221.9320.2119.4316.84
21.1126.8226.2520.1718.4517.3716.3915.4714.1316.2118.6916.4915.2117.7712.61
19.8526.6625.2815.7516.4115.5516.0615.1323.2620.1914.7413.1013.5014.2910.95
0.280.320.300.290.290.360.330.370.300.350.530.550.540.560.54
3.803.783.464.284.874.623.774.424.243.385.014.884.445.275.48
6.096.505.365.515.615.634.415.304.843.735.305.595.285.985.49
59.9256.2068.1566.2565.0364.8682.8368.8875.4997.7568.9165.3169.1861.0266.53
7.8913.0713.009.998.488.528.249.337.356.9911.5412.0511.4012.489.35
-47.62-90.31-28.90-21.54-111.51-51.89-20.81-17.13-22.402291,565-84.47-57.902,410-128.91
5.007.506.554.793.925.034.664.753.624.437.476.986.467.735.55
6.019.158.095.984.706.355.926.584.886.1010.019.438.7310.387.49
72.3668.7863.1855.9543.5440.2437.8533.3434.6033.3032.1627.7624.6820.9818.02
9.6411.5611.348.645.455.664.935.035.375.255.044.793.753.052.68
7.8010.059.687.544.594.854.164.204.734.604.294.153.272.772.43

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
1.431.851.682.262.081.891.891.781.751.681.431.482.262.051.862.082.201.325.193.432.322.181.471.531.501.591.431.431.491.050.971.361.401.461.271.041.911.771.752.232.162.182.011.881.992.011.801.761.641.671.501.531.531.841.831.771.691.591.891.941.911.82
0.250.240.240.270.260.260.280.280.300.320.330.350.320.330.350.360.380.420.420.330.240.230.260.280.290.280.280.300.320.290.300.240.320.330.340.330.110.120.130.110.110.130.130.140.170.180.220.200.210.210.230.260.280.150.170.180.190.190.200.210.210.22
0.340.340.340.420.380.390.390.410.430.470.490.540.480.500.530.570.620.840.720.530.320.300.350.380.420.390.400.430.470.500.530.360.580.500.540.650.130.140.150.130.130.150.160.160.200.230.280.250.270.280.310.360.400.190.210.220.230.240.250.260.270.29
59.6960.1659.2358.2056.1261.5661.5159.8260.9161.2063.7760.3060.9262.0258.4954.8353.8456.2555.5455.7755.8855.8053.7355.4456.5656.3053.5456.0255.0455.5054.5355.3256.1455.2360.4453.9153.3052.5751.7652.1052.7952.6151.4951.9352.6852.3351.1651.5951.7351.7949.3449.1052.7453.1253.1752.1249.9048.8349.8448.0247.2147.90
20.3422.6421.0220.9219.6725.5032.3126.3028.4528.2530.4818.1127.7829.1223.6818.4915.9316.0719.7517.7318.2617.0524.3617.1217.4215.8222.8316.7715.0014.6715.5516.9216.7415.62-0.5813.6718.8416.0816.3818.4017.9216.9216.8617.4017.8116.4417.3517.1217.8217.0316.5214.4716.7817.7617.2417.8816.0914.0111.8016.8912.8612.95
20.3422.6421.0220.9219.6725.5032.3126.3028.4528.2530.4818.1127.7829.1223.6818.4915.9316.0719.7517.7318.2617.0524.3617.1217.4215.8222.8316.7715.0014.6715.5516.9216.7415.62-0.5813.6718.8416.0816.3818.4017.9216.9216.8617.4017.8116.4417.3517.1217.8217.0316.5214.4716.7817.7617.2417.8816.0914.0111.8016.8912.8612.95
--------------------------------------------------------------
18.8621.9319.0520.3319.3225.6029.5725.2026.6927.3028.5419.1928.3030.3722.8117.3523.0516.3720.0317.9718.5217.0624.3116.5116.7715.1925.6516.1214.3013.9115.1911.5415.4319.97-3.9712.9218.3015.5117.8018.6617.7116.3320.1116.6817.0120.7516.5516.2417.0016.1315.7312.7815.9716.9016.4626.3415.2313.0710.6015.7911.7312.06
15.7918.7720.9316.4318.7124.0262.4120.2421.3921.9049.9615.4524.1624.2217.7514.3116.8413.2625.7914.8115.947.7629.6413.6813.5312.0737.6612.6312.3612.0316.299.4815.4819.3354.3739.9614.0312.1412.2114.4613.6312.4314.9912.7913.0215.5712.6712.4313.1814.2012.1011.7717.8413.0414.6620.9011.589.9810.8312.7711.069.05
0.070.070.060.080.070.070.040.090.090.090.040.090.090.090.090.080.070.060.080.070.080.080.050.100.100.100.050.100.100.090.100.100.080.080.030.070.130.130.150.130.140.130.150.140.140.140.150.140.150.140.160.150.120.140.150.140.160.150.130.140.150.15
0.870.870.810.950.820.680.490.950.930.970.461.051.111.071.221.100.940.741.330.960.950.920.711.071.091.050.571.051.131.061.221.080.830.790.320.691.211.171.471.201.241.181.431.141.171.141.341.141.181.101.341.150.831.201.301.191.301.301.251.331.321.21
1.741.721.311.641.411.380.861.741.711.740.761.721.761.741.671.681.571.271.531.261.281.240.831.461.511.440.651.391.401.391.441.341.061.010.420.901.391.361.571.351.371.341.531.381.441.431.521.481.471.441.551.481.171.491.541.521.591.521.291.501.531.54
51.6852.4768.4655.0163.9265.2510451.7852.5651.5911952.2151.1651.8253.8553.4757.4071.1558.9971.2770.5072.7010861.6359.5762.6913964.6964.1564.9562.5567.1284.7688.7921210064.6966.0857.2566.8865.8566.9358.9865.0162.3463.1459.1060.8461.1662.4858.2060.8876.7260.4258.4259.1556.6759.2970.0060.0858.9158.47
1.822.041.742.151.782.492.793.473.744.002.122.884.304.583.402.542.812.022.762.002.211.111.782.402.482.082.122.252.272.033.241.731.662.380.391.642.962.392.822.862.842.523.522.793.033.503.302.903.272.913.323.112.662.833.124.813.002.471.743.132.792.38
-8.68-14.93-10.51-20.43-12.83-14.86-19.28-14.01-12.37-10.49-4.71-5.47-12.74-11.47-7.33-5.15-5.33-2.81-36.34-17.16-12.80-5.56-10.82-6.53-6.19-5.77-5.36-5.16-4.77-4.02-5.94-4.67-3.69-4.81-1.20-2.79513-82.1692.2742.1266.2286.79477-59.81-45.15-39.34-23.16-24.85-21.93-20.44-16.86-13.19-10.00167602-168.64-33.67-20.14-23.99-35.97-22.91-14.90
1.151.301.101.291.081.461.601.942.052.071.071.402.182.261.631.211.300.861.281.031.270.641.051.391.401.201.201.251.221.071.650.970.811.210.190.761.931.551.791.921.901.652.281.771.862.131.911.741.931.711.881.681.391.811.932.951.801.471.031.831.611.35
1.371.561.331.571.311.781.952.402.522.531.321.732.692.802.041.481.581.111.531.271.600.811.321.741.761.511.521.581.551.442.281.311.131.590.261.092.632.112.462.542.522.193.052.412.522.862.592.322.592.292.542.301.902.402.593.962.441.991.392.492.201.85
68.9372.1772.3670.9470.0770.6168.7864.5664.0764.7563.1860.8359.9156.7055.9553.4651.1544.5743.5446.2244.9144.1040.2439.5138.9138.9437.8536.4935.4034.2833.3433.6436.3835.6934.6033.8435.3733.0633.3033.8833.9532.9232.1630.6529.2828.5127.7627.3626.4125.8324.6824.1324.1522.1720.9820.1418.4818.2618.0217.4516.5815.69
4.252.329.647.435.202.6411.568.115.392.6711.348.295.422.558.645.503.151.165.453.892.580.985.663.922.631.174.933.752.230.795.034.102.941.115.373.682.250.735.243.522.100.725.023.522.160.904.793.662.310.903.752.531.580.633.052.211.370.582.681.941.200.47
3.471.937.806.134.402.2810.057.004.662.339.687.104.682.227.544.852.750.974.593.292.190.784.853.302.220.974.163.161.830.574.203.502.560.934.733.181.900.574.592.951.710.534.272.971.810.734.153.201.990.743.272.241.440.572.772.011.240.522.431.771.080.42