DHI Financial Ratios for Analysis 2009-2024 | DHX

Fifteen years of historical annual and quarterly financial ratios and margins for DHI (DHX).

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
0.450.380.390.510.450.480.550.650.780.710.740.801.000.881.39
0.260.220.160.130.060.110.240.450.420.380.410.190.050.170.25
0.350.280.200.150.060.120.310.820.720.620.710.240.070.230.34
86.9788.2487.4287.1588.4688.6585.5985.8584.9385.8389.0391.9792.7392.5893.18
4.143.71-1.46-29.148.647.2411.001.492.4517.7513.6830.1530.6724.9324.13
4.143.71-1.46-29.148.647.2411.001.492.4517.7513.6830.1530.6724.9324.13
15.3715.5012.943.0617.0713.4917.0515.7424.9328.2425.5836.6139.1937.5141.24
2.382.40-0.86-31.688.045.949.33-0.051.1716.3212.7929.0929.8621.4919.44
2.302.79-24.81-27.0010.704.447.68-2.38-4.2210.517.6119.5019.0414.6512.27
0.670.660.540.460.420.630.700.730.700.620.510.550.550.400.42
---------------
6.777.306.406.674.996.455.025.175.494.955.326.738.666.478.98
53.9449.9857.0454.7273.1856.6072.6470.5666.4673.6968.6654.2442.1556.4240.62
3.253.93-0.35-25.404.114.9412.05-5.20-7.9115.539.6819.9816.3010.609.08
-7.87-9.151.13133-19.58-15.07-19.054.618.76-19.34-11.03-50.74-144.37-29.22-31.70
1.551.84-0.18-13.442.382.785.40-1.74-2.976.513.8610.7510.455.935.14
2.403.07-0.29-22.023.894.419.18-2.86-4.619.665.7116.1015.488.786.82
2.292.242.392.492.992.722.632.092.633.283.073.233.222.752.38
0.480.770.620.390.440.300.710.931.231.020.830.850.920.690.35
0.020.390.310.050.170.100.440.691.050.860.650.750.810.620.30

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
0.420.450.520.450.420.400.480.380.360.380.430.390.390.470.550.510.800.780.800.450.340.380.450.480.440.500.530.550.600.570.610.650.690.700.730.780.750.720.720.710.630.540.570.740.770.690.760.800.900.910.991.000.980.950.860.880.951.011.141.391.291.081.16
0.220.240.280.260.280.300.310.220.220.220.230.160.130.110.130.130.230.200.200.060.050.060.100.110.100.120.210.240.370.380.420.450.470.450.440.420.360.360.370.380.390.400.410.410.240.120.150.190.180.070.050.050.050.060.080.170.240.160.190.250.260.260.32
0.290.320.380.350.390.430.450.280.280.280.300.200.150.120.150.150.290.240.240.060.050.060.110.120.120.130.260.310.580.610.710.820.890.810.780.720.580.590.600.620.660.700.720.710.320.130.180.240.220.080.070.070.080.080.110.230.350.190.230.340.350.360.48
85.6485.4986.4686.7386.7287.1487.2888.0188.1688.7288.0688.1487.6787.4986.1284.5386.9387.3288.6072.5588.5789.5289.7089.4388.6388.5888.0385.6885.4785.3785.8386.2285.8385.9985.3684.8085.0185.0184.9186.1286.0785.6885.4188.7488.4189.1689.8590.2792.5092.1193.2292.8092.8892.0093.2993.1492.1992.7192.1592.7692.7893.2993.81
1.785.595.479.395.99-0.081.487.063.162.441.830.47-7.201.70-0.69-1.60-104.906.00-14.33-44.5414.1810.089.686.073.772.5715.9023.624.847.648.2315.19-28.6814.714.53-37.3216.8215.9814.3618.1619.8719.5212.98-11.0721.8924.4222.7127.7130.6232.3630.1235.2832.0527.8026.8628.6425.5421.5922.6227.1022.1921.0226.04
1.785.595.479.395.99-0.081.487.063.162.441.830.47-7.201.70-0.69-1.60-104.906.00-14.33-44.5414.1810.089.686.073.772.5715.9023.624.847.648.2315.19-28.6814.714.53-37.3216.8215.9814.3618.1619.8719.5212.98-11.0721.8924.4222.7127.7130.6232.3630.1235.2832.0527.8026.8628.6425.5421.5922.6227.1022.1921.0226.04
---------------------------------------------------------------
-0.303.702.107.274.73-2.09-0.146.81-2.433.481.570.34-9.77-0.958.00-2.68-105.905.41-20.30-47.9413.689.499.394.292.891.3414.6122.282.606.106.6913.58-30.2913.263.01-38.6115.5614.7413.0517.0518.5117.7411.49-12.9121.1824.2321.9926.8929.9730.2829.4634.3731.4127.1025.8127.1919.5118.8918.8722.5517.4516.4821.13
-0.572.63-4.205.762.70-0.331.195.91-2.403.913.790.69-7.91-105.1910.0110.08-100.646.75-17.8862.6811.788.194.287.762.39-0.498.1323.082.023.482.579.97-30.038.421.91-43.4210.008.637.989.6214.0410.837.24-10.0313.4115.3314.0317.0922.9019.5118.6822.0919.8917.2516.4315.1617.9512.3312.3014.4511.2310.2813.05
0.160.160.160.170.170.170.170.180.170.160.150.150.140.130.110.080.110.100.130.020.140.140.130.150.150.160.150.170.170.170.170.180.180.170.160.180.160.160.150.160.160.160.140.140.140.150.140.150.140.150.140.150.140.130.120.120.110.120.110.100.100.100.11
---------------------------------------------------------------
1.771.581.131.662.011.911.551.942.042.021.551.801.992.091.101.191.411.361.460.242.271.911.441.521.821.721.501.231.491.581.341.251.421.341.271.381.561.601.351.281.561.651.361.452.062.361.921.822.202.812.462.292.792.681.821.902.302.272.432.183.302.912.93
50.9456.8479.3454.1844.7047.1458.2146.3944.0644.5558.2149.9745.1843.0181.7875.8063.6366.0561.5537739.6347.1962.6059.3649.4152.4259.9073.1360.5856.8067.3871.8863.4367.3570.8565.4357.5356.3766.9270.4257.6854.4266.2061.8743.6538.1446.8149.5440.9531.9836.6439.3132.2333.5349.5647.3639.1839.6137.0241.3027.2530.9130.70
-0.180.86-1.422.000.98-0.130.452.21-0.881.341.200.20-2.03-0.171.55-0.01-21.570.78-4.38-1.492.862.021.072.030.65-0.142.418.860.891.601.245.27-16.464.030.87-20.383.753.212.933.665.514.292.62-3.493.754.083.674.735.784.784.115.004.453.733.363.223.752.412.212.592.081.963.05
0.49-2.243.34-4.84-2.070.25-0.91-5.151.99-3.31-2.98-0.657.670.87-7.170.0790.54-3.3618.987.08-11.63-7.37-3.49-6.19-1.840.39-4.77-14.02-1.00-1.67-1.18-4.6813.79-3.67-0.8422.55-5.00-4.19-3.71-4.56-6.05-4.23-2.553.98-7.61-12.71-10.62-12.01-19.52-28.81-37.69-44.28-34.86-24.19-14.27-8.88-7.49-9.24-8.93-9.06-6.09-4.78-5.97
-0.090.42-0.650.950.46-0.060.201.04-0.420.640.570.10-1.11-0.100.82-0.01-10.660.41-2.28-0.861.691.150.581.140.37-0.081.193.980.350.600.431.77-5.371.410.31-7.661.591.371.231.542.231.701.02-1.391.902.352.022.543.292.972.583.202.732.312.041.801.961.441.321.471.171.071.49
-0.140.65-1.021.480.71-0.090.311.73-0.681.050.920.17-1.77-0.151.35-0.01-16.700.63-3.52-1.412.731.910.961.810.58-0.131.926.750.570.990.732.90-8.732.230.49-11.872.402.051.852.283.362.551.53-2.062.853.603.123.814.734.443.924.754.213.513.092.672.842.031.801.951.551.452.06
2.302.272.222.292.212.132.102.242.192.232.202.392.412.482.482.492.372.822.772.992.842.742.712.722.712.652.812.632.352.262.132.092.042.402.452.633.273.273.163.283.213.133.063.073.293.303.223.233.183.163.243.223.153.102.952.752.612.442.382.382.312.262.04
0.370.250.050.480.310.190.000.770.650.410.200.620.560.410.130.390.300.200.060.440.360.280.060.300.170.170.140.710.560.490.300.930.780.510.251.230.950.700.351.020.880.620.220.830.690.570.360.850.710.520.350.920.790.540.210.690.510.330.170.350.250.170.10
0.120.07-0.050.02-0.03-0.03-0.110.390.350.230.110.310.330.260.060.050.040.03-0.030.170.170.160.000.100.040.080.100.440.350.330.210.690.600.390.211.050.820.610.310.860.760.520.170.650.550.480.310.750.640.470.330.810.720.490.200.620.460.290.150.300.220.140.09