Dorel Industries Financial Ratios for Analysis 2009-2024 | DIIBF

Fifteen years of historical annual and quarterly financial ratios and margins for Dorel Industries (DIIBF).

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
1.441.821.831.221.611.061.911.701.931.881.282.532.242.251.71
0.490.470.480.200.440.010.280.250.300.290.010.200.200.210.17
1.080.960.940.870.940.840.460.430.500.480.320.260.270.310.32
17.5513.0616.7419.7020.3321.5623.7323.4521.6722.6122.9823.4321.9023.0323.62
-3.76-6.30-0.870.062.00-17.773.390.822.17-0.823.345.945.736.906.76
-3.76-6.30-0.870.062.00-17.773.390.822.17-0.823.345.945.736.906.76
1.25-1.773.925.775.644.225.344.995.356.165.658.098.039.119.07
-5.54-8.15-3.04-2.120.09-19.021.71-0.830.86-1.122.575.214.816.086.00
-4.498.66-1.80-2.53-0.40-16.961.06-0.450.96-0.792.374.364.425.535.01
1.391.480.951.001.421.511.161.201.161.061.001.131.131.101.07
3.153.244.022.583.313.243.323.633.593.273.383.804.173.494.09
6.827.946.633.716.476.265.895.965.835.465.205.416.096.446.53
53.5245.9555.0298.4456.4258.3361.9961.2162.6266.8670.1567.4559.9056.6655.92
-27.75-42.30-23.85-13.05-1.95-76.472.51-1.102.33-1.764.288.048.5110.199.67
-53.56-70.42-32.71-28.20-4.93-181.2912.98-6.0216.00-14.9427.5534.3141.9052.3477.96
-6.23-11.21-6.04-3.77-0.56-25.631.23-0.531.12-0.842.364.774.995.745.36
-14.17-22.38-12.39-10.41-1.10-75.931.80-0.821.64-1.254.246.476.858.028.02
6.908.6414.4315.2716.4717.9133.6732.5934.1037.3542.20----
2.36-3.980.604.142.643.401.765.312.423.164.483.354.982.356.12
1.88-4.58-0.263.562.022.460.654.741.402.073.202.514.141.285.47

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
1.451.481.441.521.561.681.821.901.791.911.831.951.861.301.221.211.451.801.611.501.021.021.061.781.851.931.911.781.911.891.701.761.942.091.931.872.021.941.882.052.172.081.282.122.582.522.532.572.162.252.242.372.292.202.252.142.041.721.711.182.012.12
0.630.530.490.490.480.480.470.430.390.350.480.470.420.200.200.200.390.540.440.430.000.000.010.290.290.300.280.270.280.290.250.270.310.310.300.310.330.320.290.210.230.230.010.210.200.210.200.220.200.200.200.190.210.220.210.220.220.170.170.020.260.29
1.871.251.081.051.010.980.960.800.670.550.940.920.790.810.870.790.901.370.940.940.940.920.840.470.490.480.460.440.460.470.430.480.520.520.500.540.590.590.480.350.380.360.320.330.270.290.260.290.280.290.270.270.290.330.310.310.300.320.320.380.430.49
19.0119.4420.2018.3517.4514.028.4110.4015.2716.8611.1716.9719.2019.5117.8520.8719.9918.3420.2919.7620.5120.7920.9320.7121.5623.1323.8523.4723.8923.7322.9623.9923.6323.2322.2920.1022.4421.8720.3922.5123.7823.9222.2222.1723.3924.2123.5222.7523.5323.9122.6419.6022.2823.0023.8921.4423.1625.0524.2924.8321.9823.63
-14.17-2.18-2.11-1.03-3.77-8.42-11.97-9.01-2.12-3.61-6.010.841.82-0.2156.794.835.27-6.702.481.593.050.82-70.943.22-2.412.000.903.833.745.25-0.834.41-5.304.782.36-1.404.213.57-17.444.544.656.082.212.593.734.916.344.616.476.306.543.316.096.91-1.275.937.988.286.377.306.226.53
-14.17-2.18-2.11-1.03-3.77-8.42-11.97-9.01-2.12-3.61-6.010.841.82-0.2156.794.835.27-6.702.481.593.050.82-70.943.22-2.412.000.903.833.745.25-0.834.41-5.304.782.36-1.404.213.57-17.444.544.656.082.212.593.734.916.344.616.476.306.543.316.096.91-1.275.937.988.286.377.306.226.53
--------------------------------------------------------------
-16.91-4.77-3.81-2.83-5.53-10.29-13.96-10.37-3.18-6.56-7.87-2.810.20-1.8061.342.943.59-9.340.26-0.271.15-0.83-72.201.99-3.700.79-0.322.632.572.13-2.642.91-6.933.130.15-1.622.642.31-14.693.592.904.601.731.682.794.165.623.975.735.505.582.505.175.943.905.027.228.175.696.555.416.44
-17.09-5.00-1.07-2.88-4.84-9.46-12.04-9.82-4.8754.78-4.51-8.454.970.6217.232.071.54-9.96-0.10-0.630.42-1.32-64.941.43-2.370.74-0.912.071.871.37-0.862.36-6.062.590.99-1.292.421.75-11.522.892.323.831.741.832.203.764.683.264.794.704.874.013.715.134.685.295.786.294.445.834.495.38
0.380.370.350.370.340.340.320.330.350.380.240.240.250.26-0.020.260.440.320.350.360.340.330.390.310.290.280.300.280.280.290.300.290.280.280.290.280.260.260.280.270.260.250.260.250.270.260.280.280.290.280.270.280.280.270.240.270.300.290.270.260.270.26
0.880.850.770.830.770.770.740.730.750.881.061.020.610.66-0.050.741.280.830.820.770.750.760.850.890.820.830.870.760.790.870.910.870.840.880.890.800.760.810.880.890.840.860.890.880.910.870.950.900.971.080.981.040.950.950.820.851.051.201.030.941.020.96
1.541.711.721.761.691.871.721.651.491.551.641.530.890.93-0.080.921.621.481.601.691.561.381.631.551.541.441.551.491.451.361.491.421.331.321.451.491.411.291.431.441.341.251.351.251.331.231.351.401.401.291.451.501.441.301.411.601.531.381.661.501.471.38
58.5052.5652.2651.2253.2048.2552.2854.3960.3858.1354.8158.7110196.88-1,197.9197.9655.4060.7356.0953.2357.6265.3355.1258.1858.4462.6158.1960.2162.1165.9960.5763.5967.4668.1261.9360.5764.0369.9262.9762.6167.1272.0266.5072.1367.4973.2366.5464.2064.1569.9562.1859.8362.5869.2563.6856.1058.9365.3854.1259.8761.1965.22
-42.10-8.55-1.67-4.59-7.03-12.54-14.71-11.28-3.76-7.19-6.31-13.82-0.26-2.54-5.511.842.41-12.78-0.12-0.830.51-1.51-76.390.93-1.420.43-0.561.211.060.83-0.531.46-3.581.480.60-0.791.391.01-6.691.461.101.810.820.831.011.702.231.572.422.302.231.881.842.552.012.593.183.352.182.752.342.78
-74.14-17.89-3.23-8.72-13.04-22.39-24.49-17.61-5.64-10.71-8.65-18.14-0.48-5.12-11.913.985.84-32.40-0.30-2.151.22-3.58-181.104.84-7.252.28-2.906.475.794.53-2.898.63-21.639.594.12-6.2911.858.77-56.7010.238.1814.855.275.504.086.919.517.0810.9410.6910.968.198.3512.3210.3314.5419.0022.6917.6021.6821.3731.28
-6.52-1.83-0.38-1.05-1.65-3.17-3.90-3.28-1.10-2.43-1.60-3.69-0.08-0.77-1.590.550.68-3.17-0.03-0.230.14-0.43-25.610.44-0.680.21-0.280.580.520.40-0.260.69-1.680.710.29-0.360.640.46-3.190.790.600.960.450.450.600.991.320.901.371.331.311.111.051.401.131.411.711.831.211.491.221.41
-15.63-4.02-0.85-2.34-3.64-6.54-7.78-6.44-2.30-4.68-3.28-7.26-0.15-2.03-4.401.471.47-5.90-0.07-0.470.51-1.50-75.850.66-1.000.30-0.400.880.760.59-0.391.07-2.491.020.42-0.540.930.69-4.761.140.851.390.810.660.811.351.791.221.931.841.791.521.451.981.582.012.472.781.812.681.731.96
4.346.316.906.937.317.728.6410.0111.1211.6514.4315.1416.5415.5715.2715.5014.2413.9316.4716.1716.8916.9417.9131.8132.1033.8233.6734.0133.3532.8332.5933.6133.3635.0634.1034.46--37.35---42.20-------------------
0.100.002.361.911.521.14-3.98-5.12-4.56-3.020.60-0.500.28-0.254.144.483.58-0.062.641.640.14-0.363.402.351.410.031.761.280.32-0.545.313.111.49-0.182.420.24-2.14-2.663.152.340.510.134.473.341.38-0.603.351.691.64-0.095.063.251.25-0.632.362.172.430.866.144.442.25-0.06
0.08-0.121.881.611.290.99-4.5818.6719.4119.58-0.26-1.04-0.04-0.333.564.153.41-0.162.021.21-0.17-0.542.461.650.94-0.300.650.53-0.11-0.734.742.731.19-0.341.40-0.50-2.64-2.862.071.56-0.03-0.183.192.430.84-0.812.511.051.18-0.294.212.540.79-0.831.291.481.950.695.484.062.04-0.10