DINE BRANDS GLOBAL, INC Financial Ratios for Analysis 2009-2024 | DIN

Fifteen years of historical annual and quarterly financial ratios and margins for DINE BRANDS GLOBAL, INC (DIN).

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
0.781.021.401.680.971.211.261.281.251.221.171.101.071.321.31
1.281.301.221.291.211.171.190.850.840.840.810.820.920.960.89
-4.99-4.68-5.69-4.56-5.86-7.12-6.495.585.325.134.384.5211.1424.398.27
47.7341.5041.8736.0842.0645.2146.2948.7858.5857.2757.7246.1237.9132.2331.49
22.5819.3821.5013.5021.9822.58-50.3828.6034.2933.1533.3925.4722.2819.2819.47
22.5819.3821.5013.5021.9822.58-50.3828.6034.2933.1533.3925.4722.2819.2819.47
26.8723.5625.9519.7126.6426.70-46.1932.4839.1238.4638.9130.1226.9523.8924.09
13.4412.6213.60-15.7515.2114.16-58.5320.0424.767.8817.2722.939.77-0.912.59
11.418.6810.66-15.1511.089.94-45.9212.6415.205.4911.0614.416.58-2.250.65
0.480.480.450.330.440.440.420.350.290.270.270.350.410.470.46
-------------84.0279.22
6.507.587.475.656.655.685.225.574.894.274.446.619.3013.5013.51
56.1948.1648.8664.5554.8964.2769.9365.5374.6085.5482.1455.2339.2727.0327.01
-38.72-26.94-40.3129.32-43.16-39.7315939.9639.2613.0622.8641.3467.92-6.71104
-8.91-7.04-9.479.00-8.99-7.0930.13-8.36-8.72-3.04-6.12-10.69-5.510.19-2.43
5.584.314.89-5.015.094.53-19.754.434.501.523.005.292.88-0.101.01
10.868.118.67-8.398.986.71-29.676.126.272.154.297.574.03-0.131.33
-16.36-19.30-14.15-21.56-14.63-11.46-11.9814.0714.4214.7216.5516.098.594.6014.63
8.605.6211.595.959.007.893.716.527.226.256.682.806.6910.409.33
6.174.4710.655.318.027.123.016.217.445.986.3110.8511.6012.319.35

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
0.810.770.780.690.670.861.021.241.311.421.401.431.341.151.681.631.621.720.970.951.031.061.211.361.261.311.261.391.371.341.281.361.291.291.251.541.481.471.221.221.221.221.171.201.181.191.101.141.180.941.071.211.200.951.321.681.381.281.311.591.451.33
1.251.271.281.311.331.301.301.291.291.241.221.231.261.301.291.291.301.171.211.161.181.161.171.191.201.191.191.190.850.850.850.840.850.840.840.840.840.830.840.810.810.810.810.820.810.810.820.840.880.890.920.940.940.940.960.870.870.880.890.880.880.89
-5.41-5.12-4.99-4.57-4.45-4.65-4.68-4.81-4.49-5.21-5.69-5.40-4.91-4.39-4.56-4.57-4.42-6.90-5.86-7.12-6.62-7.41-7.12-6.58-6.30-6.42-6.49-6.475.585.745.585.495.525.455.325.255.165.045.134.304.424.324.384.484.454.344.525.217.588.4011.1414.9314.6215.1624.396.586.957.428.277.287.638.48
48.1347.2447.7148.0346.7148.4745.4840.4540.2440.2542.0141.3642.3241.7734.3737.8127.4640.8142.0541.2741.5943.2545.9347.7242.6044.3839.2446.9349.3049.2531.0858.7760.7660.8061.4359.5256.4357.0455.9256.2658.8558.0657.7657.6957.5757.8755.9444.5542.8344.2139.6538.0237.3736.9033.2432.0631.5832.1631.1531.3631.2132.18
24.0920.6121.9022.6922.4523.2816.0719.4420.5921.0719.5221.0924.3720.9012.9015.43-3.1921.2618.7922.0223.0523.9623.5925.4320.2320.7715.20-280.2028.1721.6718.2534.0936.4235.1833.6732.3934.8236.1527.9933.6035.2535.7731.3833.8833.0935.1330.3020.6025.2626.8221.5922.2121.9023.2317.7719.3419.7820.0218.8019.6920.6318.82
24.0920.6121.9022.6922.4523.2816.0719.4420.5921.0719.5221.0924.3720.9012.9015.43-3.1921.2618.7922.0223.0523.9623.5925.4320.2320.7715.20-280.2028.1721.6718.2534.0936.4235.1833.6732.3934.8236.1527.9933.6035.2535.7731.3833.8833.0935.1330.3020.6025.2626.8221.5922.2121.9023.2317.7719.3419.7820.0218.8019.6920.6318.82
--------------------------------------------------------------
15.1411.6612.6812.3111.7316.929.3112.3213.6814.8212.4013.4516.5511.76-0.015.18-133.7814.0516.0614.6012.7417.3414.9616.1013.3312.076.27-289.4721.6813.5812.8424.0424.8025.1423.0324.3825.3626.22-26.1518.2719.3920.1614.7918.6817.0518.5020.0840.0311.9619.9715.189.540.6813.72-28.156.026.588.31-19.915.1610.4014.35
10.908.2215.658.918.5412.505.308.749.7910.538.369.8912.2912.27-0.465.49-122.8510.4311.6410.649.0612.8712.1711.746.668.7738.96-252.6411.538.007.8115.3416.5015.3914.6014.7415.4715.95-13.3911.4311.7512.2511.3111.4310.5210.9811.3527.146.9212.1711.335.87-0.119.35-19.342.322.193.58-13.502.365.378.16
0.120.120.120.120.130.120.110.120.130.120.110.120.120.110.090.090.050.090.110.110.110.110.120.120.110.110.100.110.090.090.140.070.070.070.070.070.070.070.070.070.070.070.070.070.070.070.070.090.090.100.090.100.100.110.110.110.110.120.110.100.110.11
------------------------------------------------10.8811.88-15.3315.9019.1418.6119.0319.4519.9020.0318.9420.3223.16
2.482.271.612.362.302.301.732.612.592.451.912.482.351.901.611.450.882.571.662.382.312.431.562.061.791.781.261.811.941.992.181.661.591.671.231.781.591.881.071.781.761.831.101.851.682.001.232.862.953.042.093.623.734.063.044.654.514.613.404.324.294.64
36.3039.5855.8138.0939.1239.2051.9234.5534.7836.7247.0236.2538.2647.3355.9662.2310234.9854.1437.8538.9837.1157.7843.7250.2650.6271.4049.7446.5145.1441.3554.1956.7753.8773.1450.4756.5647.8884.0350.4551.1349.2582.1548.7053.6245.0072.9631.4330.5529.5942.9824.8724.1022.1629.6419.3419.9619.5326.4720.8521.0019.41
-10.01-7.14-13.16-6.75-6.49-9.49-3.77-6.95-7.76-9.37-8.15-9.09-10.38-8.070.44-2.8136.57-9.45-11.33-9.97-9.94-16.58-13.34-11.05-5.69-7.87-32.432088.796.369.649.4610.479.819.498.819.589.86-8.045.956.176.545.756.045.425.686.0925.619.9220.8325.8520.750.4237.21-122.4117.8421.4338.18-145.4717.7138.3191.15
-2.17-1.61-3.03-1.66-1.62-2.41-0.99-1.95-2.19-2.36-1.91-2.21-2.72-2.290.14-0.8611.46-1.94-2.36-2.06-1.88-2.83-2.38-2.09-1.11-1.50-6.1439.47-1.83-1.29-2.02-2.01-2.22-2.12-2.11-2.03-2.25-2.391.87-1.62-1.63-1.78-1.54-1.58-1.43-1.55-1.58-4.95-1.31-2.37-2.10-1.18-0.02-2.113.51-1.17-1.13-1.553.41-1.01-1.83-2.68
1.371.031.901.111.101.560.601.061.271.320.991.201.551.38-0.080.48-6.601.021.341.201.051.521.521.430.771.034.03-27.441.010.711.071.101.201.131.091.051.141.20-0.940.810.830.880.750.800.720.770.782.500.671.241.090.620.011.11-1.780.480.470.65-1.420.420.771.13
2.531.943.692.122.122.891.142.012.252.251.752.072.692.43-0.130.80-10.891.622.361.641.792.622.252.051.121.486.05-38.511.350.951.481.471.621.541.511.421.571.65-1.321.131.151.241.081.111.001.071.123.490.921.721.540.850.021.52-2.420.620.610.85-1.870.541.001.49
-15.14-15.84-16.36-17.68-18.03-18.42-19.30-19.23-19.51-15.84-14.15-14.77-16.46-18.52-21.56-21.71-22.45-14.39-14.63-14.28-12.47-10.81-11.46-12.03-12.54-12.10-11.98-12.0413.9813.6414.0714.1814.0614.1414.4214.7014.8815.1314.7216.7416.3816.6116.5516.2916.3016.5916.0915.3711.8210.688.596.856.806.604.6017.1816.3715.5614.6317.2016.5015.11
3.492.048.605.212.791.055.624.121.86-0.4611.598.586.241.845.952.26-0.651.809.006.193.951.647.893.471.450.923.711.751.181.106.523.442.962.047.223.772.552.166.255.422.952.776.685.392.883.712.803.602.002.406.695.212.672.6910.405.552.861.689.336.083.453.32
3.041.826.173.111.300.004.473.111.29-0.6110.658.176.061.755.311.73-1.081.498.025.433.451.397.122.891.070.763.011.270.850.936.213.242.862.007.444.042.352.035.985.172.772.706.315.152.733.6310.8510.152.603.3211.607.374.995.4012.315.012.621.699.356.473.753.64