Diodes Financial Ratios for Analysis 2009-2024 | DIOD

Fifteen years of historical annual and quarterly financial ratios and margins for Diodes (DIOD).

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
3.022.692.522.012.842.892.683.954.184.534.144.333.892.151.89
0.010.090.170.220.050.160.220.330.350.150.200.060.010.010.22
0.030.120.230.440.100.230.310.520.550.180.250.070.020.240.95
39.6141.3537.1435.0737.2935.8633.8430.4529.2831.1328.7625.4930.4936.6927.90
15.0820.4015.2910.9316.0612.737.534.034.969.495.113.9311.3317.125.26
15.0820.4015.2910.9316.0612.737.534.034.969.495.113.9311.3317.125.26
23.4126.8422.1119.8324.8721.3916.6614.7414.4718.1714.7214.0622.0226.9118.18
16.7319.7917.469.7915.8712.355.942.664.789.664.674.8610.0216.012.57
13.6716.5612.677.9812.278.57-0.171.692.867.153.213.817.9912.521.73
0.700.870.820.620.760.800.710.620.530.760.710.690.800.720.43
2.573.263.262.603.313.613.223.392.963.373.273.083.153.223.49
4.475.425.043.844.805.325.274.343.894.734.304.174.804.744.22
81.6967.3772.4995.0476.0768.6769.2984.1593.9577.1584.8787.5876.0876.9586.54
12.7521.4318.149.7713.3710.780.032.253.158.103.243.618.2514.522.18
14.4224.9622.3313.2817.2814.910.053.585.169.603.984.419.6117.632.83
9.7414.8310.775.019.406.910.021.211.665.572.072.826.759.480.96
12.6319.6115.077.6112.669.060.021.502.046.902.603.408.2014.391.71
39.3934.8128.9422.9522.5119.4617.7917.0217.5117.0215.9315.6614.2812.3810.31
6.078.537.393.594.433.643.712.512.392.762.311.371.322.591.51
2.873.944.382.143.101.931.461.33-0.301.601.320.17-0.410.691.00

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
3.383.183.022.852.812.872.692.502.432.492.522.392.272.432.013.783.463.022.842.562.753.052.892.472.602.642.683.123.493.943.954.283.994.304.183.533.934.324.534.134.104.344.143.673.653.854.333.894.274.343.893.632.152.232.154.144.272.041.892.142.114.06
0.010.010.010.010.030.050.090.150.140.120.170.150.160.240.220.210.190.040.050.080.120.160.160.130.150.180.220.260.310.320.330.330.320.340.350.100.100.130.150.160.170.180.200.210.220.230.060.060.060.060.010.010.010.010.010.200.210.220.220.230.270.49
0.030.040.030.030.050.080.120.200.190.170.230.210.260.390.440.330.300.080.100.130.180.220.230.190.210.250.310.360.460.490.520.490.490.530.550.110.120.140.180.190.210.220.250.280.290.310.070.070.070.080.020.010.240.230.240.260.280.800.950.780.920.98
33.5832.9834.8538.5241.8241.6241.5541.7941.2340.8039.7138.4436.2833.5635.0235.9035.1634.1436.3137.7137.8837.1936.3235.9035.2835.9235.9033.7834.1131.2828.9832.1631.6228.8325.0029.5131.6431.0031.5931.9731.5029.3328.8230.9828.5926.1026.4926.1725.7723.3024.7728.1432.7535.5338.2537.3835.8534.9232.0630.7726.3418.57
1.164.296.4213.3119.1718.5019.4421.5721.2119.3017.9116.3914.8411.4711.3512.2310.699.2120.3415.0515.0713.9313.9514.2812.459.818.388.319.023.962.297.964.770.65-3.164.7710.028.209.8510.7010.376.833.799.034.782.132.194.515.213.803.488.3214.9317.5019.6818.2916.1013.7810.978.965.42-10.29
1.164.296.4213.3119.1718.5019.4421.5721.2119.3017.9116.3914.8411.4711.3512.2310.699.2120.3415.0515.0713.9313.9514.2812.459.818.388.319.023.962.297.964.770.65-3.164.7710.028.209.8510.7010.376.833.799.034.782.132.194.515.213.803.488.3214.9317.5019.6818.2916.1013.7810.978.965.42-10.29
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4.006.238.6414.9521.6118.9619.1020.9420.2018.8422.6618.1516.0612.1010.2910.759.038.8919.7915.0614.8713.9113.6213.8311.989.587.756.957.520.891.146.243.72-0.91-3.204.909.697.7410.3711.2510.536.192.987.794.902.434.055.675.374.282.836.8913.8015.5418.9916.8113.8013.898.765.902.68-13.15
2.504.657.8412.0417.5615.2318.5516.5716.0015.0813.6414.5112.579.558.498.777.297.1815.6711.7611.2710.499.399.638.246.75-11.425.074.990.520.554.252.43-0.78-2.231.366.875.407.458.317.794.862.946.074.03-1.092.505.134.183.372.176.2010.5912.1814.6312.9711.1610.9310.915.75-2.84-13.79
0.140.130.140.170.200.200.220.220.220.220.220.230.220.210.180.150.150.170.180.200.200.190.210.220.210.190.180.190.170.150.150.160.150.140.130.170.180.180.190.200.190.180.180.190.180.150.180.180.190.170.180.210.180.180.190.200.190.140.130.130.120.09
0.460.470.540.720.830.800.810.810.790.770.830.900.920.950.740.760.730.800.810.870.900.880.930.940.880.740.790.890.840.850.850.830.770.770.790.740.770.760.840.840.840.840.830.800.820.720.780.780.860.830.770.830.890.850.840.900.940.950.991.020.960.77
0.830.770.870.981.191.271.341.381.251.331.341.351.301.241.091.181.071.151.161.261.341.401.381.411.521.581.341.241.181.151.071.051.031.030.981.031.061.161.191.211.191.201.101.171.181.031.071.061.061.041.081.151.181.111.271.321.271.301.271.201.121.14
10811710492.1275.7471.0966.9765.1972.0867.5867.1966.5769.3072.3782.2176.1383.7578.1577.8071.5867.1064.0865.3763.9559.1857.0967.0972.7175.9678.0784.2385.9087.4487.4891.7387.2384.7477.5475.7574.5575.7475.2682.0176.8876.3687.6083.8284.8184.7786.9183.1578.1376.4380.8371.0168.1470.7869.1171.1474.9580.2778.61
0.550.841.392.834.844.325.906.085.845.455.095.825.133.842.962.191.791.734.133.543.493.123.073.282.782.04-3.421.651.590.180.251.370.76-0.18-0.560.421.851.432.122.542.291.380.461.841.24-0.320.521.261.150.840.591.733.053.434.524.323.683.413.341.82-0.60-2.80
0.620.941.573.225.534.986.877.186.986.616.277.316.665.124.022.792.312.245.334.694.694.244.244.613.992.98-5.122.462.430.280.392.171.22-0.29-0.930.492.171.682.523.042.771.690.572.281.54-0.400.641.511.340.980.682.043.634.115.485.354.614.334.322.40-0.83-3.78
0.430.651.062.133.583.154.083.773.623.433.023.472.942.041.521.351.101.262.902.372.271.971.972.131.791.26-2.010.960.880.100.130.740.41-0.09-0.300.301.321.001.461.691.510.920.301.160.77-0.200.410.970.900.660.481.382.032.302.952.682.271.601.470.86-0.27-1.24
0.540.831.372.804.694.105.405.195.024.784.234.934.292.932.301.731.451.663.913.273.082.632.582.862.371.67-2.661.231.110.120.160.920.52-0.12-0.370.381.661.251.812.141.891.130.371.450.96-0.250.491.181.080.790.581.723.033.404.483.442.902.672.601.40-0.44-1.43
40.1239.5739.3938.2937.8336.4434.8132.1731.3030.0728.9427.0425.5523.7022.9524.0823.1722.9822.5121.1120.7120.1119.4618.9818.5118.3517.7918.2317.8017.4617.0217.2817.3317.5217.5117.6517.7217.1617.0216.6916.5916.1615.9316.1515.7115.4815.6615.4514.5514.4914.2813.5413.4913.1212.3811.5110.7610.4910.319.899.249.19
-0.36-0.676.075.244.162.168.536.293.431.587.395.723.571.513.592.401.651.024.433.432.141.363.642.431.741.073.712.111.310.922.511.500.850.532.391.991.080.792.762.201.650.962.311.621.290.681.371.020.650.291.321.381.020.342.591.971.030.531.511.000.590.16
-1.19-1.112.872.622.331.123.943.091.730.744.383.902.651.152.141.481.070.753.101.961.161.001.931.010.700.441.460.490.430.541.330.560.260.25-0.300.070.120.311.601.471.190.711.320.980.790.330.170.150.170.04-0.41-0.100.070.070.690.570.180.211.000.710.370.06