DICK'S Sporting Goods Financial Ratios for Analysis 2009-2024 | DKS

Fifteen years of historical annual and quarterly financial ratios and margins for DICK'S Sporting Goods (DKS).

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
2024202320222021202020192018201720162015201420132012201120102009
1.781.881.881.471.161.411.411.431.521.611.621.591.991.841.541.71
0.360.380.480.150.11-0.030.000.000.000.000.000.090.090.120.17
0.570.610.920.180.13-0.030.000.000.000.000.010.100.100.130.20
34.9234.6438.3331.8329.1928.9028.9729.8630.0230.6231.2931.4830.6029.7527.5828.67
9.8811.8316.557.744.295.275.565.687.368.138.648.978.296.355.110.74
9.8811.8316.557.744.295.275.565.687.368.138.648.978.296.355.110.74
12.9314.8219.4211.368.138.918.398.6310.0210.7611.1311.1210.538.617.417.09
10.1511.1916.227.434.665.125.845.797.308.168.798.398.296.115.060.33
8.068.4312.365.533.403.793.773.634.545.055.434.985.063.743.07-0.97
1.391.381.361.241.322.012.041.952.042.012.022.021.741.881.972.11
2.972.863.303.342.813.293.573.393.333.403.473.653.563.823.573.45
10915617516114819113310210972.0591.3011612311110165.10
3.342.352.092.272.461.912.743.573.355.074.003.152.973.303.635.61
39.9941.3272.3222.6617.1816.8016.6614.8918.4718.7919.9518.3116.1613.3512.50-4.46
45.2147.0285.9226.4621.3921.0020.8118.6222.3422.6224.2322.5719.1016.3816.21-6.17
11.2411.6016.816.844.497.647.697.089.2810.1510.9910.078.817.016.03-2.03
25.5225.6637.6919.2315.2116.8016.1614.8618.4118.7319.8718.2314.7912.1111.05-3.71
32.5530.7427.8027.5520.7320.2918.8417.4916.0115.5113.9912.9013.4611.489.447.95
17.789.2914.7616.764.547.226.946.855.575.003.213.483.263.203.401.43
10.945.6211.9414.342.105.212.533.092.402.120.941.741.661.902.21-0.26

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.771.711.781.651.811.961.881.811.821.881.881.521.721.561.471.401.352.041.161.381.281.311.411.611.531.651.411.611.511.491.431.571.581.611.521.611.521.531.611.651.551.591.621.631.611.521.591.691.731.601.991.871.871.821.841.581.581.551.541.511.451.521.71
0.340.360.360.380.360.360.380.410.460.470.480.150.130.140.150.160.170.520.110.300.200.17-0.170.050.130.030.220.090.050.000.120.080.080.000.170.000.030.000.150.000.000.000.070.000.000.000.010.010.010.090.080.080.090.090.110.110.110.120.070.030.120.17
0.510.550.570.620.560.550.610.690.850.890.920.170.140.160.180.190.211.090.130.420.250.20-0.210.060.150.030.280.100.050.000.140.090.090.000.200.000.030.000.170.000.000.000.080.010.010.010.010.010.100.100.090.090.100.100.120.120.130.130.070.030.140.20
36.7336.2934.4234.8934.4236.1932.4234.2236.0336.4737.5838.4539.9137.3033.6734.9134.5316.4528.1029.5929.9729.3527.8728.1930.2829.3429.1227.4729.5429.6928.9830.5430.3629.8630.0029.7330.3729.9632.0029.6129.7630.6432.2530.3431.3030.8732.6130.9531.1630.7931.8229.7230.6929.6731.5728.4629.3728.8529.1626.9627.5026.0929.17
13.5310.969.608.979.6711.468.6411.0014.7913.5714.1815.2820.2616.309.2910.2014.42-13.963.792.336.863.965.702.857.464.576.692.577.384.935.574.077.485.469.284.698.146.5111.605.246.617.7911.455.648.957.3211.696.269.377.4711.446.078.555.799.612.617.184.498.463.215.661.76-7.69
13.5310.969.608.979.6711.468.6411.0014.7913.5714.1815.2820.2616.309.2910.2014.42-13.963.792.336.863.965.702.857.464.576.692.577.384.935.574.077.485.469.284.698.146.5111.605.246.617.7911.455.648.957.3211.696.269.377.4711.446.078.555.799.612.617.184.498.463.215.661.76-7.69
---------------------------------------------------------------
13.8911.3410.208.8310.1111.558.9110.2813.7312.2913.7314.8420.0516.109.329.8314.42-15.583.833.936.694.155.472.707.424.396.772.987.955.025.764.217.495.529.164.558.096.6111.565.216.687.9111.495.799.027.7311.746.287.047.3511.295.639.315.579.452.406.844.228.423.195.661.60-8.19
10.439.127.656.617.5810.726.557.7210.239.6510.3211.5215.1312.397.037.3510.20-10.762.682.934.983.004.122.045.483.154.351.905.213.193.632.704.653.435.762.874.984.057.203.224.114.867.123.575.504.867.193.823.734.466.893.525.653.375.761.564.202.505.041.903.451.07-8.74
0.350.310.420.330.340.310.400.330.340.290.370.340.390.360.400.320.380.170.390.270.330.280.600.410.510.440.630.410.490.420.610.410.490.430.630.410.500.450.640.420.520.440.630.420.510.450.630.430.500.420.540.400.460.400.580.420.500.440.600.440.550.460.62
0.690.600.890.600.740.600.860.580.660.610.910.680.980.911.060.680.950.530.850.540.740.630.990.610.850.731.100.650.790.671.080.600.800.671.030.580.790.681.060.610.840.671.070.620.830.701.110.660.870.741.080.670.880.741.160.660.880.741.060.660.860.721.00
19.3118.6832.5820.3020.9819.0745.2632.4236.8634.6747.7230.4736.6241.7352.4929.1833.088.4844.2622.4032.9933.8056.5027.3232.2326.8141.2812.0122.0620.7532.0411.7713.4214.4733.5215.6316.3622.4822.8415.5315.5519.6228.6212.0717.5227.0535.8521.8723.3527.8237.9611.9522.8322.6534.5011.6523.3823.2330.4816.1033.5227.6819.03
4.664.822.764.434.294.721.992.782.442.601.892.952.462.161.713.082.7210.612.034.022.732.661.593.292.793.362.187.494.084.342.817.646.716.222.695.765.504.003.945.805.794.593.157.465.143.332.514.123.853.242.377.533.943.972.617.723.853.872.955.592.693.254.73
12.3810.2411.338.439.2411.399.339.6114.6511.8716.4712.5116.4913.929.398.3514.34-8.584.033.376.383.155.392.056.183.175.971.975.852.974.672.625.003.157.212.744.953.638.492.964.094.038.192.945.064.118.172.943.333.586.802.664.892.626.421.384.332.326.221.874.061.12-11.82
13.8111.5412.819.6610.4812.9110.6211.1617.2913.9919.5614.4018.5515.9810.969.9317.39-10.765.024.308.113.986.732.587.723.977.462.497.313.695.843.196.103.818.723.345.964.4210.223.644.924.879.953.576.165.0710.083.574.024.318.043.165.873.187.871.735.482.978.072.495.471.54-16.34
3.652.843.182.172.613.342.622.553.512.833.833.965.914.482.832.343.87-1.801.050.801.630.832.450.832.811.392.760.772.561.342.221.122.291.473.621.172.501.814.591.352.132.144.511.492.792.214.491.631.871.873.711.392.581.353.370.662.121.113.000.831.900.49-5.38
8.226.607.235.205.927.335.805.707.926.298.5810.6514.4111.967.967.0011.86-4.103.572.375.102.625.391.705.852.765.791.555.322.834.662.294.602.897.192.284.943.528.462.524.084.028.162.745.044.098.132.923.303.556.232.444.482.395.821.233.872.065.501.753.950.99-9.83
36.3833.3432.5529.6831.5731.3830.7429.5128.6628.1327.8030.7435.7130.6627.5525.0622.9419.8820.73---20.29---18.84---17.49---16.01---15.51---13.99---12.90---13.4612.9512.5511.9311.4810.4910.269.779.448.798.518.117.95
7.562.7817.789.077.99-0.549.290.371.01-0.5614.768.869.434.2216.769.509.87-2.574.54-2.46-0.30-2.357.221.643.17-0.196.941.192.250.336.851.732.060.075.570.991.720.305.000.861.250.113.21-0.460.04-0.603.480.660.54-0.143.260.291.00-0.123.20-0.140.55-0.113.400.811.230.271.43
3.070.8910.944.215.13-1.485.62-2.47-0.66-1.2311.946.827.903.5514.347.888.81-3.282.10-4.37-1.55-2.855.210.262.20-0.672.53-2.470.08-0.693.09-1.020.20-0.722.40-1.360.41-0.252.12-1.400.02-0.410.94-2.02-0.72-0.871.74-0.59-0.23-0.461.66-0.890.32-0.381.90-1.110.04-0.322.210.070.780.02-0.26