Dolby Laboratories Financial Ratios for Analysis 2009-2024 | DLB

Fifteen years of historical annual and quarterly financial ratios and margins for Dolby Laboratories (DLB).

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
2.863.524.725.585.794.505.254.123.573.925.314.746.197.276.405.75
---------------0.00
---------------0.01
88.9788.2688.7389.8587.3987.0487.9089.0389.3890.2392.6989.3790.1488.4385.7191.00
20.2816.6016.4826.8818.8320.7117.4022.8822.6021.9728.5126.9638.8044.7146.5350.54
20.2816.6016.4826.8818.8320.7117.4022.8822.6021.9728.5126.9638.8044.7146.5350.54
26.9123.8824.8635.7928.5327.5925.3430.9431.2730.0335.0333.9445.3451.0751.3155.31
24.5319.2417.1727.6720.6322.7418.6223.6223.0025.3228.7627.5539.5545.8547.3651.62
20.5615.4414.6824.2119.9120.553.9619.1218.1218.6921.4720.8128.3332.1830.7233.77
0.410.440.470.410.400.440.370.430.440.460.480.520.480.510.540.46
4.174.286.0011.865.734.984.874.736.666.848.229.585.514.244.654.99
4.044.965.155.516.446.576.3514.6513.559.5611.149.3321.4515.5517.0131.31
90.4073.6470.9166.2656.6655.5957.5024.9226.9338.1932.7639.1117.0223.4821.4611.66
10.638.508.1712.209.5011.051.789.669.4210.0912.0512.6915.2118.4318.9217.93
17.4011.2310.3714.8511.8814.222.2812.6012.8213.2715.0116.1418.8722.6624.3223.96
8.506.776.8410.237.949.051.488.178.078.5910.5210.9513.5216.4816.5215.45
10.638.508.1712.209.5011.051.789.669.4210.0912.0512.6915.2118.4318.9217.85
26.0724.7723.4825.7724.3123.1022.9620.9919.5117.9716.9314.7416.9115.4013.3411.97
3.363.763.124.283.343.133.293.663.522.983.492.693.633.592.842.37
3.053.452.653.922.702.212.612.692.531.462.762.442.093.202.532.25

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
4.143.503.683.523.474.664.654.725.275.775.985.585.745.675.455.795.834.754.774.504.815.264.835.255.165.424.644.124.584.093.913.574.113.963.753.924.284.264.645.315.335.485.724.744.694.444.286.197.678.648.217.278.016.936.406.405.905.965.255.754.984.90
--------------------------------------------------------0.000.000.000.000.000.01
--------------------------------------------------------0.000.000.000.010.010.01
87.6589.3689.8487.7686.0989.0889.7186.6487.5889.3890.7089.2388.9789.8790.9484.3487.9089.5387.2284.6286.8689.1987.2287.0183.9989.6589.6987.7689.4989.9188.7587.0391.1391.1287.6489.1089.2690.7591.7194.5391.5593.7290.7589.1688.2590.6689.1888.0490.0091.0291.2889.7287.2588.6287.9988.4482.6087.8383.8289.4788.4784.33
12.7429.8920.98-1.205.3429.0628.099.7415.7312.9625.7614.1619.5626.0342.2611.0913.8330.1116.6517.1411.3430.4322.715.22-3.5428.2331.379.0831.3823.6624.8112.4829.2530.0116.2715.5319.4028.9122.8625.6922.6437.6625.9126.3617.8433.7628.3331.6832.3946.0743.2544.9840.1448.1844.9942.6641.6654.2647.0939.8245.7951.69
12.7429.8920.98-1.205.3429.0628.099.7415.7312.9625.7614.1619.5626.0342.2611.0913.8330.1116.6517.1411.3430.4322.715.22-3.5428.2331.379.0831.3823.6624.8112.4829.2530.0116.2715.5319.4028.9122.8625.6922.6437.6625.9126.3617.8433.7628.3331.6832.3946.0743.2544.9840.1448.1844.9942.6641.6654.2647.0939.8245.7951.69
--------------------------------------------------------------
17.3733.4025.613.117.9631.2029.8511.1317.0612.9926.0115.1120.6226.7142.8212.7216.2031.4918.6618.8213.8332.5224.567.42-2.7029.2932.2310.3831.5124.7525.4113.2229.4630.5516.4027.5820.4529.3723.1926.7323.2036.9426.2527.1718.2834.0429.1932.3133.4346.6344.0746.7841.3048.9945.7643.2942.5955.0248.0941.0246.1453.02
13.3126.8421.233.165.5025.4623.709.9813.6710.9822.7615.5019.0523.8534.689.8927.2525.1516.7014.7013.1021.7132.4811.111.4521.76-17.8011.0024.8818.9120.0510.2722.9224.5712.8320.0015.3221.3217.6620.2417.8127.2319.2521.1414.5924.8321.7022.8124.5033.5431.2431.7128.2032.8235.5928.5427.5635.2931.2327.0329.8734.02
0.100.120.110.100.100.130.120.100.100.110.110.090.090.100.130.090.090.120.100.110.110.120.110.080.080.120.120.100.120.110.110.100.120.130.110.110.110.130.120.110.120.150.130.120.120.150.150.120.110.130.120.130.120.140.140.130.140.140.130.100.110.14
1.031.080.851.001.281.351.321.581.492.142.492.802.612.181.761.661.021.301.281.421.021.061.391.191.441.291.241.181.611.522.031.851.331.412.091.831.241.060.691.462.051.832.592.331.901.191.221.621.651.420.610.981.190.911.050.932.362.843.771.331.982.27
1.011.291.081.111.121.331.161.141.231.471.461.231.041.131.331.501.001.421.531.581.311.891.661.451.442.122.443.263.723.033.273.083.032.692.682.292.232.762.002.632.342.553.052.222.782.734.575.194.574.554.324.035.563.393.544.204.835.485.087.133.444.51
89.0769.6683.6381.2380.5067.8377.8278.8073.4261.1761.8073.4586.3279.8567.8659.8590.2163.2058.9056.9668.8647.5254.0662.1562.6842.4236.9327.5724.1729.6827.5129.2429.7133.4933.6139.2740.3732.6245.0534.1738.3935.2629.5640.4932.3932.9219.7017.3419.7019.7820.8322.3116.1826.5125.4521.4418.6216.4317.7012.6226.1819.95
1.624.032.860.420.694.073.471.231.611.403.031.702.082.945.551.112.763.742.081.901.713.134.191.130.153.03-2.591.243.592.482.681.223.293.641.712.581.953.252.392.682.414.632.923.072.104.423.832.992.944.944.214.703.755.035.524.244.325.854.853.284.045.84
2.095.233.770.550.925.084.371.572.011.733.682.072.533.606.831.383.474.752.662.442.214.005.371.440.193.97-3.431.624.713.313.601.664.535.092.423.402.544.243.163.332.995.773.673.912.715.775.093.703.565.985.125.794.666.297.015.445.567.556.344.385.467.84
1.333.232.300.330.553.382.891.031.361.192.581.421.742.464.610.922.323.011.681.561.412.583.480.940.122.51-2.111.053.082.122.301.042.823.131.472.201.672.772.072.342.094.042.562.651.833.833.322.652.634.453.784.213.394.524.933.703.745.084.152.833.414.90
1.624.032.860.420.694.073.471.231.611.403.031.702.082.945.551.112.763.742.081.901.713.134.191.130.153.03-2.591.243.592.482.681.223.293.641.712.581.953.252.392.682.414.632.923.072.104.423.832.992.944.944.214.703.755.035.524.244.315.844.833.274.025.81
25.6025.4424.7224.7724.8724.6023.8623.4824.9325.8325.9825.7725.9325.6125.3124.3124.2323.5423.1823.1023.0523.1522.9222.9621.1220.6919.9120.9920.8220.0719.6419.5119.2418.5317.9817.9717.9317.5617.0716.9316.5116.1315.1914.7414.2513.8513.2216.9116.6416.6316.0415.4014.9914.6714.0313.3413.0713.0012.5711.9711.2410.57
2.181.960.093.762.891.650.583.122.630.920.314.283.231.580.793.342.260.940.303.131.901.010.543.292.250.920.173.662.851.530.683.522.771.540.662.982.171.710.033.492.621.730.752.692.031.210.653.632.921.970.883.592.621.510.622.842.251.590.852.371.691.13
1.941.800.023.452.671.500.512.652.270.670.173.922.981.460.802.701.720.540.082.211.130.480.362.611.740.54-0.022.692.071.040.462.532.011.060.421.461.020.96-0.172.762.291.550.662.441.861.090.592.092.461.690.763.202.381.370.542.532.031.440.762.251.611.10