Dollar Tree Financial Ratios for Analysis 2009-2024 | DLTR

Fifteen years of historical annual and quarterly financial ratios and margins for Dollar Tree (DLTR).

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
1.311.511.341.351.202.051.601.871.882.322.012.182.082.502.742.62
0.320.280.310.310.360.430.400.530.620.280.390.130.160.150.150.17
0.470.390.440.440.600.760.791.171.670.380.660.160.200.180.190.21
30.4931.5429.4030.5329.8230.4431.5730.8630.0535.2735.5835.8735.8735.4935.4934.28
-2.887.896.887.405.35-4.128.998.236.7712.0912.3812.4411.8010.719.807.88
-2.887.896.887.405.35-4.128.998.236.7712.0912.3812.4411.8010.719.807.88
3.3610.609.6010.119.4310.8011.8011.5710.3414.4914.8114.8114.2713.4212.8211.36
-3.237.456.206.824.65-5.747.666.422.8911.0912.1713.2411.7610.719.707.73
-3.265.705.055.263.50-6.977.714.331.826.977.618.387.366.756.134.94
1.391.231.211.231.211.691.361.320.972.462.832.692.852.472.282.28
4.163.564.265.174.704.494.805.003.765.384.884.884.904.734.964.52
----------------
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-13.6518.4617.2018.4213.22-28.1923.8716.636.4133.5750.9737.1436.3227.2322.4318.31
-23.5044.0450.4160.9770.593,752-130.05-27.94-6.5837.0159.5941.4541.6830.9024.7320.49
-4.537.026.116.484.22-11.7810.505.711.7817.1621.5322.5020.9716.6914.0011.27
-9.3013.2711.9212.778.46-16.0614.357.752.4324.2830.9532.1830.6223.2519.0915.27
33.5639.5634.2931.2226.4223.7030.2622.8218.768.685.627.425.825.915.444.60
12.237.216.2511.457.857.426.357.073.594.553.622.942.832.032.151.48
2.631.611.787.703.503.993.704.681.442.992.111.581.801.331.541.00

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.021.281.311.361.481.511.511.381.461.461.341.251.251.361.351.281.221.151.201.091.061.072.052.222.242.111.601.951.831.911.872.032.042.041.882.142.189.202.322.072.122.122.011.942.282.252.182.012.281.602.082.272.842.632.502.412.572.452.742.612.642.682.62
0.250.320.320.280.270.280.280.290.290.290.310.310.320.300.310.320.320.330.360.370.370.380.430.390.400.410.400.480.490.520.530.580.600.610.620.670.670.810.280.320.340.360.390.510.120.130.130.140.14-0.160.150.140.140.150.150.150.160.150.160.160.160.17
0.500.470.470.410.380.380.390.460.410.410.440.450.460.440.440.510.590.660.600.700.730.740.760.640.660.690.790.940.981.121.171.401.501.571.672.012.064.180.380.480.510.570.661.060.150.160.160.170.170.180.200.180.170.180.180.190.190.210.190.200.200.210.21
30.0930.8432.1629.7829.2130.5130.9629.9031.4333.9430.2327.5229.3930.3631.8131.1530.5228.5531.0429.6628.7229.7330.8130.1930.1130.6033.0331.3430.8230.7732.0730.4030.2730.5730.8028.3128.4034.4137.0834.6234.1734.8236.9235.0134.9735.1637.8834.8535.1834.9737.7535.1135.1734.9837.5535.4735.0933.2837.1135.3334.4934.5935.57
2.755.51-21.894.123.935.738.015.497.4710.608.174.846.348.0210.077.545.975.823.956.244.686.64-34.617.006.927.8812.048.007.947.3510.416.857.158.238.764.524.1010.7015.5010.4910.0911.5915.5810.8410.8511.6116.1910.7110.8210.9115.5210.339.9510.4614.999.889.287.5914.018.627.298.1311.91
2.755.51-21.894.123.935.738.015.497.4710.608.174.846.348.0210.077.545.975.823.956.244.686.64-34.617.006.927.8812.048.007.947.3510.416.857.158.238.764.524.1010.7015.5010.4910.0911.5915.5810.8410.8511.6116.1910.7110.8210.9115.5210.339.9510.4614.999.889.287.5914.018.627.298.1311.91
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2.365.19-22.193.713.605.387.645.027.0110.107.054.315.827.519.576.925.415.173.325.513.985.92-35.366.146.113.7310.876.686.515.948.834.605.406.526.572.52-4.725.2013.119.999.6811.1915.1710.5510.8311.5616.1614.1910.7510.9415.5010.289.8710.4514.9610.149.077.5513.928.497.198.0611.85
1.793.93-19.792.902.744.085.863.855.327.776.413.384.455.787.435.344.173.941.954.453.144.61-37.185.094.962.8916.354.514.433.795.713.433.414.584.271.66-3.253.198.346.355.986.919.546.656.727.1610.189.036.996.749.666.556.156.539.426.535.664.708.665.464.655.037.59
0.330.350.390.300.310.320.340.300.300.310.330.300.310.310.330.300.300.310.320.290.290.300.460.330.340.350.390.340.340.330.360.310.310.320.340.300.180.200.710.620.650.680.810.650.640.660.820.650.680.700.840.660.620.650.720.600.610.630.680.570.570.580.68
1.011.051.150.930.971.000.980.860.860.951.131.081.221.251.351.121.331.401.241.041.181.231.211.041.171.191.341.071.251.271.341.061.171.211.291.110.761.311.501.051.231.251.360.991.181.201.440.991.241.281.401.031.231.301.340.981.191.281.440.951.081.141.32
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1.794.10-23.382.362.223.365.173.234.296.515.882.994.035.056.904.743.843.801.974.183.074.65-40.883.553.582.1814.48---5.97---5.20---11.56---18.20---13.71---13.97---11.14---9.45-4.34-8.39
3.077.06-40.245.415.087.8312.338.3610.8716.9917.2410.0414.6616.1022.8517.5715.1117.2010.5035.2938.4174.425,441-56.92-33.78-14.29-78.90-9.95-8.69-6.77-10.03-4.80-4.49-5.81-5.34-1.792.104.0812.759.409.5312.0421.2815.937.548.5215.3011.388.838.8916.048.216.727.7012.647.296.255.4810.425.724.835.269.39
0.591.36-7.760.880.861.291.961.171.592.402.091.011.381.782.431.601.271.210.631.300.921.38-17.091.691.701.016.371.531.511.252.051.061.041.451.440.49-0.590.645.913.953.884.687.694.354.294.758.315.894.774.748.074.303.834.246.833.953.462.975.903.132.672.915.17
1.352.79-15.921.711.612.433.712.283.054.604.082.072.763.524.783.242.612.541.262.651.922.89-23.282.172.161.298.712.062.041.712.781.431.421.961.970.66-0.800.728.365.685.556.6811.056.385.996.6911.888.696.727.8411.786.165.165.829.515.614.784.128.044.333.653.947.00
34.3333.8333.5641.3041.0740.3339.5637.4137.5036.5434.2932.2131.1831.9731.2229.6028.7127.4926.4225.8624.7724.2323.7033.3732.1530.9330.2625.8024.7523.7022.8221.3920.6119.8218.7617.6417.249.078.687.717.046.375.624.618.197.777.426.776.616.385.826.086.496.085.915.625.425.085.445.004.894.744.60
4.663.1912.236.524.193.397.213.292.312.386.254.513.212.3711.457.296.044.047.854.273.542.577.424.403.221.636.352.492.841.827.072.772.871.323.59-0.12-0.110.734.551.881.770.953.621.691.340.572.941.361.200.582.831.321.050.632.030.680.600.142.150.830.490.201.48
0.121.022.630.490.651.801.61-0.86-0.061.251.781.191.231.417.704.314.063.053.500.971.421.693.991.811.570.873.700.601.711.364.680.871.380.581.44-1.55-0.890.402.990.660.990.612.110.380.450.121.580.330.600.301.800.500.560.401.330.110.25-0.041.540.400.240.081.00