Dorman Products Financial Ratios for Analysis 2009-2024 | DORM

Fifteen years of historical annual and quarterly financial ratios and margins for Dorman Products (DORM).

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
2.251.871.622.863.423.104.815.314.864.744.675.286.965.556.69
0.290.32------------0.00
0.490.700.26-----------0.00
35.5232.5634.4135.0634.2838.3439.7139.3338.3638.2239.2737.7336.8638.5534.92
11.139.8712.7512.2110.6817.5819.5119.6118.2018.7319.2518.2717.0717.5311.57
11.139.8712.7512.2110.6817.5819.5119.6118.2018.7319.2518.2717.0717.5311.57
13.9612.4415.3715.1613.2920.4921.9721.8120.2220.4120.7819.7118.5819.3613.65
8.739.0112.6212.4210.6717.5819.5519.5918.1818.7019.2318.2517.0517.5011.48
6.707.019.789.788.4513.7211.8012.3411.5011.9712.3312.4410.3810.537.02
0.840.740.800.900.951.001.181.211.291.351.261.381.361.361.47
1.951.551.662.382.322.222.573.092.552.682.522.452.802.242.73
3.664.062.852.372.532.433.733.733.943.653.684.074.134.304.28
99.6589.9812815414415097.7597.8892.7010099.3089.7088.3884.8485.27
11.0611.6614.1012.5210.8318.3616.7917.6317.8219.4819.8019.9517.7218.2812.30
30.5843.8523.6314.5012.3621.2119.5018.5418.9120.8321.3621.6819.3420.3314.03
5.645.197.868.768.0513.6613.9214.9014.8516.1315.4816.0914.9214.8810.29
7.907.9714.1012.5210.8318.3616.7917.6317.8219.4819.8019.9517.7218.2812.29
37.3233.1729.5126.5323.7622.0518.9117.4314.8612.9811.349.138.777.366.09
6.621.323.144.692.922.352.773.512.591.651.681.341.050.850.77
5.230.122.524.222.011.572.052.931.980.821.010.840.550.530.55

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.342.402.502.252.242.081.961.871.751.711.671.621.632.932.882.863.122.722.723.423.713.384.743.104.714.775.644.815.515.065.115.316.156.215.244.865.795.244.964.745.335.234.934.675.136.396.355.287.026.305.756.966.535.995.795.555.585.396.006.695.384.857.37
0.270.280.280.290.300.300.310.32------------------------------------------------0.000.000.000.000.000.000.04
0.430.450.480.490.540.600.670.700.220.230.240.260.28----0.120.13-------------------------------------0.000.000.000.000.030.050.04
40.4639.6538.7139.2937.5334.0230.9531.4731.9033.9033.1833.0033.5435.4536.2936.9735.8633.9432.9032.6734.2534.2935.8937.2438.3138.9339.0039.9339.2339.6340.0440.2339.0739.2138.7237.9838.3038.5338.6838.3538.3637.1939.0438.9239.1739.6639.3838.4038.2036.8637.4437.7337.2235.9436.5140.6737.8537.6738.1737.3036.0133.2832.86
15.7414.4111.6115.6313.1511.493.886.5410.1811.8511.6311.3312.6813.0714.4615.2414.897.569.729.1410.6210.7112.2017.1517.6417.9617.6019.0619.0519.6320.3220.5419.5719.5618.7016.7819.5518.5717.8616.4419.4518.7120.1318.6120.0418.9519.3717.0119.9017.8418.1018.6117.9216.2015.4320.4917.1916.6115.8613.3913.2410.688.63
15.7414.4111.6115.6313.1511.493.886.5410.1811.8511.6311.3312.6813.0714.4615.2414.897.569.729.1410.6210.7112.2017.1517.6417.9617.6019.0619.0519.6320.3220.5419.5719.5618.7016.7819.5518.5717.8616.4419.4518.7120.1318.6120.0418.9519.3717.0119.9017.8418.1018.6117.9216.2015.4320.4917.1916.6115.8613.3913.2410.688.63
---------------------------------------------------------------
14.1212.409.3413.4210.778.951.404.589.6011.5011.3511.0312.5013.1014.4515.2614.897.4310.759.1010.6410.7212.2117.0317.6617.9917.6719.0119.1319.7320.3520.5119.5419.5318.6816.7519.5318.5417.8316.4219.4218.6720.1118.5920.0218.9219.3316.9919.8817.8218.0918.6117.9116.1815.3720.5317.1516.5615.8013.2513.1910.608.54
10.979.437.0010.178.306.821.223.567.409.088.778.569.5010.1811.3611.9411.405.958.847.328.408.469.6013.2913.7214.4213.499.6512.0212.4013.1712.5312.5512.4011.8510.6412.3511.6511.3210.7212.4011.8512.8312.1412.8611.9212.3511.3313.0113.6911.5512.658.8110.049.9611.6410.759.999.718.008.096.515.27
0.210.220.210.220.220.210.210.210.230.240.230.240.220.240.230.250.260.200.220.230.250.250.260.270.290.290.290.300.300.310.300.320.320.330.330.330.330.320.310.310.360.350.330.320.360.360.370.330.360.340.330.350.370.360.370.320.390.390.360.380.380.380.37
0.450.490.460.470.490.490.470.450.420.430.470.500.490.560.540.640.680.560.670.570.590.570.540.600.640.670.670.640.680.690.770.810.770.710.680.660.670.610.630.620.680.670.640.650.730.670.660.570.720.660.720.710.640.630.630.520.710.780.690.670.660.740.70
0.880.960.960.941.011.061.091.170.951.000.880.840.750.700.640.650.740.960.610.610.680.670.820.650.820.840.910.940.971.000.950.990.870.971.001.001.061.010.940.841.051.040.990.941.001.071.060.961.111.150.961.061.291.241.201.031.051.071.001.101.111.041.07
10294.1693.3995.9389.3184.7682.7876.7394.3089.9910210712012914113812193.3714814713213311013910910799.2295.6092.6090.4594.5990.5610493.1089.6789.6085.0289.3596.0510786.1086.3091.2695.8190.3883.8785.0993.4480.8878.3993.5585.0769.7172.5275.2187.2985.9084.0190.1682.0681.3286.5184.32
4.483.952.804.303.593.020.541.713.003.833.673.653.663.543.704.214.121.722.882.272.762.873.164.764.855.094.663.464.304.554.714.774.614.704.634.214.954.584.424.045.515.155.394.985.825.215.424.585.314.594.595.025.004.464.495.395.124.864.273.593.813.162.37
10.9010.137.5411.8910.729.941.976.434.666.106.026.126.354.064.264.884.802.023.392.593.153.293.635.495.665.865.384.024.534.804.975.024.864.974.904.465.254.874.714.325.905.515.795.386.305.675.864.985.714.964.995.485.494.914.975.995.725.484.844.104.373.642.75
2.342.071.482.191.791.450.250.761.702.152.042.042.052.492.592.952.961.181.981.692.102.122.523.544.014.213.962.873.663.823.954.034.004.083.913.504.083.703.533.354.444.144.273.904.674.334.513.704.503.823.764.234.203.683.674.394.163.933.513.013.082.501.94
3.272.852.003.072.532.100.371.173.003.833.673.653.663.543.704.214.121.722.882.272.762.873.164.764.855.094.663.464.304.554.714.774.614.704.634.214.954.584.424.045.515.155.394.985.825.215.424.585.314.594.595.025.004.464.495.395.114.864.263.593.803.152.28
40.4639.0537.8737.3235.8334.4933.3433.1732.5031.5330.4829.5128.5728.0027.5226.5325.7324.8824.4023.7623.5622.8922.5222.0521.1820.2919.6118.9118.5818.2918.0017.4316.7315.9615.3414.8614.8114.1713.5412.9812.4912.4311.9711.3410.7910.189.659.1310.229.659.218.778.318.007.707.367.036.636.346.095.895.635.45
5.193.711.666.624.732.950.831.320.931.190.733.142.441.220.654.694.506.780.572.921.831.120.502.351.971.370.602.771.751.221.113.511.601.060.692.591.620.980.671.651.320.530.301.681.010.580.291.340.780.640.381.050.840.520.250.850.410.460.200.770.400.200.24
4.182.981.325.233.682.210.500.120.180.680.512.521.960.900.464.224.136.560.472.011.070.590.231.571.421.030.412.051.240.880.942.931.170.760.531.981.150.670.510.820.680.090.111.010.650.390.210.840.390.380.260.550.430.240.110.530.210.350.140.550.240.100.18