Dover Financial Ratios for Analysis 2009-2024 | DOV

Fifteen years of historical annual and quarterly financial ratios and margins for Dover (DOV).

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
1.401.231.361.511.461.371.301.331.771.392.021.522.852.732.60
0.370.410.420.480.500.520.410.460.420.380.330.310.310.280.31
0.680.860.750.921.011.140.810.950.760.820.530.570.440.400.46
36.5636.0137.5637.0236.7336.6137.0836.8636.9238.3638.8338.9338.6039.6537.67
16.1916.2116.2113.9613.6612.0611.8311.7313.2415.6816.2415.9815.2515.1111.06
16.1916.2116.2113.9613.6612.0611.8311.7313.2415.6816.2415.9815.2515.1111.06
19.9519.8319.8818.1317.4816.1015.9815.8617.9419.6420.1219.4519.1918.8615.39
15.0515.1317.7212.5911.8110.3712.8411.3311.5114.1114.6214.0513.7113.319.25
12.5212.5214.2110.239.508.1611.908.4212.5010.0014.0212.2412.1511.466.67
0.740.780.760.730.820.840.640.600.810.860.660.630.780.710.68
4.373.984.155.045.605.926.344.385.475.536.124.646.175.605.84
5.895.615.875.885.865.685.764.786.216.536.655.416.595.976.08
61.9465.0762.2062.1062.2564.3163.3376.4258.7955.8754.9267.5255.4261.1260.02
20.7024.8626.8220.1922.3521.3517.0313.2116.3521.0314.8313.2215.6813.699.14
-83.94-62.05-65.01-38.60-37.54-28.94-127.46-19.57-39.57-67.0678.97-79.2032399.95-171.80
9.319.7810.807.477.827.077.014.966.928.627.356.228.147.244.74
13.0514.7415.5910.5211.2610.3510.137.179.5413.0710.009.1410.869.816.32
36.5030.6829.0823.5521.0219.1128.3124.4523.5122.7031.6528.1626.8624.2721.85
9.505.617.687.606.435.194.694.695.965.635.645.265.024.393.98
8.174.116.556.515.194.103.683.905.094.734.974.523.683.583.49

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
1.571.531.311.401.581.411.321.231.171.411.441.361.641.611.591.511.471.321.291.461.421.341.301.371.301.351.421.301.321.251.191.331.451.451.421.771.691.701.501.392.242.362.192.021.621.541.501.522.572.542.692.852.562.972.822.732.592.262.322.602.742.482.39
0.350.360.370.370.380.390.400.410.420.400.410.420.440.450.470.480.480.490.500.500.490.500.510.520.520.510.410.410.410.420.420.460.410.410.410.420.380.380.380.380.400.400.410.330.290.310.320.310.300.300.300.310.310.310.320.280.290.300.310.310.310.320.33
0.590.590.770.680.650.730.780.860.910.760.710.750.790.830.880.920.971.131.161.011.021.121.161.141.191.150.780.810.810.870.920.950.830.790.820.760.750.730.790.820.690.680.710.530.540.570.610.570.420.430.430.440.450.450.470.400.420.460.490.460.460.510.53
38.4837.7236.1636.4937.7536.1335.9335.8235.8036.1936.2236.2737.3938.0138.6336.5937.6836.7936.9736.6836.9037.1536.1535.6537.0037.0036.8137.0937.1437.6536.4636.5537.0037.4336.3236.2237.6337.2236.5636.6038.5439.1439.2738.5138.9839.1138.6446.0138.6238.1338.1738.6937.7038.9039.2845.9838.3338.5538.6644.5937.2335.4834.96
16.8216.9614.0516.9817.1815.4515.1316.4917.1616.5314.5914.2216.9516.9416.7313.8115.8412.3313.6113.9715.4915.249.7512.0912.5913.1510.2510.5113.6813.409.6515.4512.3411.498.9911.7715.4914.3211.2213.3217.3316.7815.2315.0317.9416.5715.0318.2317.0815.2614.9414.6315.4116.4214.2617.3116.2514.8312.8215.6112.019.238.32
16.8216.9614.0516.9817.1815.4515.1316.4917.1616.5314.5914.2216.9516.9416.7313.8115.8412.3313.6113.9715.4915.249.7512.0912.5913.1510.2510.5113.6813.409.6515.4512.3411.498.9911.7715.4914.3211.2213.3217.3316.7815.2315.0317.9416.5715.0318.2317.0815.2614.9414.6315.4116.4214.2617.3116.2514.8312.8215.6112.019.238.32
---------------------------------------------------------------
19.4816.2238.1515.8916.2514.2913.7715.1216.3615.5413.4423.1616.2315.9215.4912.3814.3610.4612.8911.1014.1313.798.0210.3211.0511.768.2015.7011.8311.4012.7920.5810.619.757.8710.0013.7212.579.6011.6815.8315.4713.4013.3216.3714.9213.4812.2715.4513.7813.3212.9214.0114.9412.6314.5814.2513.5811.1813.3510.327.346.82
17.5012.9430.1912.8814.8011.5310.9912.3213.2513.4211.0218.2413.0713.0212.4610.2311.468.3210.659.4711.2910.946.137.839.007.788.0319.4710.249.449.5015.697.627.016.128.3710.4118.9012.218.5611.5410.908.8812.7713.8717.0811.9129.8211.4910.5010.0319.558.0612.5210.7621.1612.429.516.839.217.136.983.87
0.170.190.170.200.180.190.190.200.200.200.200.190.200.210.200.190.190.160.190.200.210.210.200.220.210.210.160.140.170.170.180.100.180.190.180.200.210.210.200.220.220.220.210.140.180.190.170.050.210.210.200.150.220.210.190.110.220.220.200.140.190.180.18
1.011.101.071.280.950.960.951.000.981.000.991.061.201.291.271.351.301.071.221.391.411.341.331.551.371.481.061.411.121.131.220.751.301.271.221.351.381.311.261.451.361.341.301.311.251.281.190.331.391.371.371.191.571.381.300.771.531.631.571.041.661.511.45
1.391.401.381.741.261.351.421.411.441.431.421.481.491.531.511.571.451.311.351.461.441.411.361.471.361.401.161.291.211.241.400.811.421.431.391.511.501.531.511.671.501.511.461.411.351.381.350.441.491.541.531.271.601.511.490.921.531.661.601.221.601.591.58
64.8464.4565.3151.6871.1766.9063.2463.8262.4363.1463.4560.9760.2558.8759.7757.4961.9568.5966.4261.7062.5864.0666.3861.2966.1264.1377.7669.9774.4972.3064.4911163.2062.9864.7659.5160.1158.8259.4554.0059.9559.7761.8363.8166.6865.1566.8120660.6058.3058.6570.7456.3859.7160.2698.2359.0154.2156.3073.5556.1756.4656.97
5.495.2512.276.355.425.205.126.157.176.605.228.666.787.116.655.386.174.045.915.546.836.703.735.715.725.862.466.223.733.504.364.063.433.192.693.755.234.333.274.645.755.404.542.724.285.183.510.514.484.013.662.754.584.873.682.365.014.212.992.552.662.581.62
-33.94-26.36-47.46-33.19-25.93-18.48-15.02-15.35-15.43-20.87-15.00-20.98-20.32-18.16-14.66-10.29-11.21-6.51-8.92-9.31-11.30-10.06-5.06-7.73-7.26-7.91-5.92-46.51-7.60-6.33-7.37-6.02-7.53-6.50-5.29-9.07-16.86-13.66-9.81-14.81-26.50-28.70-19.0214.46-52.98-37.43-18.70-3.07-130.19-72.83-105.0956.79-103.9792.8929517.23163-125.70-60.97-47.83-81.02-37.41-15.32
2.632.505.272.862.432.222.122.422.692.682.153.492.662.752.511.992.231.371.971.942.382.261.221.891.861.961.042.561.521.381.681.531.401.321.111.592.201.841.361.902.522.391.961.352.122.491.630.242.352.091.921.432.352.521.871.252.632.131.511.321.381.320.80
3.593.397.784.003.373.173.083.654.193.953.095.033.793.893.552.803.182.052.972.793.483.361.832.772.752.861.463.702.202.042.522.202.031.871.572.193.222.682.022.893.483.242.681.833.033.602.410.353.152.812.561.913.163.372.521.693.562.932.071.761.831.751.08
41.5339.0237.4936.5034.5533.3331.9030.6828.4430.5730.0329.0827.0325.8424.3123.5522.5321.4620.7121.0220.7720.3219.5219.1118.7819.2328.7428.3127.4526.1525.4024.4524.3923.9323.8423.5123.0122.9622.3222.7023.6723.4122.5231.6531.0229.1827.8328.1629.1227.9527.7226.8626.3226.4125.4324.2723.4221.8921.7221.8521.7020.9720.29
4.692.681.199.505.133.111.725.613.261.400.167.685.423.011.227.604.732.400.526.433.971.580.175.192.801.140.104.692.881.260.504.693.652.180.855.964.042.180.805.633.001.260.165.643.411.770.335.263.752.180.865.023.711.700.624.392.541.690.463.982.971.650.62
9.436.935.258.174.232.481.374.112.130.73-0.166.554.632.551.056.513.911.870.255.193.060.98-0.084.101.930.52-0.173.682.090.770.243.902.981.750.625.093.391.780.674.732.420.83-0.024.972.891.480.204.522.681.450.513.682.751.080.363.581.941.290.273.492.601.380.47