Domino's Pizza Inc Financial Ratios for Analysis 2009-2024 | DPZ

Fifteen years of historical annual and quarterly financial ratios and margins for Domino's Pizza Inc (DPZ).

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
1.491.471.461.851.741.491.461.231.601.611.381.331.661.641.27
5.716.386.235.056.217.678.088.085.725.346.817.656.036.037.56
-1.23-1.20-1.20-1.25-1.20-1.16-1.15-1.16-1.24-1.23-1.19-1.17-1.20-1.20-1.19
38.5636.3438.7438.7338.7637.9531.0631.0530.8229.8330.4629.8728.4827.9227.56
18.3016.9317.9117.6217.3916.6518.7018.3618.2917.3217.4116.8215.6814.5013.50
18.3016.9317.9117.6217.3916.6518.7018.3618.2917.3217.4116.8215.6814.5013.50
20.2218.8219.7619.3419.1818.4520.6820.1620.3119.4019.1819.0717.5116.5315.90
14.5712.6314.3613.4813.3412.4914.3513.9413.8212.9712.4910.8010.168.859.65
11.599.9711.7211.9311.0710.549.978.688.708.157.936.706.385.605.68
2.672.832.612.632.623.783.333.452.773.343.433.513.443.413.09
33.1735.4139.0637.8341.8546.3348.1042.4341.6036.8741.3337.9038.4941.9439.28
15.8417.6217.0716.8417.2118.0616.0516.4416.8516.8417.0417.8418.9519.5418.41
23.0420.7121.3921.6821.2120.2122.7422.2021.6721.6721.4220.4619.2618.6819.83
-12.75-10.80-12.13-14.89-11.73-11.91-10.16-11.40-10.71-13.33-11.08-8.42-8.71-7.26-6.04
-12.72-10.77-12.08-14.82-11.68-11.85-10.10-11.30-10.61-13.16-10.94-8.31-8.59-7.16-5.96
30.9928.2330.5331.3528.9939.8933.2129.9724.1027.2627.2223.5021.9319.0817.57
60.1058.1163.4060.2461.1579.4271.9880.7550.5757.8364.3855.9443.7936.5339.58
-117.21-118.27-116.49-84.91-87.73-74.18-63.76-39.15-36.12-21.95-23.13-23.72-20.95-20.13-22.55
16.6913.1717.3614.9511.859.107.165.865.253.383.362.992.482.111.75
13.7211.8914.8612.7210.116.525.414.784.342.312.662.542.191.741.42

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
1.711.941.761.491.411.461.491.471.431.471.451.461.721.771.841.851.962.021.761.741.441.561.431.491.611.811.391.461.491.601.431.231.151.261.881.601.451.501.621.611.511.491.471.381.341.321.381.331.371.261.161.661.691.971.981.641.651.531.551.271.681.711.56
5.004.595.155.716.246.356.176.386.536.176.236.235.655.674.675.054.784.886.076.217.236.697.297.677.416.779.008.088.625.786.698.089.778.654.905.725.625.434.875.346.306.516.356.817.747.797.397.657.838.638.236.036.325.195.126.036.336.706.737.566.416.196.36
-1.25-1.28-1.24-1.23-1.20-1.20-1.21-1.20-1.19-1.21-1.20-1.20-1.23-1.23-1.27-1.25-1.28-1.27-1.21-1.20-1.17-1.19-1.17-1.16-1.17-1.19-1.14-1.15-1.14-1.21-1.18-1.16-1.15-1.16-1.28-1.24-1.22-1.23-1.26-1.23-1.19-1.18-1.21-1.19-1.17-1.17-1.17-1.17-1.16-1.15-1.16-1.20-1.19-1.24-1.24-1.20-1.19-1.18-1.17-1.19-1.20-1.21-1.20
39.2339.8138.8938.4238.7639.4937.6436.7735.7336.2636.4637.6938.6039.4939.5639.4637.4138.8138.9638.8838.5339.0238.5538.2537.5737.6738.1831.5030.8430.6831.0531.0930.6931.4031.0131.2329.2931.2531.2929.4829.9029.8930.2030.4629.8630.4331.0829.7729.4730.4729.8128.8727.4728.7628.6828.3627.1027.6928.3427.8827.4727.1527.60
18.4117.8619.4018.3318.4419.0717.3317.8716.5116.7216.2716.5818.0618.4918.9617.9916.7617.7817.8517.7317.4317.1217.1716.6016.8516.1917.0019.6618.1917.9618.5918.3917.8118.9518.3118.6716.6218.8818.7716.0017.2318.0618.5517.2416.5317.8418.0816.3116.3017.4917.3915.1714.8416.1216.7314.0413.8815.0515.1013.7913.3612.7313.96
18.4117.8619.4018.3318.4419.0717.3317.8716.5116.7216.2716.5818.0618.4918.9617.9916.7617.7817.8517.7317.4317.1217.1716.6016.8516.1917.0019.6618.1917.9618.5918.3917.8118.9518.3118.6716.6218.8818.7716.0017.2318.0618.5517.2416.5317.8418.0816.3116.3017.4917.3915.1714.8416.1216.7314.0413.8815.0515.1013.7913.3612.7313.96
---------------------------------------------------------------
17.0915.2113.7914.6517.0913.4713.0213.6312.3412.5311.6414.6013.5114.0515.2113.9712.7913.5313.4313.6713.4313.0613.0612.4412.6311.7013.2015.3213.1414.0814.5014.3213.3814.3813.5113.2412.5115.0014.7811.8512.7613.6614.0812.4611.5012.9113.0811.1810.8411.999.059.589.2810.6711.247.897.839.4710.388.309.988.6312.30
13.6012.9311.6011.2114.3710.6810.2311.379.419.629.0011.5912.0611.3011.9711.2010.2412.9013.9311.2410.5211.3811.0810.3210.709.9311.3110.478.7610.4610.018.888.339.008.438.477.819.409.227.477.988.548.927.887.588.048.246.966.877.475.396.165.876.566.975.044.786.246.435.105.894.597.39
0.610.590.620.840.630.640.620.870.650.640.600.800.570.600.590.870.600.580.630.830.710.690.731.190.860.820.981.070.790.800.841.140.840.840.660.930.800.820.791.080.870.910.871.080.860.880.881.130.860.890.641.040.860.790.801.040.820.870.891.020.680.690.68
9.499.548.7110.419.039.459.2210.799.469.678.2712.259.4910.569.3212.329.258.4210.8713.289.8911.1811.2514.5311.8512.1011.7815.2812.0011.5711.2314.0510.1110.309.5113.838.619.269.1011.958.899.429.4412.999.3610.299.6212.209.969.8410.0811.6210.619.579.3612.749.959.4710.2812.898.349.168.05
3.883.843.804.964.113.943.955.414.403.874.095.264.184.384.175.554.223.963.985.474.434.444.315.694.624.264.505.134.174.154.145.454.104.134.135.634.314.314.255.434.314.254.375.364.364.414.635.734.364.404.805.754.644.564.645.974.584.735.086.074.674.884.84
23.2223.4523.7018.1421.9022.8422.7716.6520.4523.2321.9817.1121.5420.5721.5716.2321.3422.7122.6016.4520.3320.2820.8915.8119.4921.1119.9917.5321.6021.7121.7616.5221.9321.7921.7915.9820.8720.8721.1716.5720.8721.1720.6016.8020.6620.4319.4315.6920.6520.4618.7415.6419.4119.7219.3915.0819.6519.0117.7214.8319.2918.4318.59
-3.69-3.65-3.14-3.86-3.57-2.63-2.52-3.78-2.33-2.45-2.17-3.70-2.92-2.82-3.64-4.60-3.09-3.61-3.58-3.79-2.94-3.18-3.11-3.67-2.83-2.64-3.21-3.41-2.04-3.65-3.37-3.86-2.44-2.57-2.63-3.49-3.01-3.69-3.81-3.94-2.78-2.98-3.19-3.46-2.32-2.50-2.60-2.81-1.93-2.05-1.52-2.56-1.81-2.16-2.32-2.00-1.34-1.79-1.90-1.79-1.32-1.06-1.70
-3.68-3.64-3.13-3.85-3.56-2.62-2.52-3.77-2.32-2.44-2.16-3.69-2.91-2.81-3.62-4.58-3.07-3.60-3.57-3.77-2.93-3.17-3.10-3.65-2.81-2.63-3.19-3.39-2.03-3.61-3.34-3.83-2.42-2.55-2.60-3.46-2.97-3.64-3.76-3.89-2.74-2.95-3.15-3.42-2.29-2.47-2.57-2.78-1.91-2.03-1.50-2.52-1.79-2.12-2.29-1.97-1.32-1.77-1.88-1.76-1.30-1.04-1.68
8.287.657.219.399.126.856.389.886.106.145.439.316.826.777.089.696.127.508.759.367.447.858.0712.309.228.1111.1311.156.918.418.4110.156.987.555.547.856.277.687.278.056.977.767.728.506.547.107.227.865.896.623.456.435.045.185.565.253.905.415.735.204.023.145.02
14.7813.1213.0318.2118.6814.0613.0420.3412.8712.6611.3219.3413.5713.1613.3718.6211.6514.0318.1819.7418.3218.0819.6024.5018.1315.2525.6524.1715.5417.4219.1927.3621.4019.6710.2616.4613.9216.3114.7617.0914.7216.4217.0620.1115.6117.0116.6218.7013.1915.6610.9812.859.629.039.5710.047.1210.2210.8911.727.155.499.12
-115.16-111.31-115.18-117.21-118.74-118.72-117.51-118.27-121.94-116.44-116.51-116.49-113.43-112.35-83.37-84.91-81.53-83.43-86.89-87.73-71.78-70.44-72.42-74.18-71.49-70.01-65.00-63.76-63.24-37.37-38.55-39.15-40.27-39.68-34.50-36.12-22.98-22.68-21.99-21.95-23.30-23.40-22.81-23.13-23.73-23.88-23.53-23.72-23.67-24.14-23.59-20.95-20.98-19.27-18.92-20.13-20.68-21.33-21.83-22.55-23.11-23.83-24.35
12.757.783.5116.6911.946.833.2113.179.164.232.1617.3613.057.753.9014.959.315.332.4111.857.724.772.309.106.103.551.897.164.782.271.545.863.301.380.335.252.981.831.493.382.101.060.633.361.821.150.822.991.730.980.342.481.380.700.452.111.360.820.541.750.950.500.21
10.736.542.9413.7210.265.762.6811.897.753.331.8214.8611.696.883.4812.728.024.481.9710.116.944.362.016.524.782.701.585.413.971.761.314.782.530.880.164.342.571.631.472.311.660.820.582.661.530.990.752.541.520.860.292.191.250.630.441.741.120.660.471.420.770.380.16