DAQO New Energy Financial Ratios for Analysis 2010-2024 | DQ

Fifteen years of historical annual and quarterly financial ratios and margins for DAQO New Energy (DQ).

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
20232022202120202019201820172016201520142013201220112010
4.286.643.170.630.391.070.660.290.320.310.300.370.821.43
---0.130.210.200.220.290.330.270.500.350.270.17
-0.00-0.300.670.380.510.901.091.381.860.970.620.39
39.8973.9565.3634.6322.8932.5344.5735.1120.6323.70-23.95-43.1037.5742.78
33.9565.9862.6327.8113.5726.9240.5628.6515.3017.55-38.72-52.6936.7937.83
33.9565.9862.6327.8113.5726.9240.5628.6515.3017.55-38.72-52.6936.7937.83
40.4068.3067.2437.9727.1036.1249.0943.4232.5232.899.21-9.6652.0749.99
35.4766.3361.6524.0010.8224.3735.6722.387.799.12-201.67-118.5718.7333.92
18.6139.4944.6119.128.4412.6428.7318.987.129.12-65.09-128.8614.3525.82
0.310.610.500.550.290.350.430.350.280.260.180.110.260.39
8.017.081.7710.477.4213.1711.4212.1113.4814.5412.878.216.0012.87
67,873256,020-5,23711,66615145835.999.049.764.672.538.0123.65
0.010.00-0.070.032.420.8010.1440.3737.3978.1114445.5415.43
10.1337.5432.4716.774.9811.7724.8316.165.408.05-161.00-33.229.0218.29
10.1337.5432.4716.774.9811.7724.8316.165.408.05-161.00-33.229.0218.69
8.7932.6525.8710.812.357.2313.086.691.972.34-36.23-13.874.6411.24
10.1337.5432.4714.533.939.3919.3611.453.625.86-81.22-21.436.6015.12
98.1484.4535.7510.948.167.917.285.174.634.623.969.8612.86-
21.5631.868.332.802.591.472.611.861.271.08-0.48-0.291.284.46
6.7416.271.831.22-1.40-0.731.440.59-0.29-0.74-1.42-3.24-5.912.41

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-30
4.614.574.594.284.745.985.526.645.215.572.983.173.521.090.930.630.540.470.440.390.430.560.861.071.261.230.760.660.570.430.450.290.330.350.350.320.420.440.340.310.360.490.340.300.280.340.370.540.720.900.820.751.261.36-1.01
-------------0.060.100.130.170.160.200.210.240.220.210.200.190.150.200.220.260.280.300.290.320.310.310.330.380.300.240.270.360.360.480.500.510.360.350.330.340.330.270.110.130.15-0.33
------0.020.00-----0.170.320.300.490.500.600.670.590.590.470.380.330.410.560.510.710.780.870.900.870.951.061.091.311.301.081.381.341.412.091.862.000.970.970.860.800.720.610.320.350.34-0.76
-30.53-72.3717.3618.3113.9940.6671.3977.3980.2376.1163.5460.6374.2968.7046.4544.2036.0517.0033.5029.5321.5412.9922.5922.4019.0640.1045.0563.1336.7231.9042.8330.7437.0941.3729.0228.5418.4110.4620.2325.3924.5123.0721.442.59-13.33-89.00-157.27-51.11-19.44-32.19-29.2733.3346.5950.96-42.54
-49.39-88.957.3517.494.6333.5965.3472.0956.8274.5662.2457.6771.9966.2542.6439.5526.558.0527.1225.1910.50-0.6011.2226.435.9128.5941.0361.7631.3026.5838.3721.1430.3036.8123.0826.8014.283.589.7515.3919.9919.0815.74-10.99-16.83-114.75-64.54-74.16-22.32-41.8453.6325.8346.1846.44-37.83
-49.39-88.957.3517.494.6333.5965.3472.0956.8274.5662.2457.6771.9966.2542.6439.5526.558.0527.1225.1910.50-0.6011.2226.435.9128.5941.0361.7631.3026.5838.3721.1430.3036.8123.0826.8014.283.589.7515.3919.9919.0815.74-10.99-16.83-114.75-64.54-74.16-22.32-41.8453.6325.8346.1846.44-37.83
--------------------------------------------------------
-44.81-82.3710.2420.268.1032.5067.0273.4757.4874.2762.2558.0071.3464.8039.6936.3022.383.3523.4922.067.69-3.088.9024.386.0424.3037.3559.0825.9019.7733.2811.8524.8632.1316.4717.307.82-3.223.337.2912.4610.346.25-22.19-33.40-151.00-923.62-91.32-34.82-46.61-116.3925.6043.7547.86-33.17
-30.59-54.473.7311.20-1.3016.2939.2838.5026.5250.4641.8535.7249.9052.5932.5029.4016.541.7819.6816.895.94-3.328.1815.05-27.1521.2933.0737.2433.0915.9527.328.9520.6227.9414.4316.236.62-2.702.817.2912.4610.346.25-21.64-34.76-128.85-1,220.60-73.60-23.13-40.31-103.1020.2636.3240.08-28.02
0.030.030.060.060.070.090.090.110.180.190.290.120.200.260.180.200.100.120.140.100.080.070.090.090.080.070.120.120.100.110.120.070.080.110.090.090.060.040.060.070.070.070.070.060.050.020.010.020.030.040.040.080.100.13-0.12
1.251.971.802.253.232.371.061.153.295.694.650.483.264.094.033.281.504.133.382.303.132.893.333.803.201.122.702.132.663.242.952.602.294.373.773.953.122.923.553.853.162.792.673.442.851.420.722.512.072.341.021.392.523.03-3.10
2.35------48,014----8,136-14,2281,9204921,7347933,96423.1714.1612.7237.8814.785.5213.671287.4914.676.227.248.414.873.412.942.611.971.972.652.892.602.561.591.260.550.180.800.840.861.322.052.223.83-2.02
38.32------0.00----0.01-0.010.050.180.050.110.023.886.367.072.386.0916.326.590.7012.016.1414.4612.4210.7018.4726.3630.5734.4545.7145.7134.0231.1634.6435.1556.6871.4816350011310710468.1743.9440.4923.50-44.62
-------7.36--19.976.7214.5421.259.859.553.200.395.603.570.93-0.501.063.210.812.016.7512.144.203.877.771.544.087.523.314.021.30-0.390.501.742.872.291.92-6.03-8.19-6.82-22.18-3.31-1.65-3.12-8.722.485.498.04-8.05
-1.22-2.560.441.210.282.515.657.369.3014.1619.976.7214.5421.259.859.553.200.395.603.570.93-0.501.063.210.812.016.7512.144.203.877.771.544.087.523.314.021.30-0.390.501.742.872.291.92-6.03-8.19-6.82-22.18-3.62-1.80-3.12-8.722.525.598.20-8.29
-1.09-2.270.391.050.242.214.826.407.9012.0415.125.3511.9014.156.066.161.830.212.821.690.47-0.280.631.970.511.243.736.392.071.833.330.641.713.021.251.470.43-0.120.160.510.900.680.43-1.36-1.75-2.69-9.26-1.51-0.75-1.49-4.491.603.555.12-3.31
-1.22-2.560.441.210.282.515.657.369.3014.1619.976.7214.5420.008.848.272.660.324.482.820.71-0.390.832.560.661.725.429.463.132.795.421.092.795.212.282.700.81-0.270.381.271.831.461.00-3.04-4.05-4.38-14.31-2.20-1.08-2.11-6.382.194.796.86-5.42
-------84.45---35.75---10.94---8.16---7.91---7.28---5.17---4.63---4.62---3.96--9.86---12.86-----
-5.68-4.22-1.7621.5620.1910.2110.2431.8622.1414.713.028.338.525.772.072.800.930.620.412.591.340.970.711.470.951.000.392.611.811.380.541.861.331.260.431.271.230.610.031.001.040.730.43-0.48-0.49-0.70-0.29-0.270.000.001.280.000.000.000.000.00
-10.59-8.64-4.516.748.223.916.7216.2722.1414.711.701.838.525.771.131.22-0.12-0.170.24-1.40-1.35-1.13-0.13-0.73-0.170.240.261.441.440.760.240.590.170.450.10-0.290.04-0.19-0.50-0.69-0.540.200.31-1.41-0.89-0.82-3.22-3.12---5.91-----