Descartes Systems Group Financial Ratios for Analysis 2009-2024 | DSGX

Fifteen years of historical annual and quarterly financial ratios and margins for Descartes Systems Group (DSGX).

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
2.052.112.191.951.131.031.111.351.873.922.492.884.064.396.806.52
-----0.050.07---0.11-----
-----0.050.07---0.16-----
75.8676.6876.0374.2173.6972.7573.1772.4970.8967.8867.5866.5866.3865.8568.5966.16
24.9326.8424.3620.4816.0415.0615.1115.0615.1913.219.7015.4315.2411.848.6813.37
24.9326.8424.3620.4816.0415.0615.1115.0615.1913.219.7015.4315.2411.848.6813.37
36.4540.2939.4838.1634.9231.3130.9431.5731.1927.8523.8428.8927.9225.8420.6524.53
26.3827.5224.1620.1814.7414.3614.6315.4615.0112.779.0813.5713.508.009.1113.60
20.2321.0420.3214.9411.3611.3711.3211.7011.128.816.3512.6010.5411.6319.4630.98
0.390.370.360.330.350.420.380.410.410.380.440.460.440.410.350.45
--11721020978951833634711636.3352.3393.44---
8.998.557.616.707.687.687.437.006.446.605.224.856.655.406.116.82
40.6242.6847.9454.4747.5247.5249.1352.1456.7255.2669.9675.2054.9167.6559.7353.50
9.369.308.635.724.505.865.395.545.113.863.8411.306.519.449.026.59
51.1652.7253.4449.2090.10-149.92-91.6210840.3311.7821.6834.5813.7017.9512.819.64
7.867.777.284.903.934.794.304.764.543.392.799.745.508.048.145.98
9.369.308.635.724.505.605.025.545.113.863.4111.306.519.449.026.59
14.5312.9611.8010.789.766.946.505.685.315.17------
2.392.232.041.531.261.000.940.950.710.690.660.480.380.320.290.35
2.332.161.991.491.200.940.870.880.650.650.630.420.300.320.260.32

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
1.791.492.051.791.591.372.112.001.741.972.191.971.681.941.951.881.531.261.130.900.870.941.031.111.101.091.111.132.181.701.352.382.432.181.872.712.294.263.925.515.002.512.492.762.483.532.883.443.034.204.064.664.264.954.393.903.323.366.806.674.013.966.52
-----------------0.01-0.010.030.310.050.090.100.090.070.100.08--0.010.020.03-------0.100.110.050.060.06-----------------
-----------------0.01-0.010.030.440.050.100.110.100.070.110.09--0.010.020.03-------0.150.160.070.080.08-----------------
75.1976.6075.6476.2875.6175.9376.7877.3476.4976.1076.0876.4975.6475.8775.2774.2473.3573.8873.1773.3473.7674.5472.8372.6573.2472.2773.0872.8373.2173.6272.2872.9672.7172.0171.7571.6770.1469.8768.5567.7767.6267.5468.3067.1066.0868.9768.0868.0765.3364.5365.8166.6666.0567.0765.2466.7066.1065.2567.5568.8067.8770.2168.24
28.0528.0025.0022.3925.6826.7626.8528.5725.6526.2923.1625.6124.9823.6723.4121.4417.9218.7616.1116.4316.2415.3415.0015.4715.2214.5414.0313.5116.2816.9615.3615.2014.2415.4514.4814.9815.5515.807.9414.4114.7416.082.1413.949.2314.3418.7815.1612.6014.8414.3816.7415.7514.0624.0310.037.363.97-3.9514.5514.459.8715.18
28.0528.0025.0022.3925.6826.7626.8528.5725.6526.2923.1625.6124.9823.6723.4121.4417.9218.7616.1116.4316.2415.3415.0015.4715.2214.5414.0313.5116.2816.9615.3615.2014.2415.4514.4814.9815.5515.807.9414.4114.7416.082.1413.949.2314.3418.7815.1612.6014.8414.3816.7415.7514.0624.0310.037.363.97-3.9514.5514.459.8715.18
---------------------------------------------------------------
29.5730.5127.0524.0426.8527.6628.8429.1825.7926.1823.0225.3924.7823.4623.1721.1717.5818.4315.7915.8714.5012.6714.4414.6514.5113.8113.4312.8016.0316.6715.2214.9615.4716.2314.2714.7915.4115.6510.7514.2912.4413.713.4311.178.4314.1012.5214.4412.5714.8310.8615.6114.7012.899.5310.087.414.23-3.3914.9014.8310.2816.58
21.2222.9121.4818.3819.6121.4923.7721.7918.6219.8617.0823.4122.1618.6418.4215.2112.5413.2013.5811.6410.649.3811.1111.2912.6610.4210.479.9512.5012.6311.5311.5111.4412.3411.1611.0411.2311.038.129.658.479.057.155.634.568.2523.049.538.148.7315.259.569.157.9528.706.278.010.9054.805.244.3612.68100
0.100.100.100.100.100.100.100.100.100.100.090.090.090.090.090.090.090.090.090.090.090.090.110.110.100.100.100.100.100.110.110.110.100.100.110.100.100.120.100.100.090.120.120.130.120.120.120.120.120.110.110.110.110.110.110.110.110.090.090.090.120.110.11
---38.2736.0624.32-35.0335.5334.5230.9731.5034.2839.8153.8552.8065.1112954.9811513820120319025317913987.7282.0785.1087.6885.4978.7770.9387.5537.1636.4643.1729.4216.3214.5511.229.4810.5310.449.2513.3311.349.4517.3424.7120.1920.38----------
2.222.312.322.152.072.222.202.202.041.962.012.092.041.981.801.971.891.951.991.992.092.011.982.021.911.961.992.091.861.771.811.931.811.591.671.691.662.041.711.721.671.351.391.331.291.381.291.211.321.551.721.281.311.691.461.331.331.331.561.891.501.501.62
40.4939.0438.7241.8343.5440.4940.8740.8244.1446.0044.6843.0144.0745.4650.1445.7047.7146.2245.3245.2642.9844.8745.3944.6247.1245.8245.2143.1648.5050.7749.6046.7549.6156.5653.8653.2954.2944.0852.5752.2654.0066.4564.7667.6869.8765.1969.6174.5968.2358.0852.2070.4868.4753.2561.6067.8867.6267.5757.5647.7160.1659.9955.56
2.642.742.572.242.402.592.712.532.212.281.922.572.411.951.891.531.231.351.391.201.081.331.481.511.651.371.341.281.571.571.411.411.381.431.331.291.271.540.921.040.901.431.150.890.731.193.291.381.131.172.061.251.210.993.750.821.060.105.500.560.591.6411.86
21.9631.2714.0515.4622.2038.0815.3416.7620.0815.9811.8920.1828.3017.3816.2413.9715.9628.1227.8568.24-200.87-3.40-37.83-19.60-18.32-17.16-22.72-13.1025.2518.1227.648.148.7011.2010.517.378.554.362.812.502.298.066.503.533.263.3710.053.693.262.354.342.332.371.837.131.682.260.217.810.821.042.9817.34
2.222.252.161.861.992.142.262.111.841.901.622.182.051.681.621.331.071.171.211.030.910.811.211.191.281.071.071.001.251.351.221.221.191.231.181.151.131.360.810.930.791.060.840.710.570.962.831.180.970.991.741.061.020.853.190.700.890.084.970.490.511.4110.75
2.642.742.572.242.402.592.712.532.212.281.922.572.411.951.891.531.231.341.391.181.050.921.411.381.481.251.241.151.441.571.411.401.351.401.331.291.271.540.921.040.901.281.020.840.691.113.291.381.131.172.061.251.210.993.750.821.060.105.500.560.591.6411.86
15.3514.8314.5313.9513.7913.3112.9612.3612.2511.9711.8011.7111.3811.1610.7810.3110.139.719.769.619.477.116.946.806.716.646.506.276.015.775.685.565.535.565.315.34--5.17------------------------
1.130.731.161.811.160.562.231.641.050.512.041.511.010.481.531.100.720.331.260.910.610.301.000.720.480.240.940.680.440.210.950.690.430.210.710.500.320.160.650.480.360.130.660.470.320.150.470.250.170.070.380.260.160.080.310.200.000.030.260.220.160.080.35
1.090.711.121.751.120.552.161.591.010.501.991.470.980.461.491.070.690.321.200.870.580.280.940.680.450.230.870.630.420.200.880.640.390.190.650.450.290.140.610.450.340.120.620.440.310.140.420.210.140.060.300.210.120.060.310.18-0.030.240.190.150.080.32