Data Storage Financial Ratios for Analysis 2010-2024 | DTST

Fifteen years of historical annual and quarterly financial ratios and margins for Data Storage (DTST).

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
4.143.405.070.390.300.300.180.340.120.120.140.130.240.17
0.000.030.020.410.50-0.060.10-2.19-0.4824.480.800.010.40
0.030.070.071.571.720.480.820.50-1.60-1.26-3.2711.070.651.60
38.3733.8643.1441.8044.0638.9240.5329.2137.3045.6044.8332.4336.3037.02
-0.67-17.08-5.16-0.012.433.77-1.03-14.43-9.83-12.37-17.72-53.88-46.36-54.28
-0.67-17.08-5.16-0.012.433.77-1.03-14.43-9.83-12.37-17.72-53.88-46.36-54.28
4.54-2.213.4811.0713.0010.556.42-9.382.814.65-0.10-35.76-9.60-31.25
1.20-18.47-0.941.860.352.66-2.28-21.11-17.40-16.45-21.52-57.44-71.15-71.55
1.53-18.251.370.59-0.641.65-3.62-23.53-19.80-18.60-24.10-58.68-72.42-73.54
1.070.990.561.201.161.451.290.751.181.061.000.760.740.52
--------------
19.816.816.2416.8112.2716.7320.325.4333.6535.0317.7019.9413.396.49
18.4353.5658.5021.7229.7521.8217.9667.2210.8510.4220.6218.3027.2656.28
1.52-23.271.159.031.7013.33-11.95-54.5639.6360.67205-1,895.89-246.28-305.25
2.17-34.631.88-11.18-1.51-11.357.6035.8216.1417.6629.4877.3913964.70
1.28-18.300.992.240.403.85-2.95-15.93-20.47-17.40-21.56-43.39-52.82-37.42
1.51-22.631.125.330.8513.32-11.23-49.0312689.61-4,820.87-370.39-243.44-182.03
2.872.783.380.600.540.550.490.53-0.55-1.19-0.530.151.581.38
0.540.10-0.060.330.250.160.150.040.10-0.150.03-1.07-0.96-0.06
0.320.08-0.130.280.240.140.150.040.10-0.150.02-1.21-1.14-0.15

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-31
4.814.243.064.143.884.303.163.404.975.063.055.075.250.580.380.390.410.370.320.300.280.290.270.300.290.330.260.180.260.300.370.340.120.110.100.120.130.130.100.120.170.150.150.140.110.110.130.130.270.190.240.240.250.380.570.17---
---0.000.010.010.020.030.030.040.040.020.030.060.340.410.200.21-0.50-------0.060.140.150.170.10-1.11-1.33-1.70-2.19-4.55-8.743.59-0.48-0.59--24.489.602.291.370.800.560.69-0.010.420.290.220.40---
0.010.010.020.030.040.050.060.070.080.090.090.070.070.211.411.570.990.970.801.720.710.660.620.480.460.530.500.820.640.660.670.50-1.22-1.33-1.47-1.60-1.73-1.89-2.20-1.26-1.44-1.26-2.66-3.27-3.51-5.41-11.3611.073.466.241.330.651.710.920.581.60---
43.2449.0436.0241.6538.9343.6830.3833.9641.9132.2830.5645.0639.9642.7144.8141.9340.4843.1442.0545.1738.7945.8346.2140.2040.3936.2739.6938.8139.7740.0243.0217.2129.9738.0937.4136.4734.1438.7539.5848.7147.2146.3740.4749.9547.1744.4038.1829.6937.8122.8539.7241.4836.2032.8933.5430.5449.5732.8732.57
-0.44-7.922.60-4.010.241.81-0.60-50.33-5.05-21.452.15-7.64-8.59-2.701.371.263.11-6.140.285.59-5.153.555.091.5710.050.851.50-32.903.363.3116.99-22.35-12.26-12.03-7.09-6.83-10.55-6.99-15.51-11.24-9.40-16.54-12.27-21.68-14.07-11.98-23.15-55.32-32.78-74.37-52.99-50.55-57.09-42.08-32.18-86.54-19.96-48.58-80.28
-0.44-7.922.60-4.010.241.81-0.60-50.33-5.05-21.452.15-7.64-8.59-2.701.371.263.11-6.140.285.59-5.153.555.091.5710.050.851.50-32.903.363.3116.99-22.35-12.26-12.03-7.09-6.83-10.55-6.99-15.51-11.24-9.40-16.54-12.27-21.68-14.07-11.98-23.15-55.32-32.78-74.37-52.99-50.55-57.09-42.08-32.18-86.54-19.96-48.58-80.28
-----------------------------------------------------------
2.13-5.024.20-1.612.633.490.51-52.79-5.72-23.811.66-8.353.493.840.01-0.461.549.14-1.933.00-6.621.822.63-0.318.92-0.110.83-33.191.651.4515.88-28.27-20.12-17.80-14.71-17.82-14.88-18.73-17.86-16.07-15.44-18.26-16.06-26.35-19.00-14.98-25.85-58.65-36.38-77.89-56.77-117.43-55.03-59.44-46.03-122.06-30.98-52.16-80.84
2.11-4.974.34-1.212.993.840.74-52.43-5.56-23.591.80-0.183.513.24-1.43-1.660.357.76-3.272.02-7.580.851.59-0.827.84-1.04-0.62-34.440.200.0214.66-30.14-23.03-20.40-17.30-20.31-17.49-20.89-20.27-18.42-17.63-20.37-18.02-33.63-20.12-16.05-26.92-59.88-37.61-79.13-58.05-118.59-56.18-60.83-47.47-122.06-32.39-54.59-85.97
0.240.200.320.270.250.260.280.250.170.180.290.190.140.170.320.320.340.260.270.330.270.270.260.260.410.410.300.290.290.280.310.250.290.310.300.300.260.300.260.250.240.230.230.240.230.230.230.190.190.200.190.200.220.170.150.18---
--------------------------10.31--------------------------------
2.942.581.864.912.552.661.871.702.201.942.462.062.102.263.554.502.923.242.513.523.813.754.153.064.552.713.964.603.503.052.431.828.914.519.478.456.734.346.978.303.663.532.854.304.164.654.765.072.813.453.193.673.252.502.092.28---
30.5734.9148.4918.3235.2433.8648.0352.8440.9646.3236.6443.6842.8339.7625.3320.0230.8427.7935.8925.5623.6423.9921.6829.3919.7633.1622.7019.5725.7329.5336.9849.3510.1119.959.5110.6513.3720.7412.9210.8424.5625.4831.6320.9521.6219.3418.9317.7531.9926.1228.2324.5227.6936.0743.1039.47---
0.60-1.211.71-0.500.801.060.18-16.63-1.15-5.120.63-0.050.601.180.02-0.592.189.75-2.394.23-8.102.052.92-0.2812.85-0.191.01-39.331.611.4117.80-24.548.068.507.5810.208.6514.0813.6014.0516.5222.8126.4160.8547.3361.96223-492.22-92.86-359.11-92.59-111.43-83.33-46.04-23.74-183.08---
0.83-1.702.40-0.721.151.550.27-24.74-1.89-8.341.02-0.080.99-6.51-0.020.73-2.64-10.862.10-3.776.44-1.89-2.610.24-10.710.13-0.6725.01-1.53-1.32-16.5316.113.843.853.254.153.335.114.434.094.305.184.888.766.315.379.5720.0914.1827.9221.9762.8924.0725.4224.7138.81---
0.51-1.011.34-0.430.670.900.14-13.08-0.99-4.360.48-0.040.500.640.00-0.150.522.34-0.530.99-1.810.490.69-0.083.68-0.050.25-9.700.480.414.90-7.17-5.76-5.56-4.41-5.27-3.92-5.70-4.72-4.03-3.78-4.28-3.73-6.41-4.44-3.48-5.99-11.27-7.00-15.37-10.71-23.90-12.06-9.84-6.79-22.45---
0.60-1.211.71-0.500.801.050.18-16.17-1.12-4.930.60-0.050.581.100.01-0.351.757.73-2.392.12-8.102.052.92-0.2812.84-0.191.00-36.961.391.2014.81-22.0517.0319.8620.4732.5548.04137-35.2820.7526.2522.8526.47-1,432.86-408.29-80.27-83.24-96.16-41.02-109.47-92.37-110.15-48.64-32.74-18.53-109.18---
2.942.902.932.872.872.832.792.783.233.293.413.383.372.370.600.600.600.590.530.540.510.560.560.550.560.490.500.490.650.650.650.53-2.52-2.30-2.09-0.55-1.75-1.60-1.37-1.19-1.03-0.89-0.70-0.53-0.54-0.34-0.160.150.490.300.821.581.282.113.151.38---
0.080.05-0.040.540.300.150.060.100.02-0.030.24-0.060.020.200.110.330.210.110.090.250.200.100.070.160.110.040.030.150.180.120.020.040.230.120.080.100.03-0.03-0.10-0.15-0.030.01-0.050.030.170.16-0.09-1.07-1.09-0.77-0.62-0.96-0.72-0.47-0.75-0.05-0.30-0.34-0.56
-0.08-0.08-0.090.320.13-0.010.000.080.01-0.040.23-0.13-0.040.130.030.280.160.080.080.240.190.090.060.140.100.030.030.150.180.120.020.040.230.120.080.100.03-0.03-0.10-0.15-0.030.01-0.050.02-0.04-0.04-0.09-1.21-1.23-0.86-0.64-1.14-0.82-0.52-0.75-0.13-0.39-0.42-0.55