DXC Technology Financial Ratios for Analysis 2009-2024 | DXC

Fifteen years of historical annual and quarterly financial ratios and margins for DXC Technology (DXC).

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
1.171.181.091.011.140.960.981.101.311.361.631.691.081.812.041.92
0.550.510.430.450.630.320.310.510.490.360.360.440.340.240.360.43
1.331.150.921.041.940.630.581.371.300.850.730.860.970.340.580.75
22.6222.0722.0220.5523.8927.9824.9227.0527.0324.1232.2220.4412.2919.2820.7520.89
3.242.010.90-2.453.499.067.961.701.53-3.6810.094.47-3.286.337.717.19
3.242.010.90-2.453.499.067.961.701.53-3.6810.094.47-3.286.337.717.19
13.7612.7911.618.7848.1918.7617.2110.5712.338.3521.5312.016.0713.6514.9714.92
0.80-6.137.023.69-26.707.306.00-2.290.14-8.277.801.66-6.765.636.425.78
0.67-3.944.41-0.84-27.436.068.06-1.623.530.0210.645.35-4.204.755.136.79
0.990.910.810.800.750.700.640.880.920.790.781.261.310.970.971.05
----------------
4.204.194.224.274.464.013.974.633.884.833.234.444.514.194.144.34
86.8887.0486.4985.5681.8991.1292.0578.8394.0575.6411382.2681.0287.1288.2484.10
2.81-14.8213.69-2.75-104.4610.4611.17-4.623.54-6.9813.189.40-26.968.9412.7519.99
21.29-79.4953.33-23.40205-67.42-978.486.74-12.57-19.1143.3356.2559229.2355.74167
0.62-3.573.65-0.66-20.604.154.56-1.150.93-2.034.572.64-6.834.195.047.19
1.25-7.337.80-1.51-38.827.147.76-2.281.82-4.508.455.25-17.696.788.1611.47
17.1417.7922.6220.8520.2343.6848.4915.3313.6621.3727.0921.0418.2648.9442.2737.08
6.856.185.880.499.096.348.864.415.6710.3310.467.197.599.9910.6213.01
5.184.944.12-0.897.115.627.562.072.297.356.623.822.525.386.297.87

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
1.251.211.171.111.131.141.181.131.141.091.091.121.081.021.011.100.961.291.140.930.950.880.961.001.040.950.980.991.001.181.101.151.231.231.311.491.321.361.361.631.681.661.631.601.881.741.691.711.361.091.081.381.641.841.811.782.162.162.042.332.152.031.92
0.540.550.550.540.520.520.510.440.430.430.430.450.460.430.450.480.630.680.630.450.460.410.320.340.310.290.310.330.340.340.510.500.520.530.490.460.360.360.360.390.370.350.360.370.430.440.440.420.450.350.340.430.340.240.240.250.350.360.360.380.400.410.43
1.251.341.331.351.291.271.150.950.920.950.920.971.000.921.041.042.032.431.940.981.030.840.630.670.590.600.580.650.680.601.371.331.421.451.301.200.860.870.850.810.750.710.730.760.820.870.860.791.171.000.970.840.690.370.340.390.560.580.580.640.660.700.75
25.1221.9423.5722.4523.3721.1023.6421.5122.1820.9621.1322.2523.3221.4018.7922.2721.7619.3921.6423.7824.1625.9327.3528.0629.8226.7926.8125.8129.0317.7024.9329.7327.1526.3719.2030.5129.1129.4915.2919.3428.3426.9732.2029.9627.3025.1118.9321.7523.1018.0648.85-21.1611.5016.5618.7919.3720.0018.9322.0221.4520.4419.0423.69
4.072.564.553.503.321.632.422.162.441.052.723.52-3.971.28-3.79-0.86-1.60-3.51-0.423.924.455.959.098.778.829.5410.039.568.383.67-1.753.962.571.97-8.526.514.074.82-8.27-17.708.937.9415.2312.339.668.451.206.507.093.1129.70-36.70-3.563.125.726.586.846.169.138.327.555.7710.15
4.072.564.553.503.321.632.422.162.441.052.723.52-3.971.28-3.79-0.86-1.60-3.51-0.423.924.455.959.098.778.829.5410.039.568.383.67-1.753.962.571.97-8.526.514.074.82-8.27-17.708.937.9415.2312.339.668.451.206.507.093.1129.70-36.70-3.563.125.726.586.846.169.138.327.555.7710.15
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2.872.10-9.136.243.732.26-32.392.861.513.2919.944.06-6.1610.24-18.0846.13-6.72-5.00-73.982.53-41.214.216.709.066.626.8210.536.255.211.74-9.902.61-0.05-1.87-10.354.462.693.99-22.41-19.817.956.6112.9811.097.507.19-3.034.074.590.96108-39.57-71.962.505.135.766.235.407.107.366.434.758.46
1.300.80-5.914.592.881.04-21.051.650.762.7513.222.40-4.676.71-18.2025.61-5.36-4.55-72.591.63-43.683.335.198.925.234.9010.0314.214.693.04-7.831.620.80-1.09-6.972.869.809.040.47-16.114.904.518.118.407.285.352.2914.423.681.10116-37.70-72.544.544.576.064.683.666.435.345.353.3610.02
0.240.240.240.230.230.230.230.200.200.200.200.200.200.200.200.180.180.160.190.170.160.150.180.180.170.180.160.160.160.170.220.230.210.220.230.220.170.180.190.180.290.280.290.290.300.300.310.310.300.330.270.330.300.250.230.250.230.240.240.240.250.250.24
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1.041.081.041.091.091.051.041.031.031.001.041.111.051.011.061.041.091.051.101.091.050.931.021.021.021.001.020.970.960.911.151.180.990.970.991.050.820.851.140.801.161.181.211.181.131.131.091.201.141.120.921.121.001.001.011.050.991.021.051.001.050.981.00
86.2083.3386.4682.9382.4085.8086.2487.1787.5089.6686.5480.7885.4088.7085.3086.6882.8985.3882.0982.7985.5596.3388.3188.5788.4789.8188.3492.4993.6899.2878.2876.3991.0692.4791.2085.8911010679.2611277.8476.4974.5976.2579.7279.6682.3174.8079.1380.5698.1480.4689.9890.4289.4585.7090.4888.1885.9889.5985.7591.8089.57
1.390.81-6.364.162.861.17-19.841.230.572.0410.032.01-3.685.24-15.1518.40-5.18-4.03-68.260.99-23.841.502.314.102.191.963.815.351.640.87-6.371.690.90-0.90-4.970.993.052.16-4.42-5.784.763.947.007.544.905.171.583.444.020.62118-43.78-60.522.391.493.382.472.214.003.233.462.196.78
6.304.46-48.2727.4019.766.74-106.463.641.887.6339.0611.55-24.5732.83-128.8588.952057.50134-2.9665.95-4.14-14.89-15.50-11.87-9.11-333.54-17.45-4.40-3.299.31-2.70-1.502.5917.6316.5410124.62-12.10-33.4520.0913.7523.0028.8821.3428.259.4717.98-207.14-9.50-2,586.82-546.54-174.547.584.8911.489.038.8017.4613.1816.9312.8056.53
0.330.19-1.410.940.670.27-4.780.330.160.552.680.51-0.931.35-3.654.67-0.96-0.71-13.460.30-7.170.520.921.610.900.791.552.100.620.35-1.590.450.24-0.23-1.310.280.930.64-1.28-1.821.671.392.422.501.501.480.441.011.000.1629.82-12.80-21.511.130.701.551.030.901.581.331.370.842.44
0.640.36-2.831.931.360.56-9.820.690.321.155.711.09-1.982.97-8.339.64-1.92-1.30-25.370.55-12.770.881.582.691.501.392.643.611.090.58-3.140.840.43-0.42-2.550.531.951.38-2.85-3.512.982.554.494.762.812.890.881.992.200.4177.25-24.86-39.731.831.132.551.601.412.551.992.091.303.89
17.8817.1617.1418.2017.6717.4817.7921.7121.4621.9722.6220.7220.1521.2120.8523.5718.6919.4520.2335.9134.7042.8643.6842.0842.0841.9248.4946.2343.8643.3715.3315.5616.5215.8913.6616.0122.0021.8321.3723.8026.4827.7727.0925.5322.4121.0321.0421.6018.5717.5618.2620.9330.5450.1448.9446.7045.5542.4442.2743.5241.8940.1337.08
2.351.306.855.631.850.596.184.291.610.695.884.832.12-0.110.491.582.330.479.098.056.13-0.256.343.712.971.288.866.945.221.794.415.561.680.365.815.243.442.5610.468.133.371.8410.576.783.201.407.196.914.271.427.594.39-0.26-0.299.995.132.20-0.3810.622.621.78-1.9413.01
1.280.485.184.320.94-0.014.943.430.980.254.123.521.16-0.70-0.890.031.34-0.077.116.645.05-0.795.623.282.270.907.565.894.571.422.073.510.21-0.282.342.661.751.987.455.791.751.136.694.071.430.483.824.152.320.342.520.48-3.14-2.045.381.05-0.57-1.806.29-0.88-0.01-2.867.87