Dycom Industries Financial Ratios for Analysis 2009-2024 | DY

Fifteen years of historical annual and quarterly financial ratios and margins for Dycom Industries (DY).

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
3.063.183.552.613.903.85-2.952.643.073.082.713.292.793.322.97
0.430.480.520.380.490.52-0.520.560.500.480.510.320.350.260.26
0.770.951.110.721.001.09-1.131.291.030.941.060.480.530.340.35
19.4917.0215.8617.4216.7718.07-21.5922.0421.2218.5819.1619.3319.1918.0619.15
7.745.532.612.133.533.73-8.979.247.634.524.785.454.021.70-4.21
7.745.532.612.133.533.73-8.979.247.634.524.785.454.021.70-4.21
11.719.397.629.629.8710.20-14.4714.5712.469.7310.1910.7810.188.2510.32
6.994.731.691.852.352.81-8.177.726.703.663.625.382.751.09-4.92
5.243.731.551.071.712.01-5.134.824.172.212.193.281.550.59-4.80
1.661.651.481.651.511.49-1.611.551.491.491.391.561.431.451.60
30.9727.4932.4037.2928.2727.15-28.9028.3132.7530.0436.1236.8840.7250.45108
3.353.563.453.724.074.97-8.138.156.426.646.388.197.048.698.93
10910310698.1089.6673.37-44.9044.8056.8854.9557.2344.5751.8841.9940.88
20.7616.376.404.236.597.82-23.4123.1016.638.248.2110.024.581.48-13.59
34.5527.9012.648.1914.2019.83-94.5526173.5740.0999.7523.4013.343.13-30.04
8.706.152.291.772.583.00-8.287.496.233.303.055.102.220.86-7.66
11.868.483.072.623.343.76-11.1510.198.234.294.036.782.991.10-10.09
36.2529.6025.6226.5027.5025.59-21.6017.7415.1914.2712.8811.7010.5110.2110.02
8.725.4910.0111.901.823.890.008.028.334.052.423.161.891.231.393.23
2.55-0.635.0910.51-1.37-0.55-2.233.031.380.301.420.36-0.150.192.58

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
3.443.173.063.503.393.433.183.213.323.463.553.693.303.442.612.733.184.513.903.873.663.453.853.783.243.39-3.16-3.293.383.10-3.503.803.24-3.183.283.07-2.873.123.05-2.832.643.28-3.183.373.07-3.152.653.18-3.273.313.36-3.062.92
0.450.440.430.470.450.470.480.490.510.520.520.510.520.510.380.350.430.620.490.520.520.510.520.520.480.49-0.52-0.570.550.56-0.590.520.54-0.460.450.47-0.460.480.51-0.510.510.32-0.330.330.34-0.350.340.27-0.260.260.26-0.260.28
0.810.800.770.920.850.910.950.971.041.101.111.041.151.110.720.620.791.661.001.131.111.071.091.060.971.02-1.10-1.331.231.29-1.461.101.18-0.860.860.92-0.890.941.05-1.081.070.48-0.500.500.51-0.540.650.36-0.350.350.34-0.360.39
20.8019.3316.9121.9620.2718.3816.5518.3717.9314.9013.7717.3417.2914.7714.0118.7520.1416.4714.1518.0718.5315.8315.4118.9919.6518.02-20.55-20.97-23.05-21.70-23.10-21.15-20.95-17.81-20.01-18.22-20.48-18.48-20.15-17.96-19.98-17.40-18.97-19.78-
8.657.094.4910.518.486.934.707.416.752.800.495.094.190.19-0.315.806.61-3.80-0.434.815.823.24-0.555.515.973.58-6.37-8.41100.0011.20-8.45100.0011.13-7.20100.007.70-3.29100.007.02-3.88100.006.83-4.12100.007.22-2.44100.005.28-0.07100.004.03-4.09100.00
8.657.094.4910.518.486.934.707.416.752.800.495.094.190.19-0.315.806.61-3.80-0.434.815.823.24-0.555.515.973.58-6.37-8.41-11.20-8.45-11.13-7.20-7.70-3.29-7.02-3.88-6.83-4.12-7.22-2.44-5.28-0.07-4.03-4.09-
---------------------------------------------------------------
7.886.783.349.897.856.323.486.636.052.31-0.654.083.13-0.25-0.845.675.98-3.65-2.083.484.822.46-2.064.515.183.24-5.87-7.835.3810.18-7.894.557.50-6.553.536.73-3.07-1.296.07-2.700.776.03-5.292.076.84-1.07-3.814.55-0.54-3.073.11-4.27-38.83
5.695.482.467.375.784.932.705.184.512.230.103.362.310.12-0.564.194.49-3.98-1.522.743.381.71-1.613.283.742.36-3.81-4.933.386.39-4.982.774.68-4.112.144.08-1.85-0.793.64-1.650.403.67-3.261.304.06-0.59-2.332.58-0.71-1.831.36-2.95-31.75
0.430.440.380.430.430.450.400.450.440.410.360.390.350.320.390.390.380.290.330.370.380.380.360.400.410.39-0.41-0.420.400.43-0.420.370.43-0.390.370.40-0.370.350.42-0.400.340.42-0.400.370.43-0.370.290.40-0.340.320.38-0.380.36
9.418.877.297.787.087.376.667.948.077.938.0810.109.358.739.119.308.467.346.446.906.716.676.717.577.327.12-7.16-7.056.647.59-8.497.778.79-8.598.128.58-8.247.5410.44-10.218.6410.22-8.107.289.92-11.7311.2813.83-14.6216.7327.01-22.5921.36
0.800.830.760.780.850.880.860.840.860.870.840.880.840.840.870.860.920.940.900.961.111.181.190.991.151.11-2.17-2.212.092.42-1.791.611.82-1.851.651.72-1.741.561.67-1.861.582.09-2.422.502.22-2.322.162.29-2.212.172.25-2.151.95
11310811811610610210510710410410710210710810310498.1696.2410093.6081.2675.9875.5990.7577.9681.28-41.50-40.6543.0737.14-50.1855.9149.37-48.5854.5452.34-51.8457.6153.83-48.3557.1143.02-37.2436.0640.55-38.7441.6639.27-40.7941.5640.00-41.8346.21
5.905.792.227.956.255.742.866.295.502.580.103.542.330.11-0.523.724.24-3.89-1.292.753.501.74-1.503.413.822.31-4.17-6.23-8.32-6.59-5.67-3.88-4.08-1.70-4.05-1.76-3.03-2.55-3.53-0.43-1.82-0.42-0.89-1.98-20.67
9.389.523.7013.339.859.514.8710.8910.195.040.216.644.560.21-1.006.577.85-7.60-2.785.927.934.20-3.808.5710.497.09-15.10-35.38-45.02-34.68-24.02-14.20-17.03-9.26-25.51-34.51-7.02-6.34-9.41-1.31-4.08-0.92-1.93-4.53-48.75
2.462.400.933.142.512.231.072.341.990.920.041.300.810.04-0.221.641.73-1.15-0.501.011.280.65-0.571.301.530.92-1.55-2.07-2.78-2.07-2.01-1.61-1.65-0.69-1.52-0.66-1.54-1.29-1.75-0.22-1.03-0.24-0.51-1.13-11.40
3.263.251.274.183.423.031.483.232.721.240.051.751.130.05-0.322.422.41-1.48-0.651.311.670.85-0.721.651.981.17-2.02-2.70-3.68-2.70-2.61-2.09-2.16-0.91-1.99-0.85-2.05-1.70-2.34-0.28-1.33-0.31-0.66-1.46-14.91
39.8137.1536.2535.9232.8730.6129.6029.0527.0625.6725.6226.8725.8726.3226.5028.6227.4426.3627.5027.9227.1026.0925.5926.1125.0823.95-22.29-20.0419.5819.50-16.0117.1516.75-15.3214.8514.96-13.7013.3713.66-12.3712.0712.03-11.2611.0710.93-10.1710.3310.48-10.079.9910.13-9.829.56
-1.53-1.278.72-2.23-0.97-2.865.49-2.72-2.57-2.1610.015.331.901.3311.908.625.212.691.82-4.20-3.45-1.773.89-0.581.160.760.007.810.001.332.00-1.290.002.391.39-0.850.003.532.370.310.002.802.01-0.540.002.702.720.820.001.972.050.570.001.471.350.510.001.251.460.630.002.441.91
-4.42-2.262.55-6.63-3.46-3.99-0.63-6.76-4.98-3.255.091.79-0.170.4110.517.874.572.12-1.37-6.89-5.69-2.97-0.55-3.97-0.89-0.06-2.80--0.32-0.26-2.46--1.61-1.24-2.02-1.531.38-0.15-1.050.70-1.34-1.481.940.51-0.761.050.15-0.840.900.20-0.440.820.41-1.901.49