EBay Financial Ratios for Analysis 2009-2024 | EBAY

Fifteen years of historical annual and quarterly financial ratios and margins for EBay (EBAY).

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
202320222021202020192018201720162015201420132012201120102009
2.442.181.971.801.161.602.182.313.491.511.841.961.882.452.32
0.520.600.440.680.710.550.530.420.510.250.150.160.080.09-
1.211.720.932.182.811.471.240.851.030.380.170.220.120.12-
71.9872.6474.5779.8078.6676.6177.6378.4579.3981.0881.9370.0470.3072.0071.59
19.2023.9928.0529.6423.8320.2522.8125.0125.5728.1729.7220.5220.3722.4316.69
19.2023.9928.0529.6423.8320.2522.8125.0125.5728.1729.7220.5220.3722.4316.69
23.1828.5032.8736.1931.9027.6029.6232.3433.5735.9337.7129.0528.4330.7625.98
36.66-16.353.8237.6122.2426.0022.9239.2728.0028.6131.1421.9233.5622.9132.99
27.36-12.9613163.7224.0429.25-10.2478.1520.080.5234.5918.5427.7119.6727.37
0.470.470.390.460.410.380.380.390.480.190.200.380.430.420.47
---------------
9.9812.8415.3013.6413.3912.1514.2615.7113.8814.650.641.271.893.053.40
36.5728.4323.8526.7627.2730.0425.5923.2426.3024.91572287193120107
43.39-24.722.5869.8449.9333.88-12.5969.1229.61-4.358.7412.5018.0111.7717.33
130-142.994.50-337.91-84.20207-31.5912395.68-5.7315.3823.2939.5821.0234.74
12.84-6.110.9512.887.889.33-3.9030.5510.97-1.924.987.0411.828.1912.98
20.76-9.901.4422.0114.4615.24-5.8640.3614.61-3.247.4410.4516.6010.7217.33
12.379.5616.465.213.616.867.829.705.5516.2618.2716.1213.9411.7910.62
4.554.044.013.373.642.682.962.473.314.543.802.922.492.072.23
3.703.233.342.723.042.052.331.922.764.043.291.971.761.521.79

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.251.992.442.162.452.682.181.331.281.481.973.353.961.301.801.751.581.341.161.411.311.481.601.742.372.632.182.462.371.922.312.604.494.613.491.871.671.511.511.561.281.421.841.952.011.911.962.471.951.881.881.591.612.422.452.482.432.312.321.781.681.95
0.530.500.520.540.590.590.600.580.560.480.440.410.390.610.680.730.740.790.710.690.640.600.550.530.560.550.530.450.450.370.420.530.580.590.510.510.250.260.250.270.180.170.150.150.160.160.160.180.070.080.080.090.090.090.09-------
1.401.231.211.311.471.431.721.591.471.180.930.830.701.862.182.662.994.132.812.372.271.781.471.331.291.211.240.891.000.770.851.321.401.431.031.150.380.390.380.380.280.210.170.200.210.210.220.230.110.110.120.160.160.110.12----0.020.030.04
71.4272.6172.2971.8071.7372.1172.8772.8272.6372.2573.4472.8974.8177.0381.5778.8382.1676.4210774.5677.1877.6666.8477.0577.3978.3378.2077.7076.8577.6880.2577.5477.8977.6878.7779.3779.4380.0680.9780.7971.2268.3068.0168.5568.7669.2669.3669.9870.9570.0069.2668.9871.9971.3771.8771.5472.2272.3871.7171.2371.7971.62
21.3524.6916.0018.2020.3922.2322.5123.8721.6827.8726.3326.4727.4431.8829.7229.3232.6926.5441.3719.5923.0324.5827.0220.9915.3822.4424.4922.9819.8423.7523.5124.4523.8128.7328.5127.5420.2825.6731.4727.7220.8120.6022.5620.5319.3421.3421.8919.5920.4519.9322.2518.1118.8022.1923.6721.7921.8722.257.5719.7919.6220.92
21.3524.6916.0018.2020.3922.2322.5123.8721.6827.8726.3326.4727.4431.8829.7229.3232.6926.5441.3719.5923.0324.5827.0220.9915.3822.4424.4922.9819.8423.7523.5124.4523.8128.7328.5127.5420.2825.6731.4727.7220.8120.6022.5620.5319.3421.3421.8919.5920.4519.9322.2518.1118.8022.1923.6721.7921.8722.257.5719.7919.6220.92
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12.7520.9740.2466.4411.2229.0833.03-2.27-30.02-66.41-44.4317.3515.0327.4549.6833.4840.4426.5943.5312.7720.9227.236.0235.7926.7821.2020.7227.7819.1024.2373.8424.0423.4527.6627.9931.6826.1626.1531.7728.5121.0620.4822.6922.4319.5021.5821.9719.7425.0420.8772.0420.7710.5422.3123.5222.9822.5422.5267.1819.5919.4121.82
8.7117.1428.2652.206.7322.5926.77-2.90-21.92-54.0175.3510.5640224.3038.9429.4131.9216010914.8816.5921.4797.3127.2224.3215.78-96.0820.821.2044.9421918.6319.5122.5620.5425.683.9330.3744.0431.3016.48-54.5818.7617.7016.5118.0618.8117.5420.3617.3958.5516.5510.2518.7022.4119.2018.6118.1157.1515.6315.6017.67
0.130.120.120.120.130.130.120.120.120.110.100.090.080.140.110.120.120.110.030.110.110.110.030.110.110.110.100.100.090.090.110.110.110.110.130.110.050.050.050.050.100.110.110.100.100.100.110.100.120.120.120.120.110.110.110.110.120.120.130.130.130.13
--------------------------------------------------------------
2.402.312.532.753.223.223.293.764.003.973.843.794.291.933.334.732.773.350.922.923.043.371.103.483.543.783.893.993.913.894.583.543.553.573.753.530.180.143.870.150.300.320.350.320.320.320.360.470.520.660.550.760.700.800.830.780.840.810.920.930.901.02
37.4839.0135.5932.6927.9627.9327.3623.9422.4822.6923.4623.7520.9846.5427.0419.0132.5426.8497.9430.8529.6026.7182.0525.8625.4023.8323.1422.5523.0323.1419.6325.4125.3525.2323.9925.5151266323.2558130127925728427928325019317413716411812811310811610711197.3897.0699.8788.05
4.097.0011.3822.143.2710.5613.02-1.44-10.22-18.98-9.132.592.2615.0721.4020.7223.7420.3810.706.429.749.925.7810.398.935.36-32.264.610.258.9356.446.136.777.637.958.392.172.303.662.573.80-11.865.103.032.963.214.813.003.663.0511.043.041.752.993.652.872.912.829.832.742.753.21
18.2321.5434.1978.6316.8051.7375.31-8.81-47.43-45.97-15.954.163.34-68.77-103.53-36.98-33.38-15.48-18.04-11.02-34.10-456.6435.2843.5634.9814.92-80.987.960.4315.0910021.1623.1028.0925.7027.813.704.454.835.128.10-24.368.975.175.195.828.965.867.506.3724.267.714.355.346.535.195.405.4519.709.1410.329.72
1.112.053.376.170.862.843.22-0.37-2.73-5.83-3.350.970.923.033.953.283.442.281.691.121.892.311.593.042.661.66-9.992.000.114.1724.942.042.192.462.952.970.941.001.621.141.73-5.742.911.721.661.782.711.842.452.027.241.971.142.072.542.172.202.137.362.021.982.36
1.933.535.4510.151.324.345.21-0.61-4.53-9.82-5.101.521.385.906.745.686.234.383.102.003.524.002.604.933.902.42-15.032.530.145.6432.962.902.823.143.934.101.621.712.731.873.12-9.804.342.562.482.684.022.443.392.8210.172.781.602.733.332.872.912.829.832.742.753.21
11.1812.3212.3711.349.8810.059.568.929.5512.3516.4617.2919.695.545.214.244.123.023.613.994.885.946.867.207.237.547.8210.7610.7010.769.706.105.705.535.555.4016.2616.1516.2615.9515.2915.4818.2717.5916.7316.3016.1215.3914.6814.4913.9412.5312.5812.2911.7911.5310.8010.8110.629.869.248.64
1.941.194.554.332.691.554.042.871.511.044.013.593.081.503.372.352.190.783.642.751.490.612.681.450.860.482.962.001.170.532.471.941.220.553.352.451.880.944.573.232.110.923.812.511.480.712.911.870.990.412.491.751.130.532.071.420.860.322.231.631.080.52
1.480.913.703.712.231.313.232.321.160.903.343.072.811.382.721.911.930.653.042.281.130.412.050.920.520.332.331.560.880.411.921.510.960.412.792.011.640.864.072.891.770.763.301.770.990.481.961.140.530.221.761.240.830.421.521.030.590.201.791.330.910.45