Equifax Financial Ratios for Analysis 2009-2024 | EFX

Fifteen years of historical annual and quarterly financial ratios and margins for Equifax (EFX).

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
0.670.680.491.000.891.090.600.530.930.720.980.831.251.360.85
0.510.550.550.510.560.450.350.430.330.340.330.420.360.360.38
1.251.461.471.361.290.840.830.980.510.680.620.880.590.590.73
55.6557.4959.7757.9156.6257.7963.9964.6066.6865.3365.8363.3662.8259.1358.11
17.7320.6223.1116.39-9.5613.1324.7426.2426.0526.1926.5323.1524.7523.1222.25
17.7320.6223.1116.39-9.5613.1324.7426.2426.0526.1926.5323.1524.7523.1222.25
29.5031.7233.0626.070.0522.3933.3934.7833.5634.5834.7931.0433.4632.1531.50
13.6318.1519.2816.60-11.8010.8622.2123.1623.9023.5723.0220.8121.4420.1819.29
10.3613.5915.1112.60-10.959.1017.4715.5416.1115.0815.2713.1312.3014.3413.63
0.430.440.450.430.440.480.460.470.590.520.510.460.540.540.48
---------------
5.805.976.776.556.597.277.567.267.617.237.446.546.667.086.63
62.9661.1253.9455.7655.3750.1848.2950.2947.9350.5249.0655.8254.8351.5555.03
12.1217.6220.7816.39-14.4210.0518.4618.1918.5016.7414.5914.0513.8714.2413.89
-13.04-16.19-16.10-22.1313.38-14.62-26.15-18.53-38.03-26.31-30.42-17.50-26.99-27.16-20.20
4.496.066.785.47-4.784.438.277.439.668.027.526.096.797.086.32
5.937.969.278.11-6.305.4812.0110.3012.4611.069.798.088.889.058.61
36.9232.4429.4926.3621.6426.1726.9722.7019.8018.7219.2016.2714.4014.0012.80
9.016.1410.807.712.575.546.726.806.364.994.604.053.302.793.27
4.161.087.044.27-0.702.934.995.365.154.293.933.512.702.002.72

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
0.790.730.671.011.200.770.680.640.510.540.491.530.710.711.000.971.271.000.890.570.540.571.091.191.400.600.600.670.740.590.530.510.650.360.930.840.750.740.720.720.730.660.981.581.361.080.831.861.761.741.251.251.461.411.361.431.281.040.850.670.600.63
0.500.510.510.560.570.550.550.560.520.540.550.580.480.490.510.520.590.590.560.530.520.500.450.450.440.340.350.390.400.410.430.430.490.430.330.340.340.340.340.330.320.320.330.390.400.410.420.340.340.350.360.350.350.360.360.360.370.370.380.320.350.40
1.171.231.251.391.351.421.461.561.491.511.471.541.111.301.361.481.601.441.291.251.111.040.840.810.800.790.830.850.920.900.981.021.141.210.510.590.670.700.680.660.640.680.620.660.710.790.880.510.530.540.590.580.540.570.590.580.640.690.730.680.780.89
55.9054.8256.1655.6455.3755.4254.9956.4058.8359.4058.0660.0160.8860.1657.0159.4558.3556.7757.7457.2357.1754.2055.4354.8460.2560.4061.9764.3965.7263.8564.2764.1864.7765.2266.2366.0667.4467.0065.6465.6065.4264.6265.9165.5966.2365.5663.1963.7763.5362.9669.1761.9561.2659.3759.9060.2859.1357.0958.1358.2457.9658.13
19.7316.1718.4618.6817.9815.7814.7019.5223.1324.3820.1222.3424.7825.2815.1519.1316.9714.195.2013.8912.93-73.035.527.6822.0816.6622.9618.5331.0426.2726.3526.3827.8224.1926.5526.1227.8023.6626.4525.0627.2725.9926.6426.2226.9426.3017.2725.1025.1325.3627.8324.8023.5323.0922.7623.2622.9723.5418.9723.5323.7722.62
19.7316.1718.4618.6817.9815.7814.7019.5223.1324.3820.1222.3424.7825.2815.1519.1316.9714.195.2013.8912.93-73.035.527.6822.0816.6622.9618.5331.0426.2726.3526.3827.8224.1926.5526.1227.8023.6626.4525.0627.2725.9926.6426.2226.9426.3017.2725.1025.1325.3627.8324.8023.5323.0922.7623.2622.9723.5418.9723.5323.7722.62
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15.7011.9913.7914.4614.5811.6911.8017.6620.1122.2911.0321.7022.4422.148.4428.6513.0616.324.7711.0210.11-75.944.684.6419.3214.2320.5516.2928.3223.5222.8023.6524.8121.1525.1725.9123.3621.1124.2422.7924.5222.6721.0723.2724.5423.2014.8422.8522.8922.8924.9422.1218.7420.2319.9620.4520.0820.2315.7020.2621.1119.95
11.468.999.9812.3010.508.639.0213.3215.2416.279.7416.8017.4216.626.6621.3910.2012.202.649.267.59-65.704.364.6016.5110.5020.5511.5419.3118.4215.3516.5216.1314.0216.7917.6716.3713.5515.6915.1115.1214.3513.2614.6015.4217.858.6714.9814.8814.1316.7913.607.0812.1212.9016.1515.4812.8014.5014.0513.8912.18
0.120.110.110.110.110.110.100.110.120.120.110.110.130.130.120.120.110.130.110.120.120.120.120.120.120.120.120.120.120.120.120.120.120.110.150.150.150.140.130.130.130.120.130.130.130.130.120.140.150.140.130.140.140.140.140.140.130.130.120.130.130.14
--------------------------------------------------------------
1.411.381.461.361.411.421.401.471.471.591.721.761.781.711.771.761.661.581.701.701.751.651.781.781.851.781.891.821.851.811.851.841.941.711.901.871.841.801.851.891.781.731.871.871.841.831.681.751.751.701.561.781.781.671.841.781.771.711.611.691.691.69
63.7065.1761.6266.0463.9363.5664.4361.1261.0356.5752.2551.1250.5852.5950.7451.0454.2656.8952.8753.0951.4054.6750.5450.4848.6050.6847.7449.4148.5849.7248.6748.8446.3752.4847.2548.2448.8750.0848.5947.5450.6251.9248.1848.1848.8449.3153.4551.3951.5352.9857.7750.6250.4453.9949.0350.5750.8952.5256.0653.3053.3653.16
3.512.752.953.813.312.782.754.425.275.793.425.816.176.042.427.733.674.890.973.222.64-21.231.191.224.452.815.393.175.445.264.594.845.154.044.815.285.104.094.423.983.873.603.373.934.354.122.374.204.194.024.243.882.063.353.753.683.563.363.353.673.894.00
-4.33-3.11-3.18-3.72-3.50-2.72-2.52-3.72-4.64-4.92-2.65-6.93-7.44-6.56-3.27-9.19-3.72-4.21-0.90-2.93-2.3620.25-1.73-1.84-6.94-4.27-7.63-4.21-7.13-6.19-4.67-4.84-4.61-3.35-9.88-9.44-8.13-6.33-6.95-7.04-7.10-6.19-7.03-7.03-7.09-5.98-2.95-11.73-10.41-9.53-8.26-8.32-4.81-6.91-7.14-7.69-6.78-5.62-4.87-5.91-5.49-4.80
1.361.031.101.331.210.980.941.481.791.961.111.862.312.100.812.481.141.560.321.110.91-7.560.520.562.051.302.411.412.372.291.871.982.001.522.512.642.451.952.122.011.981.821.741.962.111.921.032.192.172.082.081.971.061.711.861.871.741.591.521.731.751.68
1.751.351.451.671.441.251.241.942.552.681.532.423.183.061.203.671.522.000.421.531.26-10.520.650.672.471.853.511.933.273.112.602.742.622.323.243.513.362.692.922.682.632.442.262.382.602.411.362.792.752.632.722.521.342.162.382.342.252.112.082.492.542.41
38.1037.0636.9234.9834.3033.3032.4430.8531.2231.4929.4929.1428.7227.5826.3624.4022.5020.0121.6421.1321.4121.6126.1726.8827.2427.7426.9726.3825.5924.5622.7023.3121.6521.2819.8019.1718.6718.4018.7219.6920.0419.6419.2018.0517.4816.9516.2715.7915.2615.1514.4014.7314.7314.3914.0014.0113.4313.1412.8012.3711.7710.90
4.172.029.016.413.341.226.143.500.62-1.6110.807.684.461.167.715.282.300.252.570.682.030.255.544.172.920.996.725.012.700.856.804.492.460.896.364.452.400.854.993.351.810.584.603.041.640.544.052.851.610.393.302.101.180.192.791.651.090.293.272.101.140.35
2.020.974.162.740.74-0.061.08-0.30-1.94-2.877.044.982.560.254.272.760.73-0.47-0.70-1.820.32-0.692.932.511.940.524.993.791.950.515.363.411.780.565.153.681.940.674.292.831.500.433.932.551.350.393.512.451.330.232.701.620.83-0.022.000.990.57-0.102.721.700.870.23