Enphase Energy Financial Ratios for Analysis 2009-2024 | ENPH

Fifteen years of historical annual and quarterly financial ratios and margins for Enphase Energy (ENPH).

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
4.593.553.331.752.511.511.421.421.671.962.712.811.564.012.94
0.570.590.690.010.270.911.390.94--0.110.130.680.100.02
1.321.562.410.680.3914.12-5.4526.080.41-0.220.202.420.180.03
46.2041.8140.1244.6835.4429.8719.5817.9830.2932.8728.9525.5219.4410.54-15.00
19.4619.2315.6224.0716.450.50-13.76-19.44-5.40-1.29-9.52-14.38-19.20-33.60-82.67
19.4619.2315.6224.0716.450.50-13.76-19.44-5.40-1.29-9.52-14.38-19.20-33.60-82.67
22.0421.6417.9626.4118.723.56-10.61-16.09-2.411.25-6.52-11.81-17.17-31.08-78.69
22.4019.398.7515.4214.43-3.24-15.84-20.46-5.80-2.12-10.76-17.34-21.60-35.32-83.81
19.1617.0510.5217.3025.81-3.68-15.79-20.91-6.18-2.34-11.13-17.64-21.60-35.32-83.81
0.680.760.660.650.880.931.691.972.162.262.001.771.411.040.96
5.779.0611.1210.2612.5713.638.858.286.1010.699.988.1310.7312.2015.66
5.145.294.144.254.294.014.385.297.757.627.267.818.417.683.17
71.0669.0488.1185.8685.0191.1383.3569.0447.1047.8950.2946.7343.3847.50115
44.6248.1333.8127.6959.20-149.52495-5,189.34-53.28-17.15-64.45-67.4640.5539.51-124.20
62.6677.5496.2231.1374.3122.233402,039-62.23-19.45-64.91-67.46-231.07-56.59-124.20
12.9712.887.0011.1722.59-3.42-26.72-41.24-13.34-5.29-22.21-31.25-30.39-36.60-80.80
19.2719.6210.5327.4142.99-13.01-194.83-305.70-53.28-17.15-57.11-58.50-74.53-50.86-122.11
7.256.053.213.752.210.07-0.110.020.901.070.951.398.2345.652.05
4.865.162.461.521.060.16-0.34-0.65-0.470.56-0.02-1.45-0.29-23.74-28.92
4.094.842.101.380.940.12-0.39-0.89-0.750.26-0.17-1.87-11.98-28.08-32.19

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
4.164.234.164.593.363.443.453.553.603.623.443.334.494.675.201.753.313.393.222.512.672.441.521.511.561.361.431.421.591.922.251.421.521.231.411.671.791.691.841.961.982.032.552.712.222.552.772.812.572.451.261.561.952.413.084.01----
0.560.580.570.570.540.550.550.590.660.730.780.690.590.610.560.010.380.410.480.270.400.460.820.910.959.746.871.391.271.060.860.940.69-------0.070.090.110.110.130.130.140.130.080.090.860.680.590.470.170.10----
1.401.471.401.321.271.331.331.562.112.853.882.411.581.741.370.680.870.961.250.390.680.884.8414.1226.96-1.73-1.63-5.45-6.10-19.866.2826.083.561.000.780.410.320.35--0.140.180.210.220.230.220.220.200.190.197.452.421.691.010.290.18----
46.7845.2043.8648.4747.5545.4744.9542.8842.2141.3140.1039.5739.9340.4440.7446.0453.2138.5439.2537.0835.9433.8033.2930.5232.3929.9126.1723.8321.3718.1312.8717.9217.9117.8518.3423.9230.5932.3532.3433.3032.8132.7232.4032.0628.1028.0026.7727.8926.8424.4221.8522.8819.1016.2414.6510.7110.9112.128.25-
13.070.59-11.05-3.3821.4123.9523.0921.6621.3417.7414.0113.9810.6318.7920.3429.8729.008.6521.7521.1618.7213.017.125.42-0.48-0.74-3.54-2.68-7.66-12.38-40.36-11.14-19.99-19.94-29.77-23.121.73-0.36-6.401.851.91-3.03-10.05-2.40-8.61-9.44-21.31-10.73-13.48-13.47-21.78-6.70-14.39-32.07-49.57-32.38-30.94-41.99-32.22-
13.070.59-11.05-3.3821.4123.9523.0921.6621.3417.7414.0113.9810.6318.7920.3429.8729.008.6521.7521.1618.7213.017.125.42-0.48-0.74-3.54-2.68-7.66-12.38-40.36-11.14-19.99-19.94-29.77-23.121.73-0.36-6.401.851.91-3.03-10.05-2.40-8.61-9.44-21.31-10.73-13.48-13.47-21.78-6.70-14.39-32.07-49.57-32.38-30.94-41.99-32.22-
------------------------------------------------------------
13.323.70-4.374.0424.9225.9624.6523.2121.1517.3913.0112.257.3114.66-0.5526.9425.12-42.9027.7621.1517.428.363.111.39-4.13-4.48-6.99-4.88-9.14-15.04-42.33-13.73-20.99-20.68-28.94-23.020.91-0.37-7.100.780.95-3.56-10.64-3.57-9.93-10.78-22.43-12.92-14.43-20.17-23.75-9.69-16.04-34.77-51.41-34.08-32.66-45.05-32.79-
12.023.57-6.116.9120.6822.1020.2321.2218.0914.5211.7412.746.2012.4510.5027.5622.05-37.6733.5455.5517.277.922.760.77-4.45-4.93-7.33-3.69-8.90-16.19-42.57-14.56-21.15-21.12-29.31-24.050.61-0.59-7.290.380.82-3.70-10.83-4.19-10.16-11.00-22.83-13.45-14.65-20.44-23.91-9.69-16.04-34.77-51.41-34.08-32.66-45.05-32.79-
0.120.100.080.090.160.210.210.240.240.220.200.200.160.150.140.220.160.130.200.290.340.280.310.270.240.350.330.470.440.460.330.550.500.520.400.400.560.560.560.690.680.620.510.570.520.510.400.470.490.410.410.540.600.410.330.35----
1.280.940.710.731.662.332.652.772.502.392.743.353.234.995.133.422.232.473.614.123.824.425.153.942.953.042.792.332.392.931.412.331.861.661.151.221.942.031.693.254.303.512.762.751.832.341.502.092.671.361.303.923.534.002.654.07----
1.641.090.720.680.981.371.411.641.731.701.231.241.291.121.281.451.461.402.151.441.351.371.231.171.441.291.261.221.121.321.121.481.491.621.361.421.371.521.892.332.011.762.022.091.791.811.832.081.615.593.173.222.551.892.302.57----
54.8782.2912513391.5065.8563.9854.7652.1353.0473.0872.7569.9080.0670.4261.9161.7164.1741.8162.3166.8265.4673.4376.9862.4469.6071.5473.8280.4667.9580.3960.6160.3655.6666.0563.2265.9059.3447.6438.6044.7451.0744.4743.0650.4049.6749.1943.3755.8416.1028.4127.9935.3547.5539.0535.01----
4.911.22-1.742.1311.2316.1615.1418.6218.8217.0715.6612.233.376.734.3315.089.46-12.7821.8042.8620.429.0519.589.12-83.4912.4116.4632.2287.85507-311.94-1,014.45-183.36-134.25-73.53-38.081.18-1.24-14.370.861.91-8.16-17.11-6.99-15.62-14.42-21.63-13.67-14.24-16.2511.446.959.2014.5714.5112.76----
6.871.76-2.492.9915.7823.3822.1430.0035.4849.0016134.794.018.245.0816.9610.80-14.9026.3053.8032.4817.83-6.17-1.366.1210.9514.5522.1056.85180-776.57399-389.53-243.78-95.03-44.481.31-1.39-16.400.971.91-8.16-17.11-7.04-15.62-14.42-21.63-13.67-14.24-16.25-223.92-39.62-46.04-44.78-31.41-18.27----
1.400.34-0.500.623.214.544.344.994.263.162.292.530.981.871.446.083.60-4.746.6916.365.942.210.870.21-1.06-1.71-2.42-1.74-3.87-7.39-13.91-8.06-10.63-10.97-11.86-9.530.34-0.33-4.120.260.56-2.29-5.51-2.41-5.24-5.64-9.20-6.33-7.18-8.34-9.85-5.21-9.65-14.17-16.94-11.81----
2.150.52-0.760.925.157.236.777.596.354.673.393.811.372.601.9214.935.85-7.5911.2731.1212.284.893.480.79-3.77-108.54-96.61-12.67-23.43-31.01-44.09-59.76-56.77-134.25-73.53-38.081.18-1.24-14.370.861.79-7.41-15.25-6.19-13.64-12.57-18.53-11.85-13.17-14.80-30.87-12.78-18.70-23.76-26.04-16.42----
6.896.536.797.257.437.157.086.054.493.332.453.214.804.345.403.753.302.942.532.211.250.960.130.070.04-0.31-0.32-0.11-0.09-0.030.090.020.170.270.550.901.181.101.001.070.980.870.860.950.961.061.161.391.531.722.668.231.111.713.8245.65----
2.481.290.364.864.603.551.695.163.362.110.712.461.801.000.521.520.930.510.281.060.280.240.150.160.140.080.04-0.34-0.31-0.29-0.32-0.65-0.60-0.17-0.33-0.47-0.61-0.53-0.260.560.310.100.10-0.02-0.20-0.19-0.17-1.45-1.28-0.81-8.25-0.29-15.46-15.67-10.620.000.000.000.000.00
2.291.170.314.093.973.091.534.843.161.960.622.101.530.810.451.380.850.450.260.940.220.220.140.120.120.060.03-0.39-0.36-0.33-0.37-0.89-0.81-0.33-0.40-0.75-0.81-0.67-0.340.260.110.000.05-0.17-0.32-0.27-0.21-1.87-1.55-1.01-10.95-11.98-21.84-22.06-13.36-----