Equinix Financial Ratios for Analysis 2009-2024 | EQIX

Fifteen years of historical annual and quarterly financial ratios and margins for Equinix (EQIX).

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
1.131.801.841.291.331.001.811.431.972.321.631.171.702.452.31
0.540.560.550.530.560.600.590.600.670.670.620.560.590.520.55
1.281.311.261.171.341.551.471.552.382.051.691.301.591.091.26
48.3748.3547.6748.7549.4848.6349.8049.5952.6250.9850.5649.9547.0545.4845.22
17.6316.5316.7017.5521.0319.2718.5217.1320.8120.8421.4120.8219.5416.1820.52
17.6316.5316.7017.5521.0319.2718.5217.1320.8120.8421.4120.8219.5416.1820.52
40.3940.6841.9241.5444.3643.7442.9440.8440.6841.3142.6143.1743.8040.2742.31
13.7311.429.188.6112.458.546.574.437.743.475.229.998.294.0812.35
11.849.707.546.169.127.205.333.516.89-10.624.407.426.053.087.87
0.250.240.240.220.230.250.230.290.260.310.290.310.270.270.29
---------------
8.168.499.738.868.078.057.589.129.349.3111.6511.5211.2610.2813.63
44.7542.9937.5041.1845.2245.3548.1540.0439.0939.2231.3431.6932.4235.5026.79
7.766.124.593.485.745.063.402.626.84-11.493.915.624.731.935.87
19.2017.8213.9812.3725.9373743917.3212.88-23.277.8012.169.863.799.25
2.972.321.791.372.121.801.250.911.81-3.351.282.121.600.812.29
3.542.672.041.632.552.021.391.042.26-3.821.472.471.960.932.67
13212412011910489.4386.6661.1444.2140.2149.5947.4341.8340.7330.08
34.2232.2728.1726.1323.5322.6418.5614.3915.3013.1712.0612.2012.268.778.96
1.367.48-2.191.831.21-5.620.1710.30-0.200.24-0.84-3.03-2.63-4.49-0.35

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
1.161.221.101.132.052.022.281.802.372.041.911.841.631.871.551.291.071.551.261.331.551.591.561.001.241.292.361.812.111.695.461.431.111.341.371.970.851.632.162.321.281.691.821.631.731.811.581.171.182.061.631.702.031.052.022.452.872.974.162.312.552.731.39
0.530.560.540.540.570.560.560.560.570.580.560.550.560.560.550.530.490.530.560.560.540.540.560.600.610.620.610.590.600.580.580.600.580.580.570.670.750.670.680.670.600.590.630.620.620.620.610.560.560.580.570.590.570.490.510.520.530.540.630.550.560.560.54
1.301.351.291.281.331.301.301.311.311.401.271.261.301.301.251.171.171.361.351.341.231.231.301.551.591.641.561.471.531.421.411.551.501.491.492.383.112.142.162.051.531.471.701.691.651.711.931.301.321.401.501.591.511.091.071.091.151.181.781.261.321.331.28
50.1149.8848.7148.2748.1347.4549.6548.1149.2248.8147.2046.6547.1347.8249.1746.8949.4749.7149.0348.8049.5849.5949.9748.7948.5648.3548.8148.3749.4651.0350.6150.5749.1449.2549.3451.8252.6052.5653.6250.8850.9951.6150.4352.2350.4849.4949.9049.9548.2450.7351.0250.1546.1745.4146.4046.7343.8545.0946.4947.6144.6344.3943.88
19.3120.1917.1116.4118.4916.4419.2215.0818.1017.4915.4114.6316.8416.8118.6514.6218.9719.2217.5522.0920.4321.0720.5020.6620.7017.0418.5819.3319.5117.3417.6119.5718.3816.8413.3518.6020.5220.9023.5520.0321.7820.6120.9722.1321.2121.9320.3019.3619.1522.3322.7320.6018.9718.9619.6416.6215.7513.5919.3020.9420.0219.2521.94
19.3120.1917.1116.4118.4916.4419.2215.0818.1017.4915.4114.6316.8416.8118.6514.6218.9719.2217.5522.0920.4321.0720.5020.6620.7017.0418.5819.3319.5117.3417.6119.5718.3816.8413.3518.6020.5220.9023.5520.0321.7820.6120.9722.1321.2121.9320.3019.3619.1522.3322.7320.6018.9718.9619.6416.6215.7513.5919.3020.9420.0219.2521.94
---------------------------------------------------------------
15.9016.1213.0212.8114.3612.0915.729.5013.3812.3810.409.6712.253.0111.825.906.3712.1110.3211.4612.7913.8011.7610.3911.175.866.557.847.125.175.848.827.745.90-5.681.197.6810.0612.85-8.1111.851.339.478.3810.16-6.618.679.318.0411.9010.937.336.209.849.993.084.790.069.2011.3011.4913.3313.58
13.4913.9410.8610.7713.3910.2512.966.8811.5111.908.507.229.094.129.803.264.399.078.228.828.6510.368.668.409.725.365.175.436.934.304.436.555.564.97-3.691.475.998.9311.89-55.656.901.877.148.007.82-4.886.368.385.567.977.794.654.987.786.934.283.39-0.775.717.318.278.187.76
0.060.070.070.060.070.060.060.060.060.060.060.060.060.060.060.060.060.050.060.060.060.060.060.060.060.060.060.060.060.060.060.070.070.070.060.070.090.090.080.080.080.080.080.080.070.070.070.080.080.080.080.070.070.080.080.070.070.070.070.080.080.080.08
---------------------------------------------------------------
1.961.921.972.102.002.012.192.192.362.242.222.502.112.282.332.312.152.132.102.061.871.841.942.081.942.051.882.081.931.952.212.382.452.602.592.502.342.272.312.432.252.542.723.062.722.632.793.062.662.692.802.872.832.813.182.762.862.793.573.753.373.173.32
45.9246.8645.6642.8245.0144.8541.1441.1538.0840.2540.5035.9642.5639.4338.6138.9441.7842.3442.8143.7748.1048.9146.4743.2946.4443.9747.7843.2246.6546.0640.7637.8336.7534.6834.8035.9738.4239.7438.8937.0339.9335.3733.1429.4633.0934.2632.2929.3733.7833.4232.2031.3331.7931.9828.3132.6131.5032.3025.2424.0326.7328.4227.11
2.182.451.881.822.321.722.151.121.902.031.351.131.440.641.480.480.631.281.371.411.381.641.401.521.740.980.880.951.220.700.651.461.050.84-0.770.392.762.703.54-15.641.650.381.641.851.74-1.091.421.361.191.801.680.841.001.491.270.700.60-0.131.201.501.661.601.66
4.725.924.574.506.044.625.813.265.477.063.943.454.792.155.041.701.984.047.286.386.098.108.57222-164.78-17.5221.05123-410.83-54.451.539.646.955.41-6.070.7410.785.597.34-31.693.030.693.203.683.46-2.272.942.952.693.503.341.742.013.062.401.371.22-0.271.822.362.672.662.82
0.840.920.720.700.870.660.830.430.720.740.530.440.550.250.570.190.250.480.500.520.530.630.520.540.620.340.320.350.440.260.240.500.370.30-0.280.100.530.760.99-4.560.580.130.530.610.58-0.360.440.510.440.650.590.280.350.620.540.290.25-0.050.390.580.640.610.64
1.031.090.860.831.000.750.940.490.830.850.600.500.630.280.670.220.320.600.600.630.630.750.620.610.690.380.350.390.490.290.270.580.450.35-0.330.130.700.891.13-5.200.660.150.610.690.66-0.410.550.600.520.760.720.350.420.760.620.340.28-0.060.440.680.730.700.75
14112913013212712912912412111712012011711911811911811710110410310310089.4389.0787.0989.8786.6683.6283.7083.6661.1464.7866.2069.4144.2125.9938.6737.9840.2148.7250.4450.5249.5949.2846.7847.4747.4345.9442.9143.4641.8342.7043.8942.4640.7340.3138.3929.8430.0829.1028.3024.59
23.6915.876.2834.2223.5515.277.4132.2723.9115.156.3728.1718.3010.994.3526.1318.1412.426.0023.5317.1011.375.1322.6415.6510.533.7818.5612.007.053.3714.3910.005.441.5415.3011.437.744.0713.178.825.243.2212.068.174.691.5712.208.136.132.4712.268.345.092.498.775.783.602.458.966.844.212.24
1.562.91-1.151.363.793.162.517.4810.457.713.99-2.19-3.31-3.92-2.521.830.571.430.921.210.401.280.63-5.62-3.53-0.90-0.800.17-0.24-0.93-0.3310.3011.01-0.99-1.27-0.200.590.620.780.240.88-0.230.92-0.84-0.140.600.16-3.03-2.39-0.40-0.38-2.63-2.49-2.56-1.53-4.49-3.56-3.11-1.07-0.350.13-0.36-0.57