Etsy Financial Ratios for Analysis 2012-2024 | ETSY

Fifteen years of historical annual and quarterly financial ratios and margins for Etsy (ETSY).

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
202320222021202020192018201720162015201420132012
2.212.402.184.174.896.074.294.424.483.074.00-
1.301.300.790.600.670.460.140.150.150.270.00-
-4.39-4.373.801.502.080.850.180.200.200.370.01-
69.8570.9871.9073.0766.8868.4065.7866.2164.5462.3561.7867.17
10.18-25.6620.0024.5710.8512.392.704.82-0.69-3.200.59-1.82
10.18-25.6620.0024.5710.8512.392.704.82-0.69-3.200.59-1.82
13.50-21.9023.1827.9416.9617.028.9615.7312.425.6410.508.83
10.65-25.8020.2521.199.859.127.31-0.79-10.24-5.250.05-3.39
11.19-27.0621.1920.2411.7212.8418.54-8.19-19.77-7.79-0.64-3.54
1.020.970.610.720.530.670.730.630.490.791.18-
------------
9.479.809.4110.1912.5618.125.636.496.927.537.63-
38.5337.2538.7835.8329.0720.1464.8056.2552.7648.4847.86-
-56.5712778.5147.0423.5819.3320.61-8.67-16.36-22.72-19.89-
-27.0056.89-36.5784.3314023.5723.09-9.91-18.03-13.73-1.02-
11.45-26.3512.8814.526.228.5913.51-5.14-9.78-6.19-0.75-
16.72-37.7716.3718.887.7010.4817.74-7.34-13.87-7.59-0.94-
-4.57-4.384.955.903.443.353.262.972.943.332.55-
5.035.394.444.981.651.570.570.420.360.300.510.32
4.755.154.254.921.511.120.460.000.140.06-0.02-0.14

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312012-12-31
2.392.412.492.212.452.812.692.402.722.932.682.182.296.614.434.174.984.275.714.896.114.474.876.075.495.876.624.294.264.264.384.424.564.654.404.485.026.573.043.07-----
1.361.361.321.301.351.241.291.301.340.800.780.790.810.810.660.600.620.620.680.670.680.440.450.460.460.470.460.140.160.180.180.150.150.150.150.150.150.150.290.27-----
-3.83-3.76-4.09-4.39-3.84-5.15-4.42-4.37-3.944.113.533.804.354.381.981.501.671.642.102.082.160.790.830.850.860.910.870.180.210.240.240.200.190.200.200.200.190.190.420.37-----
71.9871.5871.0369.6470.3270.0069.5072.0370.6670.7070.1470.8671.1471.8374.0575.5873.3874.0263.8666.3665.1767.6468.9071.4568.7865.7065.8567.5565.8064.8764.2366.4266.5265.9165.9065.6563.2264.3064.6364.9361.9759.2062.02--
13.1110.8310.5413.7113.92-0.3812.2017.26-160.6112.4014.5619.8415.7316.8527.3626.1326.1727.7911.129.277.199.8618.6914.7412.469.6411.4113.426.98-11.52-2.173.133.055.478.299.58-2.54-6.18-8.270.25-6.41-8.931.03--
13.1110.8310.5413.7113.92-0.3812.2017.26-160.6112.4014.5619.8415.7316.8527.3626.1326.1727.7911.129.277.199.8618.6914.7412.469.6411.4113.426.98-11.52-2.173.133.055.478.299.58-2.54-6.18-8.270.25-6.41-8.931.03--
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11.1412.1912.3312.9615.240.8612.6815.84-159.6412.5014.8420.1315.7416.2128.6424.8320.0226.204.258.435.109.0418.5611.449.713.4910.7413.4012.452.19-1.52-15.062.24-3.5718.092.40-4.26-2.35-44.17-3.47-8.81-8.37-0.62--
8.668.189.759.8913.819.8511.6313.57-162.0012.5014.8722.5316.8918.5826.1124.0620.3222.495.4911.597.4810.0618.6520.6213.232.5510.7232.8424.2511.47-0.43-19.40-2.74-8.571.46-4.81-10.49-10.35-62.49-8.53-13.17-7.41-1.14--
0.270.260.260.310.260.240.260.310.240.160.150.190.150.160.220.260.200.240.150.180.130.180.170.220.170.150.140.230.190.180.180.190.150.150.150.160.120.120.180.26-----
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3.662.592.522.902.642.582.803.082.742.922.742.902.783.383.043.643.483.563.414.143.962.412.266.001.511.651.511.741.471.691.631.961.592.011.832.221.992.462.202.50-----
24.6234.7135.6831.0034.1434.8832.1129.1932.8930.8732.9131.0632.3826.6629.6024.7025.8525.2726.4021.7222.7237.3639.8814.9959.7754.5059.4651.7461.2253.1755.1545.9356.6044.7949.1640.4845.2736.6040.9136.02-----
-9.19-8.35-10.79-15.31-14.11-13.34-13.80-20.0215912.5812.7225.7016.8518.5121.0320.0113.7618.403.087.703.804.127.5210.295.040.913.3711.287.413.79-0.14-6.20-0.70-2.200.36-1.28-2.13-1.95-66.64-8.25-----
-4.75-4.39-5.40-7.31-7.24-5.75-6.15-8.9876.48-5.90-6.71-11.97-6.1446.3839.7535.8627.1649.7717.0045.5730.404.909.0412.546.211.153.7912.638.454.39-0.17-7.09-0.81-2.410.40-1.41-2.37-2.17-35.74-4.99-----
2.352.172.523.103.592.412.984.16-39.302.032.304.222.572.995.766.184.145.470.832.030.991.783.224.572.190.391.497.394.492.11-0.08-3.68-0.42-1.330.22-0.77-1.28-1.20-11.04-2.25-----
3.263.033.504.534.993.224.045.96-54.152.472.815.363.163.457.098.035.197.001.002.511.212.334.165.582.720.481.829.716.243.11-0.12-5.25-0.59-1.860.31-1.09-1.81-1.65-19.24-2.76-----
-5.53-5.51-4.99-4.57-5.20-3.77-4.39-4.38-4.824.595.334.954.224.195.395.905.314.403.443.443.293.683.503.353.283.103.213.262.882.622.542.972.992.932.922.942.882.913.013.33-----
3.351.650.515.032.951.360.395.393.101.270.414.442.451.861.034.983.161.860.241.651.020.620.241.570.750.530.210.570.260.130.030.420.260.170.020.360.170.140.200.280.280.170.180.000.00
3.091.500.444.752.761.240.335.152.901.150.344.252.331.801.004.923.131.840.231.510.910.560.211.120.370.180.180.460.170.04-0.030.00-0.11-0.11-0.090.140.020.040.110.060.120.050.10--