F5 Financial Ratios for Analysis 2009-2024 | FFIV

Fifteen years of historical annual and quarterly financial ratios and margins for F5 (FFIV).

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
2024202320222021202020192018201720162015201420132012201120102009
1.421.261.041.161.391.371.491.501.531.571.571.481.672.052.112.10
---0.130.14-----------
--0.140.160.17-----------
80.2078.9179.9881.0682.6584.1083.2883.0983.1082.6982.1082.9282.8581.9480.5078.15
23.3916.8014.9815.1316.6923.1227.3426.9827.4428.8028.5029.0830.9530.4426.0818.67
23.3916.8014.9815.1316.6923.1227.3426.9827.4428.8028.5029.0830.9530.4426.0818.67
27.1920.8019.2719.5720.7626.1830.0929.9130.2831.5431.1631.7833.5032.2628.7822.71
24.7017.2814.3014.8616.8624.1327.9327.5427.5629.2428.7129.5731.3831.3226.9420.16
20.1314.0411.9512.7213.0819.0720.9920.1318.3419.0117.9718.7219.9820.9617.1414.02
0.500.540.510.520.500.660.830.840.870.830.790.660.720.730.650.61
7.3016.547.8922.3614.6210.3711.8311.859.909.8512.6713.3013.5712.139.1410.33
7.246.195.747.657.946.967.327.167.446.877.157.257.446.957.876.11
50.4259.0163.6347.7445.9952.4249.8850.9849.0653.1351.0550.3249.0752.5046.4159.79
18.1114.1013.0514.0313.7724.2835.2934.2330.8727.7222.7318.0220.7021.8415.0611.46
69.3777.2115423182.3661.4562.1962.4858.1447.9838.3127.3228.0527.7219.6616.14
10.107.536.116.636.5712.6217.4116.9915.8615.7914.2412.4314.4015.3911.108.57
18.1114.1013.0512.2211.8224.2835.2934.2330.8727.7222.7318.0220.7021.8415.0611.46
53.8747.3041.2538.9136.5429.1821.3519.6418.1518.7718.6619.7016.8913.9712.4910.20
13.3510.847.2410.4010.7712.3712.2711.4310.479.447.216.316.215.123.872.52
12.849.946.699.909.7910.6611.4310.839.538.606.925.985.844.743.712.38

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
1.421.361.301.291.261.151.201.121.040.950.981.181.161.081.011.541.391.321.131.511.371.401.681.551.491.561.461.461.501.591.581.551.531.511.491.511.571.651.511.481.571.551.591.421.481.571.541.501.671.751.721.862.052.282.022.092.112.162.212.222.101.991.99
-----------0.130.130.140.150.130.140.150.16--------------------------------------------
--------0.140.150.150.150.160.170.190.160.170.180.20--------------------------------------------
80.7580.3879.2980.3180.0679.8477.8677.8778.9480.6280.0880.3481.1381.4480.0781.5981.7981.8282.6584.4384.6083.8983.8284.0583.3983.2283.1983.3083.1782.6683.0483.4883.8383.0183.0082.5083.1182.2982.5182.8582.3981.9581.9982.0783.0782.4782.7883.3482.7182.9083.0482.7582.2381.9681.7481.7981.5880.6679.9079.5379.1878.7276.27
25.5823.4520.5423.7524.2914.7415.0813.0215.3615.9311.7716.6118.5314.808.2918.8516.0415.0214.3521.4919.4318.2426.2129.1027.3028.0326.8827.1427.6626.8726.7326.6430.9627.9723.7626.7529.4428.9828.1428.5931.7028.6426.3926.8531.6728.1126.4029.8530.8531.1930.8230.9531.5730.3629.9829.6930.0126.0924.1922.8722.9219.7815.10
25.5823.4520.5423.7524.2914.7415.0813.0215.3615.9311.7716.6118.5314.808.2918.8516.0415.0214.3521.4919.4318.2426.2129.1027.3028.0326.8827.1427.6626.8726.7326.6430.9627.9723.7626.7529.4428.9828.1428.5931.7028.6426.3926.8531.6728.1126.4029.8530.8531.1930.8230.9531.5730.3629.9829.6930.0126.0924.1922.8722.9219.7815.10
---------------------------------------------------------------
27.2624.6821.4225.1824.7315.1515.4713.6914.2415.0111.4616.2618.1114.478.0818.7415.8615.0514.3222.4120.0119.0727.5730.4028.3028.4427.4027.5528.6027.3726.9827.1531.0128.1623.7926.9829.8229.1328.8329.1532.2028.9126.4026.9131.8528.8827.0130.2731.1031.6831.2431.5332.8731.0130.5430.6430.0327.6325.3123.7623.8821.7016.48
22.1420.7217.4719.9821.5212.6611.5810.3412.7612.318.8713.6216.2313.756.7014.0412.6311.9810.5217.3116.0615.2521.3024.0723.6122.6420.5616.9025.2318.8617.9718.2620.7418.4915.5918.3319.3619.2718.1619.2520.2118.0516.5816.7419.2818.4118.1119.0218.6820.5120.2120.6221.4921.5220.0220.7018.9717.5716.0815.3216.1914.3912.32
0.130.130.130.130.130.140.130.140.130.130.120.140.140.140.140.130.130.130.130.150.170.180.180.190.220.210.210.210.220.210.220.220.230.220.220.210.220.210.210.210.210.200.190.180.180.170.170.180.190.190.190.190.200.180.180.180.190.180.170.170.160.160.16
1.881.742.023.813.933.073.072.622.162.994.536.505.835.345.234.354.013.683.272.742.642.522.642.753.062.913.043.003.032.892.702.532.492.502.342.552.512.852.812.883.353.433.653.833.523.563.363.253.603.543.383.183.262.922.792.692.492.512.512.642.642.482.43
1.921.661.751.351.551.601.451.441.491.481.531.642.001.701.721.802.081.911.721.611.831.761.691.671.911.821.831.801.841.751.761.651.961.891.821.751.791.851.801.811.921.811.881.841.941.811.821.751.961.821.851.721.901.881.941.892.272.242.311.761.641.731.71
46.8954.3551.2966.6957.9056.3062.1662.3660.4260.8158.7854.9244.9452.8952.2249.9543.3647.0452.2456.0749.0951.1953.1053.9147.2449.3649.1050.0748.8451.2951.0354.6345.9447.7249.5351.3350.1748.5950.0649.7646.8649.6947.8848.8946.4949.8649.5451.4945.9749.4448.7752.4447.3947.9146.3347.5239.6940.1539.0451.1654.9752.1252.59
5.284.794.064.845.433.352.992.803.623.572.353.894.694.092.153.653.483.243.075.115.385.297.919.2910.349.708.947.2111.048.117.867.889.197.736.397.117.377.026.496.576.875.674.924.684.954.584.445.015.095.645.645.686.125.375.005.184.814.303.733.453.552.942.55
20.2320.6319.1724.1829.7424.1218.6422.4142.6113241.0064.5477.07-512.91-21.4316.3120.8023.6946.0811.4013.6215.3812.7415.3418.2117.2916.3513.1720.1615.0614.8214.7417.3114.5412.0712.7012.7612.1011.2111.1511.579.427.767.317.516.556.476.696.907.747.907.117.766.726.336.626.275.725.074.765.004.203.70
2.942.662.212.592.901.741.561.421.691.651.111.842.221.870.961.791.661.531.382.542.802.703.884.535.104.794.363.555.484.043.903.934.724.073.363.874.204.123.863.984.303.653.213.073.423.173.073.413.543.943.903.914.313.923.613.773.543.202.792.572.652.241.93
5.284.794.064.845.433.352.992.803.623.572.353.404.093.521.833.172.992.762.585.115.385.297.919.2910.349.708.947.2111.048.117.867.889.197.736.397.117.377.026.496.576.875.674.924.684.954.584.445.015.095.645.645.686.125.375.005.184.814.303.733.453.552.942.55
53.8751.6650.0548.6647.3044.8245.0842.9641.2539.0139.6439.6238.9136.3633.4338.9736.5435.2232.9631.7329.1827.0124.5823.4621.3520.8220.0719.8419.6418.9618.4818.4418.1517.9317.6318.3618.7718.6918.4418.6618.6618.8218.8219.1219.7019.0118.2217.6416.8916.2315.4014.7813.9714.4313.7813.3212.4911.7711.1710.7310.209.869.53
13.359.236.492.7710.847.694.922.617.244.773.531.4610.407.304.282.2110.777.905.332.3712.379.006.523.2612.279.036.043.0411.438.195.612.8810.477.554.972.929.446.974.522.527.215.033.162.046.314.462.851.836.214.352.931.655.123.632.381.263.872.801.880.922.521.801.22
12.848.826.182.629.947.044.532.396.694.353.271.299.906.924.052.139.797.124.752.0010.667.625.692.9211.438.465.792.9510.837.715.242.679.536.864.532.738.606.394.242.386.924.823.031.985.984.192.661.735.844.122.771.584.743.372.241.203.712.681.800.882.381.701.14