Fidelity National Information Services Financial Ratios for Analysis 2009-2024 | FIS

Fifteen years of historical annual and quarterly financial ratios and margins for Fidelity National Information Services (FIS).

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
0.750.790.740.800.841.190.921.361.481.551.411.471.231.291.35
0.400.340.240.240.260.460.420.510.550.430.390.380.410.430.26
1.000.740.430.410.410.880.811.061.220.760.660.650.720.790.38
37.4336.0435.8633.4936.0333.8833.1633.2533.3732.5332.5031.7430.3330.9426.13
14.9412.5311.144.409.3817.3116.5213.9216.6619.8217.5318.5718.6615.227.70
14.9412.5311.144.409.3817.3116.5213.9216.6619.8217.5318.5718.6615.227.70
42.4752.4254.4534.2333.2634.3732.5027.1926.9729.8927.9930.0030.6627.5219.53
6.759.687.702.124.0013.1111.269.4815.7216.4213.5814.2912.9211.624.41
-67.75-172.034.471.262.8810.0414.555.959.5810.598.137.968.357.862.85
0.180.150.110.150.120.350.350.340.250.440.430.430.410.360.27
---------------
3.733.391.151.661.453.223.263.682.683.763.905.195.574.803.94
97.8910831821925111311299.1513697.0793.6470.3365.5675.9992.61
2.652.260.680.330.618.6211.965.556.9910.737.648.227.445.941.28
-27.9610.46-1.55-0.77-1.39-10.68-15.18-5.15-5.45-16.52-13.00-13.92-10.58-9.30-5.16
0.920.970.390.200.363.715.282.102.514.943.694.123.572.750.78
1.581.490.520.250.454.666.982.733.166.114.655.064.423.390.94
32.7646.0777.7679.5480.5531.2632.4930.0229.0323.4923.1823.1022.7121.7322.75
7.346.527.757.085.346.005.185.833.914.033.603.523.823.042.98
5.444.225.735.283.514.133.363.972.482.742.462.522.842.152.10

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
1.181.351.520.750.760.740.740.790.770.690.740.740.790.820.810.800.780.711.050.840.863.001.031.191.341.380.980.921.251.491.091.361.201.051.091.481.561.481.471.551.741.671.581.411.581.791.501.471.551.921.601.231.061.061.051.291.251.331.271.351.191.241.42
0.390.380.370.410.400.400.340.340.230.200.230.240.250.250.250.240.240.230.280.260.260.630.460.460.470.460.430.420.470.480.480.510.520.520.530.550.430.440.440.430.430.420.410.390.410.410.390.380.390.410.410.410.390.390.400.430.430.240.250.260.330.350.38
0.660.660.621.000.960.960.740.740.420.400.410.430.420.400.400.410.410.410.410.410.411.830.930.880.890.840.860.810.900.970.951.061.111.161.191.220.750.770.800.760.750.730.710.660.710.700.680.650.670.710.720.720.720.710.740.790.790.340.360.380.530.590.66
38.0238.2137.0939.1538.5637.3434.54-121.5136.4839.9335.8049.0837.9038.5634.2836.3834.1930.9332.1340.5434.8733.5232.8636.4634.5532.8631.5635.5033.8732.6830.5940.3233.8730.5928.7934.2435.2832.5831.1933.9233.0731.6831.3032.7233.6631.8231.8031.6832.5832.6729.9932.3130.9629.9928.0031.4134.3729.7227.9028.9326.9524.8922.13
19.0715.1914.6313.3618.8614.4812.9732615.9010.064.50-50.813.9410.453.075.047.231.553.513.684.9618.5115.3121.6416.4116.7614.2319.9018.3716.3911.4517.8817.2412.288.4413.8121.4118.0813.8320.8220.1619.3718.8214.0821.1816.4418.6119.0320.0419.4015.7421.5119.5418.0115.4618.5012.8814.4815.17-3.3016.1613.6810.05
19.0715.1914.6313.3618.8614.4812.9732615.9010.064.50-50.813.9410.453.075.047.231.553.513.684.9618.5115.3121.6416.4116.7614.2319.9018.3716.3911.4517.8817.2412.288.4413.8121.4118.0813.8320.8220.1619.3718.8214.0821.1816.4418.6119.0320.0419.4015.7421.5119.5418.0115.4618.5012.8814.4815.17-3.3016.1613.6810.05
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15.1012.945.273.8712.804.705.5591.4013.429.605.01-39.955.7618.39-14.523.084.471.08-0.36-5.487.419.429.1418.419.7913.1110.8916.855.6812.539.7312.9712.738.204.139.3917.8625.3911.3218.4014.4016.6716.0811.3018.669.0815.4615.4116.1715.3910.0612.3915.1613.3410.7912.499.7411.9712.46-6.1312.4910.566.27
8.729.7629.3510.49-18.50-272.115.84-18,673.1210.317.453.44-33.604.519.81-11.573.140.630.640.49-4.735.467.297.1913.757.3910.078.8143.122.816.166.018.068.015.252.525.6511.0815.127.1411.569.3811.1810.164.5711.496.939.759.196.0410.336.168.189.758.746.718.698.077.077.58-4.288.167.144.16
0.070.070.070.050.050.050.040.000.030.050.04-0.010.040.040.040.040.040.040.040.040.030.060.090.090.090.090.080.090.090.090.090.080.090.090.080.070.110.110.110.120.110.110.110.110.100.110.110.110.110.100.100.100.100.100.100.090.100.090.090.090.110.110.11
---------------------------------------------------------------
0.910.920.901.020.940.300.290.030.300.460.44-0.110.430.460.420.440.450.430.470.470.370.910.790.830.820.870.800.810.891.000.880.850.940.940.870.760.930.920.860.990.960.910.891.010.841.351.361.331.361.371.351.421.391.351.321.191.551.411.341.341.211.211.13
98.4798.0310088.4295.312973152,771299196206-846.6920919621220520021119019124199.2911410911010311311110189.7610210695.5096.1710311896.8297.9510590.9294.1199.1310189.0310766.6566.2967.5365.9565.4666.4763.5764.8166.8468.1175.7857.9463.6967.1867.3174.3074.6379.63
1.491.430.100.401.280.420.35-0.030.490.600.260.400.340.71-0.760.210.040.040.04-0.320.321.551.503.031.602.071.798.720.681.471.351.761.961.280.621.182.763.781.823.132.412.782.441.232.681.432.252.232.262.341.401.832.181.861.441.701.321.111.13-0.581.691.480.88
-6.01-6.71-0.65-4.10-18.36-0.45-0.50-0.12-1.23-1.50-0.60-0.91-0.77-1.631.74-0.48-0.10-0.10-0.090.72-0.72-1.89-1.77-3.76-1.93-2.60-2.21-11.06-0.73-1.53-1.30-1.63-1.65-1.04-0.49-0.92-4.42-5.81-2.68-4.82-3.93-4.73-4.14-2.10-4.61-2.37-3.75-3.77-3.75-3.86-2.10-2.61-3.15-2.73-1.98-2.67-1.76-3.52-3.292.33-3.91-3.10-1.66
0.720.700.050.140.470.160.16-0.010.280.350.150.230.200.42-0.450.120.030.030.02-0.190.190.470.621.300.690.910.783.840.280.590.540.660.730.470.220.421.281.730.811.441.121.291.140.591.260.701.121.121.131.140.680.881.060.910.690.790.630.700.70-0.350.920.770.44
0.910.880.060.240.770.250.23-0.020.380.480.200.300.260.53-0.570.160.030.030.03-0.240.240.580.811.640.851.121.025.090.370.760.710.870.940.620.290.531.572.141.011.781.381.611.430.751.580.841.361.371.371.380.821.091.331.150.870.970.750.840.85-0.431.140.950.54
30.5231.0432.0232.6932.9134.2445.7846.0775.8176.5076.9877.7678.6678.3278.1879.5479.1079.3879.8480.5580.1530.8430.6631.2630.9931.8632.1532.4930.3030.1430.3630.0229.7429.3829.2029.0323.4123.1922.8823.4923.2323.4823.2923.1823.3723.1123.2323.1023.1623.0422.9222.7122.5822.5722.0821.7321.4422.9222.8622.7520.9320.3219.48
2.541.350.367.342.201.300.496.524.613.141.467.755.972.991.357.084.822.580.615.343.322.510.906.003.892.471.065.183.211.581.365.834.072.491.183.912.461.560.804.032.391.660.763.602.311.240.703.522.411.550.693.822.601.680.843.042.321.160.712.982.601.720.85
1.390.660.015.441.210.670.174.222.831.910.795.734.562.000.875.283.491.670.123.512.281.640.464.132.491.520.543.361.880.690.903.972.721.600.732.481.380.790.452.741.441.010.452.461.490.710.452.521.651.030.472.841.881.230.612.151.650.810.562.101.851.220.61