Fujitsu Financial Ratios for Analysis 2009-2024 | FJTSY

Fifteen years of historical annual and quarterly financial ratios and margins for Fujitsu (FJTSY).

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
1.451.501.471.451.381.441.411.291.271.241.281.101.201.171.200.13
0.050.060.060.080.130.130.180.260.300.300.370.230.220.220.290.06
0.130.120.170.200.300.250.330.480.580.620.800.630.440.550.680.73
31.0130.8131.1930.0928.7627.1427.6226.9926.4126.9626.6527.4727.6527.7726.56-
4.279.046.117.425.483.294.452.862.543.792.992.172.362.932.02-
4.279.046.117.425.483.294.452.862.543.792.992.172.362.932.02-
9.2113.8611.3112.3211.037.308.597.036.837.746.696.256.717.526.97-
4.7410.016.698.135.924.095.923.002.784.181.95-1.031.492.262.41-
6.785.795.095.654.152.654.131.961.833.051.02-1.660.961.221.99-
1.071.141.081.131.211.271.311.411.471.451.551.441.521.501.45-
8.677.637.9710.5911.5412.7412.2811.2311.6711.0610.589.849.679.5810.66-
3.703.673.813.953.973.853.904.234.394.214.864.965.035.255.17-
98.7199.5295.7492.4092.0594.7193.6386.2983.0786.7575.1373.6372.5969.5070.62-
13.9014.1012.4213.8011.898.8313.959.359.7613.856.75-6.775.706.036.39-16.34
16.4115.9513.8915.4113.3110.0816.2911.5712.5317.759.18-8.527.488.209.059.68
7.597.506.406.695.033.575.382.992.803.961.54-2.021.871.901.88-13.24
13.1513.2811.6312.6410.317.6911.426.946.889.654.23-5.214.424.704.50-15.31
7.206.827.777.316.205.575.274.623.72-------
1.140.841.121.451.580.440.881.131.021.230.850.421.471.451.441.21
0.430.260.470.840.97-0.090.290.230.250.360.35-0.200.660.790.930.44

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.451.451.521.551.501.501.561.581.521.471.521.511.521.451.441.401.401.381.411.411.451.441.471.451.431.411.371.371.341.291.281.281.261.271.211.241.231.241.191.281.261.281.231.161.191.101.181.171.171.201.151.171.171.171.181.181.141.201.161.201.141.22
0.050.050.060.050.060.060.060.060.060.060.080.080.090.080.090.100.110.130.150.170.190.130.160.150.150.180.200.230.240.260.280.310.320.300.310.330.310.300.330.380.400.370.350.320.350.230.230.210.220.220.230.230.240.220.250.240.240.290.310.340.340.35
0.150.130.130.120.130.120.150.140.150.170.180.180.200.200.240.270.300.300.360.360.370.250.290.290.310.330.430.470.500.480.650.660.720.580.760.730.670.620.820.770.940.800.890.880.910.630.630.510.640.440.690.610.650.550.680.590.700.680.850.810.911.05
29.3034.2331.3729.9027.7233.9129.9229.4629.0833.5930.1829.8930.6731.9229.9830.0227.8929.9828.8128.9226.8730.2326.1426.3025.1829.7926.0527.4226.7228.4926.8727.1424.9929.8025.6324.9623.5728.8826.9427.8126.3728.1926.1026.9525.7532.2629.8227.7825.5829.2325.7227.7527.5027.5527.1927.7827.2626.9527.8126.5225.3027.03
2.5810.400.365.09-0.2115.047.768.503.137.037.405.554.2110.3410.454.822.778.095.466.840.405.44-2.941.629.1712.181.052.300.545.343.353.38-1.519.872.391.27-2.569.05-1.69-1.970.306.67-0.222.92-1.38-0.08-15.512.94-0.287.521.772.94-4.284.863.225.791.865.682.931.66-6.672.11
2.5810.400.365.09-0.2115.047.768.503.137.037.405.554.2110.3410.454.822.778.095.466.840.405.44-2.941.629.1712.181.052.300.545.343.353.38-1.519.872.391.27-2.569.05-1.69-1.970.306.67-0.222.92-1.38-0.08-15.512.94-0.287.521.772.94-4.284.863.225.791.865.682.931.66-6.672.11
--------------------------------------------------------------
3.1910.800.085.661.0715.487.9410.414.687.917.835.804.9411.9710.745.073.238.445.837.530.756.00-2.652.0911.1814.391.305.190.805.163.783.57-1.358.291.691.16-1.588.903.642.980.985.141.032.50-1.863.49-9.292.52-2.555.730.151.44-2.743.332.012.920.234.341.386.62-3.93-6.73
2.0321.10-1.263.670.549.494.386.172.115.718.103.343.018.277.523.492.265.403.935.710.854.52-3.040.878.399.641.194.130.234.351.832.36-1.427.320.450.25-1.776.362.361.540.643.281.001.04-2.201.36-7.541.14-2.493.19-0.402.37-2.071.441.511.590.163.400.366.34-2.80-6.43
0.240.310.290.280.250.340.300.280.260.300.280.280.260.330.300.280.270.350.300.320.280.360.330.310.280.380.340.320.300.400.350.370.330.430.370.370.340.390.350.360.350.450.370.390.350.350.320.400.340.440.380.390.330.440.370.390.350.430.360.360.310.39
1.712.381.701.691.492.171.621.591.622.181.832.022.033.022.232.192.323.251.982.422.223.492.452.582.303.442.562.422.273.072.262.462.263.212.302.442.202.912.192.282.203.032.162.271.982.521.942.231.862.732.022.171.892.801.952.112.113.112.062.162.033.08
1.361.061.371.331.301.091.351.321.351.081.441.411.501.161.361.281.311.131.341.281.281.101.351.281.161.131.111.121.151.191.131.201.231.291.181.211.151.141.131.281.351.401.301.471.421.211.191.531.431.461.421.571.351.531.421.501.451.521.371.461.261.49
66.0384.6165.6667.8169.3482.4366.8368.0066.5583.3562.2963.8860.2077.6766.3070.3768.8679.3067.2070.1370.4081.5366.8370.0777.6879.9780.7980.7278.0075.8179.3575.1373.3669.8276.5274.3978.1479.2279.6970.4466.8864.1769.3361.3263.2074.6575.7358.6363.0961.7363.1657.3066.5558.8563.4260.1761.8659.2765.4761.7371.4560.56
1.0112.04-0.502.070.356.212.773.601.573.804.882.371.895.874.982.291.434.512.814.380.454.11-2.440.796.069.510.794.030.105.352.563.42-1.7410.990.590.33-2.088.743.222.160.966.431.421.56-2.971.60-7.951.37-2.664.27-0.492.87-2.171.991.811.930.184.920.468.09-3.16-8.67
1.2014.22-0.602.410.407.033.134.031.764.255.452.652.126.555.592.581.605.053.164.930.514.69-2.810.916.9911.100.954.840.126.613.244.46-2.3114.100.770.43-2.6911.194.312.941.348.751.852.06-3.972.01-10.191.79-3.515.60-0.653.85-2.962.712.492.670.256.980.6812.13-4.89-11.23
0.576.58-0.271.160.193.301.522.010.861.962.571.230.972.852.351.040.641.911.191.810.181.66-0.970.332.493.670.301.410.031.710.770.98-0.473.150.170.09-0.602.500.820.550.231.470.370.41-0.760.48-2.380.46-0.851.40-0.150.92-0.680.630.560.610.061.450.132.29-0.86-2.49
0.9511.40-0.471.950.335.852.613.401.473.564.512.181.725.384.522.061.273.922.393.650.363.58-2.050.675.137.790.643.120.083.971.832.36-1.177.750.410.22-1.436.092.171.330.584.030.921.06-1.921.23-6.131.09-2.063.31-0.372.21-1.661.551.351.470.143.470.325.36-2.09-5.61
6.787.206.366.686.966.826.336.576.817.777.347.277.157.316.866.366.246.205.975.915.555.575.205.665.645.274.864.754.474.624.214.06------------------------------
0.601.140.550.500.650.840.280.320.491.120.870.790.881.450.960.740.691.580.980.530.520.440.070.200.470.880.310.240.361.130.420.200.281.020.130.130.121.230.440.410.140.850.030.020.100.420.120.37-0.061.430.170.33-0.060.000.390.470.261.550.730.670.161.20
0.490.430.040.160.530.26-0.140.040.330.470.390.480.730.840.510.460.570.970.530.250.41-0.09-0.33-0.070.340.29-0.12-0.060.230.23-0.22-0.290.100.25-0.35-0.21-0.030.36-0.17-0.02-0.030.35-0.33-0.240.01-0.20-0.330.07-0.190.64-0.46-0.07-0.23--0.070.130.101.000.340.400.040.44