Fortinet Financial Ratios for Analysis 2009-2024 | FTNT

Fifteen years of historical annual and quarterly financial ratios and margins for Fortinet (FTNT).

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
1.191.241.551.501.901.771.671.861.872.031.781.781.961.921.90
1.881.400.55------------
-2.14-3.521.24------------
76.6875.4476.5778.0376.6175.0474.2373.5171.5970.0170.6472.3773.8073.7672.24
23.4021.9519.4620.5016.2312.997.353.361.477.7011.7218.8320.5017.0410.05
23.4021.9519.4620.5016.2312.997.353.361.477.7011.7218.8320.5017.0410.05
30.0329.4727.4628.5023.7921.0811.227.545.3411.6916.1523.4225.0021.0612.73
25.1421.6318.8020.8817.8514.098.293.381.687.9912.3419.6821.2417.3510.91
21.6419.4118.1618.8315.3418.562.102.520.793.297.2012.5214.4112.7020.19
0.730.710.560.640.560.590.660.600.560.540.530.550.590.600.65
2.554.104.454.084.295.004.983.163.423.333.717.006.996.306.57
3.783.504.143.603.974.064.294.073.894.174.724.964.544.494.62
96.4710488.2110191.8589.9185.0289.5893.8787.5377.4073.6380.4181.3278.98
-247.69-304.1975.9957.0724.7133.155.333.841.063.757.5613.0817.4417.7442.25
-183.59-183.9899.5166.7926.6635.265.624.031.093.787.6913.1417.4417.7442.25
15.8113.7510.2512.088.5510.881.391.500.451.783.796.858.517.5615.54
21712133.9557.0724.7133.155.333.841.063.757.5613.0817.4417.7442.25
-0.61-0.360.991.051.561.190.700.970.880.810.730.640.460.310.21
2.462.151.801.290.920.730.670.390.320.230.180.220.160.130.10
2.201.801.441.140.820.670.520.320.280.190.160.190.160.130.09

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
1.341.321.201.191.301.391.341.241.071.121.281.551.801.962.011.501.451.371.321.901.841.821.841.771.871.741.691.671.811.811.891.861.861.851.871.872.082.112.142.032.061.891.981.781.921.871.851.781.721.852.041.962.001.851.711.921.891.751.781.90---
0.520.781.161.880.930.760.991.402.701.620.810.550.470.480.50------------------------------------------------
1.093.45-7.22-2.1413.383.0986.92-3.52-1.59-2.614.241.240.890.941.01------------------------------------------------
82.5380.8377.4877.6876.2077.1275.6276.8375.3875.6573.4276.3175.6576.6777.9577.6778.6278.1377.7277.3677.3675.4176.0974.8275.4174.3775.6474.7074.9973.6773.4074.9673.2272.8672.7272.3572.4371.0270.1270.7070.5868.6369.9769.6271.6070.3571.1972.5872.2571.2173.5273.1273.2574.2274.8974.1274.7673.5872.2470.4473.5372.3272.96
31.2230.4823.7327.2322.7221.5821.6727.8923.1018.9615.8122.3019.1918.4117.1222.6519.4919.2420.2020.0818.3514.4110.7117.3413.8411.498.1210.139.017.841.5912.451.73-1.30-1.304.34-0.711.230.428.897.996.057.5913.9011.829.3411.3323.1818.9116.2515.9621.9422.4718.2318.7022.1121.3712.819.6110.5214.698.115.96
31.2230.4823.7327.2322.7221.5821.6727.8923.1018.9615.8122.3019.1918.4117.1222.6519.4919.2420.2020.0818.3514.4110.7117.3413.8411.498.1210.139.017.841.5912.451.73-1.30-1.304.34-0.711.230.428.897.996.057.5913.9011.829.3411.3323.1818.9116.2515.9621.9422.4718.2318.7022.1121.3712.819.6110.5214.698.115.96
---------------------------------------------------------------
41.5432.6525.5229.3724.5623.1423.0628.7023.0317.8514.5321.5118.0718.1016.8122.9519.7220.0320.4121.5819.3416.4512.7618.7115.5511.679.2010.8010.169.052.3811.982.08-1.19-1.144.40-0.451.450.778.988.166.468.1414.4011.9010.1812.5023.9919.6517.2316.8322.6523.3018.8619.4522.5221.5013.459.6311.0415.248.528.19
35.8026.4822.1221.9724.1920.6019.6224.4620.1516.8414.5020.6518.8117.1615.0919.6118.9518.4318.1119.3414.6313.9412.4436.3012.9311.1710.43-6.967.146.333.146.941.99-0.450.74-0.853.140.330.733.042.103.304.976.787.136.099.0214.2312.6310.8212.0913.6515.3914.0714.5717.2416.509.006.0462.149.70--2.69
0.170.180.180.190.180.170.180.210.220.190.170.160.150.140.130.180.180.190.180.160.150.150.150.170.160.170.170.180.160.150.150.170.160.160.160.170.150.150.140.160.150.150.140.150.140.140.130.160.150.150.150.160.170.160.160.170.170.170.170.18---
0.740.720.690.650.680.791.021.121.311.281.371.301.191.251.051.191.031.071.231.191.251.501.281.431.381.451.221.361.271.110.860.850.901.040.990.980.891.010.880.941.111.231.171.110.941.311.631.971.441.781.732.002.401.951.931.791.901.661.961.96---
1.441.321.361.011.321.201.161.021.191.121.211.191.431.371.111.041.191.241.221.141.431.291.241.151.401.321.271.201.451.321.261.161.321.221.291.141.491.361.321.211.661.441.521.361.441.351.331.401.521.351.381.271.541.431.311.291.431.281.361.30---
62.3167.9866.2589.1768.3775.1077.5288.5175.4180.3474.5075.4462.7865.6880.7586.6375.5672.6773.9578.9363.0769.5472.5678.3864.3268.0470.6275.2262.0567.9671.3777.6567.9373.5269.6278.7860.2566.3868.4374.2454.1762.4959.3966.2162.7266.4867.8364.0959.3466.5465.0671.1358.6263.0868.8369.5563.0970.5266.1769.43---
59.45132-217.67-67.0943682.912,173-111.43-37.11-45.6859.3124.9014.3713.0910.9317.1417.3020.9219.508.946.686.485.5618.346.586.326.00-4.922.962.491.193.010.76-0.170.29-0.341.030.110.221.010.620.971.382.051.841.582.244.213.603.273.564.605.655.045.266.946.793.902.7930.84---
92.50292-99.57-49.73-355.22177-147.88-67.40-29.56-31.7425532.6117.4214.9112.6220.0619.9125.1023.679.656.986.815.8819.516.926.726.26-5.193.072.591.243.150.81-0.180.29-0.351.060.110.221.020.630.981.402.091.871.612.284.233.603.273.564.605.655.045.266.946.793.902.7930.84---
6.104.723.914.284.323.563.635.044.333.282.453.362.732.472.033.633.443.423.263.092.262.161.836.022.121.911.73-1.281.110.970.471.180.31-0.070.12-0.140.480.050.100.480.310.480.701.030.980.831.192.201.881.641.802.242.672.282.312.962.871.531.0411.35---
28.3929.6434.9958.7830.2920.2924.7144.2762.9528.4411.3211.137.696.755.4517.1417.3020.9219.508.946.686.485.5618.346.586.326.00-4.922.962.491.193.010.76-0.170.29-0.341.030.110.221.010.620.971.382.051.841.582.244.213.603.273.564.605.655.045.266.946.793.902.7930.84---
1.190.38-0.18-0.610.100.410.01-0.36-0.80-0.480.290.991.391.291.201.050.880.670.661.561.401.311.241.191.050.920.830.701.031.051.020.970.950.930.870.880.920.880.850.810.790.760.750.730.730.700.680.640.600.540.510.460.410.380.340.310.280.250.220.21---
2.311.521.082.462.201.500.852.151.510.890.481.801.350.880.381.290.950.680.370.920.710.450.230.730.520.330.160.670.490.310.150.390.280.200.120.320.240.170.070.230.190.120.070.180.120.090.050.220.160.110.060.160.130.090.050.130.090.050.030.090.070.050.07
1.941.200.792.201.981.360.821.801.190.690.331.441.180.790.321.140.840.610.340.820.660.420.220.670.480.300.150.520.350.190.130.320.220.140.080.280.210.150.070.190.160.100.060.160.110.090.040.190.140.110.060.160.130.090.050.130.090.050.030.080.060.040.06