Gen Digital Financial Ratios for Analysis 2009-2024 | GEN

Fifteen years of historical annual and quarterly financial ratios and margins for Gen Digital (GEN).

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
0.510.430.740.721.170.851.101.151.731.221.311.151.030.921.150.94
0.790.811.041.181.000.410.500.660.380.230.270.280.280.300.290.30
3.924.44-40.17-7.204220.781.002.350.600.350.360.560.390.560.410.43
80.8282.3585.4185.8184.2281.4781.9178.7882.9281.6281.0982.9983.9283.1281.5480.05
29.4336.7635.9435.1214.266.43-6.02-2.4912.693.893.4416.0216.4014.2215.59-105.20
29.4336.7635.9435.1214.266.43-6.02-2.4912.693.893.4416.0216.4014.2215.59-105.20
42.1646.6140.9541.0028.7631.4718.999.7521.0012.8712.3826.1226.9826.2229.5730.60
12.0424.0937.2734.1832.89-4.369.54-6.5210.892.552.5614.5722.2111.2813.80-106.50
16.1640.4129.9021.721561.2644.47-2.6469.1122.1921.4710.9317.649.6411.93-110.34
0.240.210.400.400.320.150.160.220.310.300.310.480.520.490.530.58
-----------48.9638.6434.8344.2045.44
23.3919.8723.3021.8022.433.473.166.196.475.654.156.707.166.116.997.35
15.6118.3715.6716.7416.2710511558.9456.3764.5987.8754.4950.9859.7352.2049.68
28.0461.32-898.92-139.205,780-1.9219.19-6.77-22.331.841.5713.7922.9512.8815.70-163.64
-5.78-12.14-20.96-15.53-15.87-5.92-16.232.90-965.884.81-10.98-56.26-59.62-24.71-57.77331
3.918.4612.0410.947.47-0.696.12-1.30-6.980.820.675.209.124.666.36-63.79
5.8011.5031.6324.9616.63-1.139.59-2.28-13.961.421.159.9716.469.0011.12-114.76
3.533.44-0.16-0.860.029.118.055.746.008.688.347.857.146.085.705.08
3.221.211.651.18-1.342.371.42-0.341.201.891.822.242.542.282.072.01
3.221.202.241.53-1.482.081.21-0.450.791.451.541.772.161.981.821.73

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
0.320.300.500.670.440.400.430.480.570.620.740.750.690.800.721.011.030.771.172.881.930.710.851.021.001.161.101.151.121.021.151.811.842.051.731.871.251.241.221.241.251.331.311.281.271.231.151.061.041.021.030.930.880.860.920.850.810.831.151.101.040.970.94
0.770.780.800.790.790.800.810.880.851.121.041.041.091.171.181.161.151.221.000.300.350.430.410.430.430.460.500.530.630.650.660.620.630.410.380.240.230.230.230.230.230.260.270.270.270.280.280.290.290.290.280.300.300.300.300.300.300.160.290.290.300.300.30
4.064.334.023.833.944.094.447.685.92-11.13-40.17-39.21-16.60-7.77-7.20-7.33-7.57-7.174220.510.730.850.780.850.850.851.001.131.761.832.351.811.860.850.600.320.300.350.350.350.360.360.360.360.370.380.560.600.600.600.390.430.430.430.560.560.550.420.410.420.430.440.43
80.0880.3180.4780.8680.9581.0279.9480.9884.0985.5785.8985.0485.5585.1385.2786.3985.6285.9984.2083.3384.0585.2312782.1181.0578.4671.3679.4078.8778.1376.7777.4378.5583.1483.1683.5082.3482.6880.4281.7582.8182.1982.6583.4082.6582.4582.3883.3183.2882.9782.9384.2084.2484.3383.8683.5483.3881.5181.9783.3382.4378.2179.09
41.2743.2141.7335.232.3338.0737.7039.3232.2236.9218.0243.0241.4741.8439.5843.8236.7419.547.1710.0317.9321.5469.8610.087.030.1718.507.94-0.73-3.74-15.96-1.54-1.2311.9914.6616.0611.049.10-5.453.5121.5218.5618.8323.7515.1513.1114.5916.9717.4814.9912.9117.4916.9518.2714.2914.2814.7313.5416.1317.8917.4410.61-13.08
41.2743.2141.7335.232.3338.0737.7039.3232.2236.9218.0243.0241.4741.8439.5843.8236.7419.547.1710.0317.9321.5469.8610.087.030.1718.507.94-0.73-3.74-15.96-1.54-1.2311.9914.6616.0611.049.10-5.453.5121.5218.5618.8323.7515.1513.1114.5916.9717.4814.9912.9117.4916.9518.2714.2914.2814.7313.5416.1317.8917.4410.61-13.08
---------------------------------------------------------------
26.4928.6022.7119.03-15.2421.3217.3223.0826.0732.3913.4137.1862.5736.7343.0139.5936.9016.1241.8666.349.8714.154.11-1.46-5.23-5.9724.2358.31-5.56-11.40-22.24-5.86-5.1110.9713.2914.199.606.58-6.451.9620.5917.5818.3422.7015.3312.8713.3316.1915.6013.0742.5915.9214.8115.5510.4611.0312.3011.4411.7618.6715.548.94-15.05
16.5318.7614.1815.1415.5619.8396.6217.639.2228.2916.7628.7748.1226.3828.8727.8610.2219.2237.624601294.0046.5810.57-1.31-5.195.54111-0.97-11.32-12.834.42-14.7115.2723418.7017.2212.8319.5822.8915.0913.6013.3516.6014.729.1910.8712.0611.129.5934.1513.9910.8311.5510.048.239.1911.2412.0219.4410.525.17-17.98
0.060.060.060.060.060.060.060.060.050.110.100.100.100.100.110.100.100.100.080.030.040.040.000.040.040.07-0.070.080.080.070.060.060.060.080.070.080.070.070.070.070.130.130.120.130.130.130.120.130.130.120.130.140.140.140.130.130.130.130.140.140.140.140.14
---------------------------------------14.7525.2728.09-21.7717.7517.6512.8314.9512.3510.5210.258.479.469.259.008.2510.7012.0511.0410.7511.2613.0011.37
5.946.355.975.946.436.505.645.574.926.935.976.216.416.535.745.766.526.025.533.611.031.480.100.851.142.30-1.321.822.412.511.721.872.132.821.571.861.231.511.280.992.242.531.611.912.862.301.701.662.312.661.791.702.422.451.651.642.172.501.791.722.142.311.75
15.1514.1815.0815.1414.0013.8415.9716.1518.2912.9815.0814.4914.0513.7815.6715.6313.8014.9516.2724.9087.7860.6587310678.9739.08-68.3749.5837.3135.8552.3948.1642.2031.9757.3248.5173.3159.6170.0891.1140.1935.5355.7747.0931.5039.1853.0854.3238.9333.8350.3352.9537.1636.7554.4954.7641.4735.9950.3252.3842.0138.9051.31
7.679.196.455.966.098.0041.5912.604.06-66.89-129.03-206.12-143.53-36.42-41.60-35.16-34.87-29.621,4904.070.620.720.63-0.32-1.04-1.10-4.4026.44-0.45-3.25-5.08-1.42-1.791.75-27.562.110.900.420.93-0.424.144.043.744.914.262.863.474.193.703.1511.105.093.924.093.602.912.923.554.056.813.691.80-6.37
-1.52-1.68-1.29-1.36-1.38-1.72-8.23-1.37-0.59-4.82-3.01-5.01-7.94-4.06-4.64-4.22-4.06-3.61-4.097.231.66-0.711.940.401.291.323.72-21.440.211.352.171.091.2933.50-1,191.776.39-10.06-4.552.434.08-37.37-30.73-26.18-31.20-22.87-12.72-14.16-12.33-9.98-7.98-28.83-10.17-7.08-7.07-6.92-5.14-5.11-10.78-14.89-20.50-8.73-3.7712.86
1.041.170.870.880.901.185.741.060.433.201.732.944.952.763.272.722.632.331.931.900.230.250.23-0.12-0.38-0.40-1.408.20-0.10-0.69-0.97-0.33-0.410.57-8.610.960.430.200.42-0.191.891.791.602.131.871.191.311.551.401.184.411.981.541.581.311.091.131.481.642.751.460.70-2.48
1.741.981.311.251.251.607.801.480.608.284.547.6013.076.197.465.675.396.374.292.850.410.410.37-0.18-0.60-0.59-2.2012.43-0.17-1.15-1.71-0.54-0.661.04-17.221.600.690.330.72-0.333.192.972.753.603.112.072.512.982.632.237.963.572.742.862.522.032.052.992.874.812.581.25-4.46
3.413.203.443.803.773.663.442.052.57-0.52-0.16-0.17-0.40-0.86-0.86-0.84-0.80-0.850.0214.139.818.519.119.249.419.388.057.985.715.555.746.386.206.126.008.218.668.628.688.668.548.468.348.338.137.877.857.487.357.237.146.496.296.196.085.955.915.755.705.485.185.055.08
0.680.423.221.030.550.351.210.670.210.361.651.100.540.441.180.590.100.28-1.341.400.790.512.371.490.910.531.421.030.630.35-0.34-0.91-1.15-1.241.230.810.630.431.891.200.670.421.831.190.710.442.241.400.730.472.541.641.080.662.281.420.820.422.071.210.730.452.01
0.670.423.221.050.550.351.200.660.210.352.241.691.140.431.530.780.290.28-1.481.270.670.432.081.290.760.461.210.870.520.27-0.45-1.00-1.21-1.280.820.480.470.351.460.830.380.291.550.920.540.361.771.050.490.362.161.370.910.591.981.220.670.351.821.080.600.391.73