Garmin Financial Ratios for Analysis 2009-2024 | GRMN

Fifteen years of historical annual and quarterly financial ratios and margins for Garmin (GRMN).

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
3.413.262.943.152.952.892.962.892.552.432.872.793.003.733.49
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57.4857.7558.0159.2759.4559.1457.6055.4454.5655.8953.4752.9748.5250.0549.01
20.8921.1524.4625.1825.1723.2521.9020.7819.4924.0621.8122.2520.0723.6726.68
20.8921.1524.4625.1825.1723.2521.9020.7819.4924.0621.8122.2520.0723.6726.68
24.2924.5227.5628.2127.9926.1324.6623.6122.2726.7424.8125.5823.5027.1929.95
22.9621.9124.2226.3626.2724.5922.3320.9720.1125.2124.8323.0021.1821.4627.45
24.6720.0321.7223.7025.3520.7322.7117.0016.1812.6923.2719.9718.8821.7323.89
0.610.630.630.600.610.620.630.670.630.610.540.560.620.670.77
1.651.361.702.242.022.432.562.802.563.013.203.283.573.474.85
6.417.405.914.935.325.875.285.785.315.034.664.504.543.603.37
56.9149.3361.7874.0668.6562.1369.0963.1668.7872.5078.3081.1480.37101108
18.3915.6917.7017.9919.8716.6718.4015.1513.6410.7016.7315.3616.0019.1724.82
20.7417.8420.3321.1723.0418.5320.6016.6314.7211.4317.8016.4417.3120.4126.84
14.9912.5913.7814.1115.4512.8914.3311.4410.147.7612.5511.2611.6514.6618.39
18.3915.6917.7017.9919.8716.6718.4015.1513.6410.7016.7315.3616.0019.1724.82
36.5632.3831.7428.7925.1421.9720.4718.1317.6317.7418.7518.0616.7315.6914.16
7.174.085.245.923.664.853.503.731.472.693.213.494.223.895.44
6.162.833.654.963.044.032.763.251.092.322.933.304.043.735.20

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
3.302.894.043.413.132.843.933.262.752.543.542.942.922.663.813.152.982.803.752.952.642.394.042.892.812.503.932.962.762.483.772.892.442.193.132.552.492.373.032.432.162.583.422.872.512.643.822.792.802.643.953.002.792.694.673.734.164.953.253.492.924.536.05
---------------------------------------------------------------
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60.0057.2758.0658.2957.0357.5056.8957.0358.7958.7456.4955.4858.3958.8559.8358.5360.2259.2559.2158.0160.7360.2658.9658.9259.3558.5060.0056.1158.2458.2258.1154.0356.2157.0454.4652.8853.2954.1858.7853.6356.3957.1456.7351.9554.8355.0851.9148.6453.4058.7450.9847.6951.6247.7846.9445.3449.6953.7453.5745.9552.4552.5544.88
27.5822.7021.6022.9621.1621.5317.1720.4520.9923.5919.4922.6423.7127.9723.2827.4728.5921.6620.7325.0927.9826.8319.7623.8924.1924.3220.0020.4323.1125.2118.2419.0122.1024.7316.6318.6618.4621.5419.0821.9124.8528.1220.6422.7023.5824.3915.0219.4923.8128.4116.2322.0022.0919.5214.7222.0424.0727.7219.3427.5630.3229.7613.27
27.5822.7021.6022.9621.1621.5317.1720.4520.9923.5919.4922.6423.7127.9723.2827.4728.5921.6620.7325.0927.9826.8319.7623.8924.1924.3220.0020.4323.1125.2118.2419.0122.1024.7316.6318.6618.4621.5419.0821.9124.8528.1220.6422.7023.5824.3915.0219.4923.8128.4116.2322.0022.0919.5214.7222.0424.0727.7219.3427.5630.3229.7613.27
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30.6624.2923.6725.8421.8823.9219.3325.2519.3122.4820.1122.1923.1028.0423.3628.9730.3622.7220.7526.0827.5928.8821.7024.8824.8526.3921.6620.5625.2828.1813.7819.9920.7425.1117.2319.5224.2622.4313.0224.8824.4526.8324.4326.9224.9829.6615.3520.1624.1928.8817.8920.3526.2418.8519.0918.6730.4622.5610.5627.5832.8529.8713.72
25.1619.9519.9736.5720.1421.8017.6322.4518.4920.7818.0420.5621.7323.8920.5224.6828.2621.1718.8332.7324.3923.4218.3020.4022.7421.2818.2015.8920.1121.2837.1616.1617.3119.8514.1216.9417.5517.8011.4126.17-20.7923.4020.3721.5329.1624.7616.6716.8220.8725.8915.6118.2022.5516.2418.8015.8740.3818.508.6626.2827.5424.1911.11
0.170.170.160.170.160.170.150.170.150.160.150.180.160.180.150.190.170.140.140.180.160.170.150.170.160.180.150.180.160.180.140.200.160.180.140.170.150.170.130.170.150.160.120.160.130.150.120.160.150.160.130.200.150.160.130.210.190.210.120.280.220.210.16
0.420.490.450.460.380.400.330.370.310.350.380.500.450.580.510.740.540.440.440.610.490.590.530.680.590.740.520.760.550.660.500.840.590.690.550.740.630.770.510.890.660.780.570.960.700.820.651.010.710.770.671.200.700.910.661.180.700.940.561.851.000.980.68
1.721.861.991.821.771.841.881.991.781.781.961.651.861.801.921.591.691.661.711.561.671.641.691.641.731.681.741.521.641.611.641.681.571.591.531.471.571.541.381.411.481.571.361.351.351.441.181.271.321.481.291.501.281.371.171.121.321.461.031.211.361.291.04
52.3248.2945.2549.4950.8048.8447.9045.2550.5950.6946.0354.5548.2750.0146.8556.5753.3954.2052.5957.7153.7855.0453.2355.0251.9853.6451.8759.2654.8055.7454.9053.4257.4956.5958.8861.2257.1958.3965.4463.8861.0057.5065.9666.8966.5262.5776.2370.6968.0960.9669.5560.1070.0665.8377.0880.2868.2361.6687.3874.2666.1169.8786.58
5.324.293.817.734.054.703.164.733.594.403.394.684.425.683.856.056.143.883.277.535.205.393.254.574.665.063.243.704.155.086.444.203.725.002.563.963.694.291.926.18-4.545.233.174.475.285.122.453.664.145.792.575.084.903.702.994.369.815.081.469.828.426.572.15
5.934.824.278.724.625.353.575.374.095.053.875.385.136.654.507.127.314.513.778.736.096.393.595.085.225.683.624.144.545.577.014.614.095.522.814.273.964.612.056.60-4.875.573.364.765.635.482.613.924.486.272.785.505.363.953.184.6410.545.471.5910.629.227.252.38
4.273.383.206.303.233.662.623.792.763.302.753.643.424.283.144.744.782.962.665.853.964.052.653.533.613.822.662.883.123.735.183.172.723.562.002.942.723.111.474.48-3.143.842.513.353.893.751.942.683.034.172.013.703.472.612.423.337.643.931.057.276.125.151.74
5.324.293.817.734.054.703.164.733.594.403.394.684.425.683.856.056.143.883.277.535.205.393.254.574.665.063.243.704.155.086.444.203.725.002.563.963.694.291.926.18-4.545.233.174.475.285.122.453.664.145.792.575.084.903.702.994.369.815.081.469.828.426.572.15
39.0736.2537.7236.5633.1831.9833.4632.3830.5930.3832.3631.7430.4429.0429.7528.7926.6924.7925.8325.1423.0421.8422.7321.9720.9419.9121.2020.4719.4118.5619.6818.1317.8417.0418.1717.6316.9916.8018.1617.7416.9218.0719.2718.7518.2217.2418.4918.0617.3816.4817.3516.7315.8015.2616.4615.6914.7413.4212.8314.1612.7412.2811.28
4.913.582.267.174.742.891.464.082.171.370.965.244.373.101.915.923.642.221.183.662.431.440.864.853.692.311.133.502.451.400.643.732.601.480.681.470.64-0.080.422.691.961.210.363.212.451.340.303.492.601.760.624.223.072.111.073.893.001.911.005.444.212.771.49
4.353.222.096.163.992.371.212.831.220.680.663.653.392.341.724.962.941.720.973.041.951.130.714.033.051.830.992.762.001.190.503.252.381.320.611.090.36-0.290.332.321.681.020.292.932.241.190.243.302.461.670.604.042.932.041.033.732.881.840.985.204.032.651.43