Herbalife Financial Ratios for Analysis 2009-2024 | HLF

Fifteen years of historical annual and quarterly financial ratios and margins for Herbalife (HLF).

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
1.101.391.331.581.541.142.051.851.531.591.781.291.361.271.19
1.891.912.041.551.281.691.180.881.041.250.610.520.270.260.40
-2.42-2.13-1.99-2.84-4.62-3.39-6.787.38-30.32-5.361.691.230.370.370.70
76.4777.4578.6479.2480.3681.2180.8380.9680.8580.1880.0380.0580.3179.5678.79
7.0410.4812.6511.5611.6513.9613.9410.2113.0610.3615.2416.2416.2814.1712.73
7.0410.4812.6511.5611.6513.9613.9410.2113.0610.3615.2416.2416.2814.1712.73
9.2812.6914.5113.3713.6516.0216.1912.4015.2512.2416.9918.0718.3916.7015.44
4.018.169.669.329.269.4910.648.1310.888.5014.8515.9816.2013.9012.52
2.816.177.716.726.386.064.835.797.596.2310.9311.3912.0110.718.75
1.801.912.061.801.821.751.531.751.802.111.952.362.362.222.03
2.362.022.152.292.202.412.492.302.582.602.742.392.753.063.38
62.3473.7286.7466.5361.1969.3947.4663.8563.9359.3148.1135.0638.5331.9430.21
5.854.954.215.495.965.267.695.725.716.157.5910.419.4711.4312.08
-13.41-25.38-32.14-43.52-79.74-41.00-63.91132-633.83-92.3195.6711775.7060.1156.59
-9.68-19.18-24.79-29.34-39.29-26.33-28.84-127.64-74.45-41.33390-2,189.39317399-369.63
5.0611.7615.8612.1111.6110.637.3910.1313.6913.1121.3226.9128.3623.7717.74
11.9223.0133.3324.0522.3928.2111.6815.9125.3222.7437.6456.1255.3144.2234.05
-10.69-12.93-13.80-7.13-2.84-5.07-2.031.05-0.29-1.812.731.852.372.071.49
3.573.544.254.673.234.343.572.133.692.823.602.412.041.531.13
2.221.972.853.842.483.782.991.303.221.862.921.891.681.260.89

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
0.971.241.301.101.161.111.081.391.401.361.311.331.471.521.301.581.592.181.601.541.511.261.201.141.140.912.142.052.652.632.561.851.231.141.221.531.451.331.221.591.551.592.151.781.821.901.841.291.391.491.491.361.331.361.431.271.341.301.261.191.301.311.29
1.931.811.761.891.911.982.101.912.002.042.092.041.951.882.141.551.611.121.271.281.361.431.531.691.752.151.121.180.910.920.890.880.890.970.941.041.101.161.281.251.321.300.980.610.660.670.740.520.550.670.270.270.300.210.240.260.310.380.390.400.470.490.56
-2.37-2.26-2.32-2.42-2.31-2.28-2.15-2.13-2.02-1.99-1.94-1.99-2.07-2.15-1.89-2.84-2.66-9.17-4.72-4.62-3.86-4.62-3.98-3.39-3.21-2.82-10.10-6.7810.4111.448.617.3811.6640.1921.61-30.32-12.65-8.57-6.02-5.36-4.35-4.5543.901.692.092.223.071.231.352.050.380.370.430.270.320.370.450.620.650.700.920.991.30
78.3477.9077.4676.3376.3477.0576.1577.5177.9977.3277.0177.5078.6779.1879.0778.0778.7979.7580.5481.1780.4480.3979.3980.9682.4581.6979.6280.8180.1580.9281.4481.2381.3680.3480.9781.3981.2480.2780.5180.6479.7080.3180.1080.1680.3579.7279.8980.0780.1880.2679.6680.6780.4280.5679.5379.8980.6480.1777.2978.3678.0578.5980.37
10.256.285.694.598.339.395.637.5311.3811.1911.466.4013.2415.3314.8210.5213.6014.087.578.8811.5412.3513.9112.4915.0714.9213.2413.6410.9917.8713.0515.1413.50-1.6615.0312.9814.6512.3712.2714.302.2015.0310.1014.3315.8315.7815.0315.0815.8218.0915.9815.1916.9117.4115.5214.3914.6616.8910.3413.3312.9712.5611.94
10.256.285.694.598.339.395.637.5311.3811.1911.466.4013.2415.3314.8210.5213.6014.087.578.8811.5412.3513.9112.4915.0714.9213.2413.6410.9917.8713.0515.1413.50-1.6615.0312.9814.6512.3712.2714.302.2015.0310.1014.3315.8315.7815.0315.0815.8218.0915.9815.1916.9117.4115.5214.3914.6616.8910.3413.3312.9712.5611.94
---------------------------------------------------------------
5.690.952.691.465.406.472.485.458.728.919.243.6110.6011.3712.328.0211.2811.955.596.569.109.8911.559.569.3711.117.7710.037.4514.5610.3112.9111.53-3.5812.8110.6512.4710.3310.1112.27-0.1713.398.6614.1015.4415.3214.5614.8515.4717.7915.8415.3416.8717.3215.1914.2414.3516.5810.0213.1712.7912.3311.61
3.820.371.920.843.344.562.344.616.356.217.352.908.209.299.825.239.078.553.614.656.556.178.224.125.737.346.98-5.805.0212.007.739.517.82-1.918.567.698.497.127.079.120.899.155.919.7311.7011.7410.5810.6011.0012.7911.1912.1812.0712.6411.0710.8311.4611.938.388.829.658.447.96
0.470.490.480.430.470.470.470.430.480.500.470.470.500.520.560.460.520.380.460.460.490.400.390.430.450.530.400.380.320.340.310.410.440.460.470.440.460.480.460.480.530.540.440.510.520.540.530.610.630.670.630.600.640.630.590.600.550.580.520.550.490.500.46
0.520.590.570.570.610.570.550.460.530.570.540.520.550.600.620.620.740.650.610.530.580.570.590.590.630.750.720.610.610.580.550.530.560.730.630.620.660.710.640.580.690.750.770.720.690.750.680.620.640.780.780.690.790.780.880.810.730.900.960.940.990.970.89
15.1315.4714.3814.9616.1215.2314.7116.7315.2416.7015.9019.7016.6614.4514.8216.9413.9212.7215.9415.3112.4012.6412.6616.8312.5012.8611.3911.7211.4012.7911.0014.8612.7612.7712.4515.7112.2712.0412.7413.5612.4912.5910.6512.6511.0511.0110.039.128.919.509.049.877.967.557.378.627.538.067.078.207.087.267.22
5.955.826.266.015.585.916.125.385.915.395.664.575.406.236.075.316.467.085.655.887.267.127.115.357.207.007.907.687.897.048.186.057.057.057.235.737.347.477.076.647.207.158.457.118.158.188.979.8710.109.479.959.1211.3111.9312.2110.4411.9511.1612.7310.9812.7112.3912.47
-4.97-0.45-2.34-0.96-3.88-5.21-2.40-4.30-6.04-6.11-6.76-2.75-8.80-11.17-10.82-8.62-15.13-43.47-11.74-14.54-17.43-14.32-15.59-6.76-9.35-12.11-37.4918.9424.8968.8031.8650.6470.90-64.51148-157.94-71.61-42.16-25.96-30.92-2.66-29.5717722.4031.1633.0237.4228.3830.1248.7417.8519.6620.9218.6515.1716.4117.1320.8513.7315.4917.1615.2715.59
-3.49-0.33-1.68-0.69-2.83-3.84-1.80-3.25-4.66-4.74-5.26-2.12-6.72-8.47-8.32-5.81-10.53-17.39-5.81-7.16-9.40-8.17-9.44-4.34-6.11-7.98-13.088.55-29.16-67.22-62.56-48.80-31.226.22-28.24-18.55-17.56-13.72-11.04-13.84-1.34-14.57-19.9491.42362835-120.21-529.63-246.59-90.2557.5182.3110962.1352.84109169-413.48-144.39-101.17-65.73-46.06-26.94
1.790.180.920.361.572.161.091.993.023.093.481.354.124.865.532.404.733.231.682.123.202.483.231.752.603.902.77-2.191.594.042.393.873.46-0.884.013.413.873.433.274.390.474.912.614.996.066.355.646.516.918.627.047.367.787.946.486.496.326.864.374.864.754.193.64
4.630.371.780.863.525.092.633.906.036.347.372.858.399.8712.354.769.265.383.214.086.216.168.324.657.0313.944.34-3.462.285.763.456.087.68-2.209.066.317.386.947.167.620.868.924.148.8110.6710.799.6613.5813.6215.9812.9614.3614.6614.7311.5612.0711.8412.958.349.329.127.836.86
-9.48-10.30-10.39-10.69-11.15-11.63-12.39-12.93-13.93-14.47-14.71-13.80-12.96-12.15-12.61-7.13-7.51-1.93-2.82-2.84-3.41-3.78-4.38-5.07-5.21-5.30-1.32-2.031.231.161.471.050.660.190.35-0.29-0.71-1.06-1.63-1.81-2.29-2.200.212.732.252.101.541.851.721.212.592.372.222.522.442.071.951.671.581.491.391.281.08
2.121.140.143.572.601.830.463.543.032.321.284.253.482.600.994.673.902.751.013.232.150.810.264.343.502.271.023.572.441.621.012.131.452.220.823.692.882.110.952.822.611.910.953.602.681.640.642.411.761.060.492.041.580.990.431.531.080.680.351.130.900.490.35
1.170.46-0.192.221.611.140.161.971.881.550.882.852.511.980.693.843.322.390.842.481.580.440.083.783.122.050.922.992.031.360.871.300.801.690.653.222.541.870.821.861.801.330.662.922.251.380.521.891.500.900.391.681.340.820.321.260.910.580.300.890.730.380.29