Illumina Financial Ratios for Analysis 2009-2024 | ILMN

Fifteen years of historical annual and quarterly financial ratios and margins for Illumina (ILMN).

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
1.661.282.483.606.692.493.993.293.432.625.025.876.812.352.22
0.210.180.140.130.200.190.300.320.350.400.390.380.43--
0.260.410.160.250.250.520.490.560.600.880.650.640.750.260.34
60.9264.8369.6968.0169.6369.0166.3569.4769.7769.7264.1667.3567.1866.6368.12
-23.73-91.16-2.7217.9127.8026.4922.0224.4827.6127.659.4417.4818.9023.4518.85
-23.73-91.16-2.7217.9127.8026.4922.0224.4827.6127.659.4417.4818.9023.4518.85
-14.14-82.573.5424.9234.4133.0928.7831.6135.0935.7518.8826.2128.5030.4726.57
-24.80-94.5919.5326.4331.5626.8237.9023.3926.2624.1111.2119.3812.6020.5417.13
-25.78-96.0716.8420.2528.2824.7826.3819.3120.8118.988.8213.178.2113.8310.85
0.450.370.300.430.480.480.520.560.600.560.470.450.480.490.47
3.002.843.182.783.002.682.782.442.482.953.312.362.692.122.29
6.146.836.986.656.186.486.706.295.766.435.955.346.075.454.22
59.4853.4352.2654.8859.0356.2954.5157.9963.3956.7661.3768.3260.1366.9686.41
-20.21-66.747.1013.9821.4620.3424.6618.8524.7824.168.1711.478.0610.438.36
-560.87-5,872.0020217.9527.1727.6437.6034.2155.7083.4626.1618.4713.3915.0811.91
-11.48-35.955.018.6513.5311.2412.9010.0012.4210.584.155.893.956.795.05
-16.05-54.466.1312.2217.2116.5217.2512.8715.9914.435.007.124.6010.438.36
36.1341.7768.4132.1531.3826.1618.7015.5512.6110.1812.0010.648.819.467.23
3.032.503.617.307.057.665.915.265.283.362.762.182.581.901.26
1.790.682.236.025.655.683.823.514.322.652.201.672.021.550.87

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
2.431.111.751.661.691.401.421.280.931.001.852.482.686.084.453.603.883.764.106.696.826.793.662.492.462.742.713.994.223.883.493.293.623.694.313.433.793.092.902.622.232.501.425.023.673.933.785.875.435.565.596.815.065.714.382.352.282.262.332.222.502.422.34
0.480.510.210.210.200.190.180.180.070.050.100.140.140.240.250.130.120.130.120.200.200.210.210.190.190.180.190.300.290.300.290.320.310.330.330.350.340.360.380.400.430.510.080.390.380.370.380.380.390.400.400.430.420.390.38--------
0.941.560.260.260.250.340.330.410.260.170.160.160.160.320.440.250.250.250.250.250.250.260.430.520.550.410.440.490.460.480.490.560.530.480.490.600.570.730.800.881.011.310.630.650.630.610.650.640.680.700.700.750.770.680.720.260.280.290.310.340.280.300.32
68.9864.8461.9959.9861.1362.2460.2662.0864.3066.0166.6468.2269.4971.2369.9066.1166.2567.6172.0669.5471.4468.3869.0367.9769.9969.2868.8069.6767.5165.5661.5467.6970.1870.6769.4169.2970.4369.7869.6375.1369.4867.1566.1466.9358.8464.5566.2665.8568.5268.7866.3668.2266.7267.2766.5663.5866.2268.9168.8069.5267.6568.7766.40
68.61-147.21-10.32-14.53-67.38-7.48-5.89-11.72-327.98-49.8315.053.50-49.1916.6117.6613.9620.4015.1722.0028.1533.9624.4624.1122.7028.2527.3527.8829.5625.3521.608.7023.1026.5227.0021.1524.3625.5828.1732.7039.6024.8622.4021.8919.0512.7417.34-13.6419.1917.0815.3218.1910.9215.6122.9624.5626.2824.1622.3719.9014.2318.5022.3320.82
68.61-147.21-10.32-14.53-67.38-7.48-5.89-11.72-327.98-49.8315.053.50-49.1916.6117.6613.9620.4015.1722.0028.1533.9624.4624.1122.7028.2527.3527.8829.5625.3521.608.7023.1026.5227.0021.1524.3625.5828.1732.7039.6024.8622.4021.8919.0512.7417.34-13.6419.1917.0815.3218.1910.9215.6122.9624.5626.2824.1622.3719.9014.2318.5022.3320.82
---------------------------------------------------------------
66.67-177.70-10.13-14.97-69.88-7.57-7.18-15.41-329.33-54.8211.457.3437.9118.3815.4631.2727.0826.0720.7228.2629.7741.2927.5424.0827.2027.9528.2628.7924.5121.3084.1121.6525.3726.1720.2822.7923.4326.1733.0637.4823.3913.5119.9131.0810.4114.26-14.3733.6015.2712.4014.768.0911.8017.0512.7519.4323.0521.9517.3612.3417.3421.6717.71
65.28-178.78-11.71-15.69-67.38-19.900.28-12.82-342.24-46.047.039.4228.6116.4313.4526.9722.547.4320.1425.1125.8035.3227.5424.1923.3325.1826.608.7422.8319.3461.3720.0321.2520.0015.7317.7321.4818.9625.3729.9219.4510.4114.2520.838.7910.37-6.8223.2510.418.349.614.698.5610.658.5414.7114.9414.0511.046.4810.7815.2711.35
0.180.180.110.110.110.100.090.090.100.080.080.080.070.130.120.130.110.090.120.130.130.120.110.120.130.140.140.150.140.140.130.140.140.150.150.160.150.150.150.150.150.150.140.130.130.120.120.120.120.120.120.110.110.130.130.140.140.130.130.130.100.110.12
0.580.700.700.760.710.720.740.720.710.760.880.880.840.850.900.870.650.470.630.810.620.630.640.720.680.700.700.710.710.740.770.670.580.570.610.670.700.730.800.670.740.830.870.830.920.730.660.670.610.650.710.620.560.660.630.670.620.550.600.590.630.710.81
1.551.731.691.531.621.591.631.621.781.811.991.851.832.092.111.961.711.641.821.661.681.781.851.691.972.101.961.891.861.781.631.621.591.611.421.541.331.461.541.771.741.731.441.621.521.671.571.441.311.491.351.441.391.491.551.581.391.431.231.140.971.051.23
58.2551.8853.1158.8855.5056.7155.0655.7150.6949.7245.1848.6449.0643.1642.5745.9952.5954.7449.4554.1753.6850.4848.6253.2945.6942.8346.0447.5548.2850.5755.3855.4056.5855.8763.3358.6367.6361.5158.5050.8451.8152.0262.6855.5259.3953.9457.3362.5668.6860.4866.7362.5864.6160.5657.9657.0464.7162.8073.0978.6392.5885.8873.10
33.18-138.44-2.20-3.06-12.78-3.570.04-2.11-56.69-5.120.791.052.993.572.995.483.811.033.735.185.276.765.505.125.235.976.412.115.324.4213.644.715.045.424.255.605.975.708.4210.487.344.313.815.262.282.58-1.725.452.431.982.261.091.952.622.273.213.202.872.251.351.702.632.20
99.72-2,516.46-50.60-85.02-220.47-182.811.38-185.33-2,415.19-636.9015.0129.972204.573.787.034.901.344.716.566.768.767.316.967.328.649.253.228.006.8722.128.559.0810.598.5812.5812.9413.0922.8936.2037.3886.4111.2416.847.667.36-5.658.784.153.043.561.813.344.173.864.644.684.293.091.932.343.713.24
11.72-32.69-1.26-1.74-7.45-1.990.03-1.13-33.90-3.460.560.742.102.131.683.392.420.652.383.273.304.203.032.832.783.423.551.103.012.477.572.502.772.912.322.813.102.763.914.592.851.541.962.671.111.27-0.822.801.221.001.140.530.941.361.142.092.051.811.410.821.111.671.37
17.14-67.94-1.74-2.43-10.21-2.910.04-1.72-52.81-4.890.710.912.582.702.234.793.340.903.274.154.205.374.324.164.224.915.211.483.773.099.653.223.483.662.843.613.933.665.226.264.152.123.503.221.421.62-1.063.391.471.191.350.621.121.591.413.213.202.872.251.351.702.632.20
13.459.0336.0636.1337.3341.4942.3641.7742.8766.5269.3968.4172.5535.2433.7132.1532.1931.2531.5331.3830.2029.4727.6926.1624.4522.8020.9018.7019.5518.6017.4715.5515.7914.6014.0712.6113.2312.4011.2710.188.977.7512.2612.0010.8711.1010.5510.649.919.609.408.818.539.408.649.468.868.347.737.238.017.576.95
2.960.990.483.031.610.730.062.501.561.891.083.611.723.641.927.304.553.521.907.054.112.291.337.665.653.721.725.913.932.351.145.263.492.300.675.282.801.600.453.362.451.440.252.761.851.270.712.181.611.220.492.581.841.130.581.901.320.970.431.260.790.650.38
2.340.570.261.790.700.10-0.270.680.301.050.702.230.823.051.636.023.702.991.635.653.081.600.955.684.102.591.113.822.341.320.583.512.291.490.314.322.081.080.202.651.961.160.122.201.481.030.541.671.220.960.392.021.460.930.501.551.060.790.350.870.460.460.29