Intel Financial Ratios for Analysis 2009-2024 | INTC

Fifteen years of historical annual and quarterly financial ratios and margins for Intel (INTC).

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
1.541.572.131.911.401.731.691.752.451.732.362.432.153.392.79
0.300.270.260.290.250.250.270.240.250.180.180.200.130.040.05
0.450.410.400.450.370.350.390.380.370.240.230.260.160.040.05
40.0442.6155.4556.0158.5661.7362.3061.0162.6563.7459.8062.1562.5165.3155.69
0.173.7024.6230.4130.6232.9128.7622.1125.2927.4723.3227.4432.3735.7316.26
0.173.7024.6230.4130.6232.9128.7622.1125.2927.4723.3227.4432.3735.7316.26
17.8824.3739.5446.1345.6645.7341.7135.2341.0342.7738.5641.5443.6046.3730.64
1.4112.3227.4632.2133.4332.9132.4321.7825.6728.2823.9327.8832.9336.7816.24
3.1112.7125.1426.8429.2529.7215.3017.3720.6320.9518.2520.6323.9726.2812.44
0.280.350.470.510.530.550.510.520.550.610.570.630.760.690.66
2.922.743.274.063.413.743.394.174.004.745.084.264.944.035.30
15.9415.268.3611.489.4010.5411.1912.6611.5612.6214.7113.9214.7915.2215.45
22.9023.9243.6831.7938.8534.6332.6128.8331.5628.9224.8126.2324.6723.9923.62
1.527.7620.8325.7927.1628.2413.9115.5818.7020.9516.5121.4928.1923.1910.48
2.1511.5132.4946.4052.1055.0930.1124.2024.9228.8622.5931.2142.5926.0311.72
0.874.4011.8013.6515.4216.457.799.1011.2612.7410.4213.0518.2018.148.23
1.075.6915.4118.1820.4721.1210.2111.8714.0817.2313.4717.1024.4222.269.99
26.0124.9723.4419.9518.0716.5114.7314.0012.9311.7711.7310.369.188.977.55
2.723.747.208.477.416.264.574.473.894.044.083.663.872.931.98
-3.39-2.332.235.063.793.032.142.502.392.041.971.521.882.021.18

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.591.571.541.531.601.761.571.771.862.132.132.071.991.901.911.661.971.741.401.201.481.541.731.511.571.581.691.602.161.691.751.801.671.562.452.401.971.761.731.852.372.252.362.262.552.432.431.932.452.132.152.242.231.973.393.343.332.662.792.482.612.86
0.290.300.300.310.310.330.270.270.240.240.260.280.270.290.290.330.310.320.250.240.250.260.250.260.260.260.270.280.290.240.240.280.280.260.250.260.170.180.180.180.180.190.180.190.200.200.200.130.130.130.130.130.040.040.040.040.040.050.050.050.030.03
0.440.470.450.460.470.500.410.400.350.360.400.450.420.450.450.490.470.520.370.390.380.390.350.390.400.410.390.450.470.390.380.440.470.410.370.370.230.240.240.240.220.230.230.240.250.260.260.150.150.160.160.150.040.050.040.050.050.060.050.060.030.03
35.4341.0045.7442.5135.8234.2139.1742.6136.4750.3753.6355.9957.0855.1756.8053.1353.2660.6058.7858.8659.8556.5960.1864.5061.4360.5763.2062.3261.6161.9161.9763.2758.9259.3364.3062.9962.5160.4865.3664.9964.4759.6461.9662.4058.3156.1758.0063.2863.3664.0464.4663.3660.6461.3864.6465.9467.2163.3964.7257.5650.8445.32
-15.30-8.4016.78-0.06-7.85-12.53-8.06-1.14-4.5723.6524.3027.2428.2518.7829.4527.6028.8835.5033.6333.6027.9725.9933.3638.3531.0927.8231.8731.8326.0224.5529.2228.289.7418.7428.8328.9821.9520.4630.2531.1927.7919.6625.6525.9921.2220.0223.4128.5428.3829.5233.1233.6230.1932.3735.1137.2536.9833.4823.6327.47-0.159.06
-15.30-8.4016.78-0.06-7.85-12.53-8.06-1.14-4.5723.6524.3027.2428.2518.7829.4527.6028.8835.5033.6333.6027.9725.9933.3638.3531.0927.8231.8731.8326.0224.5529.2228.289.7418.7428.8328.9821.9520.4630.2531.1927.7919.6625.6525.9921.2220.0223.4128.5428.3829.5233.1233.6230.1932.3735.1137.2536.9833.4823.6327.47-0.159.06
--------------------------------------------------------------
-15.62-5.6518.10-0.37-6.30-9.88-5.67-1.23-5.9352.6425.3035.7329.2619.8537.4827.5030.0833.3639.9235.0128.6228.3130.2037.2732.6031.1935.3936.7230.9725.7827.1227.3712.3418.3028.8529.4022.6120.9131.6531.2628.3620.9225.6729.1021.0219.4223.7729.1429.1429.5533.0334.3730.1634.0236.3438.2938.8833.4624.5326.97-0.628.80
-12.55-2.9917.322.1011.44-23.54-4.736.64-2.9644.2122.5235.5525.7817.0829.3223.3225.8828.5534.1731.2125.3224.7427.8433.3929.5127.72-4.0327.9619.0220.0321.7521.419.8314.9324.2321.4920.5115.5924.8722.7920.2215.1218.9821.8815.6116.2618.3122.0920.9421.2124.2024.3722.6724.6027.7626.6226.8223.7121.5919.77-4.968.80
0.060.070.080.080.070.060.080.090.090.100.120.110.130.130.130.130.130.130.150.140.130.120.150.150.130.120.140.130.120.130.140.140.120.130.150.150.150.140.160.160.150.140.150.150.150.150.160.180.190.180.200.200.200.200.180.180.190.180.200.180.160.15
0.740.650.750.710.690.590.650.690.800.760.880.860.961.041.020.931.030.840.950.910.760.901.020.920.890.890.900.880.900.971.121.000.960.971.031.081.031.141.191.241.251.371.261.121.181.271.200.931.011.031.201.321.271.211.081.101.061.261.271.601.411.28
4.103.834.534.984.323.053.402.052.532.592.172.282.632.732.952.572.652.352.642.792.652.312.783.513.663.293.042.712.743.013.493.193.063.253.123.533.423.943.333.993.963.643.863.633.693.563.523.423.813.203.803.723.883.634.003.814.434.704.654.644.143.43
21.9623.5019.8718.0720.8229.5526.4943.8335.6234.6941.4639.3934.2032.9830.5535.0533.9538.3834.1132.2733.9938.9832.4325.6324.6027.3329.5933.1832.9029.9325.7828.2529.4327.6928.8925.5226.3322.8627.0722.5522.7024.7123.3024.8224.4125.3025.6026.3423.6228.1523.6624.1623.2024.8122.5223.6020.3219.1619.3619.4121.7426.28
-1.37-0.392.420.291.41-2.76-0.641.02-0.457.874.857.575.944.217.235.746.227.418.918.075.585.406.978.957.156.35-1.006.374.094.435.385.352.173.345.915.454.693.636.555.924.723.334.515.323.713.994.826.035.805.867.327.526.066.676.436.206.305.695.474.76-1.021.61
-1.87-0.563.420.422.05-4.12-0.951.54-0.6811.717.5612.2710.047.5713.0011.3411.4014.2817.0915.5610.6810.5513.5918.3014.9013.31-2.1513.496.156.808.368.503.966.187.897.396.384.999.038.066.364.556.167.465.235.747.008.898.478.7511.0611.368.9810.067.226.846.986.356.125.36-1.131.79
-0.80-0.231.390.160.79-1.49-0.360.58-0.274.602.754.063.272.233.832.943.353.835.064.483.203.074.064.993.973.46-0.563.552.302.563.143.011.211.943.563.152.992.223.983.663.052.102.843.262.332.462.933.993.913.814.724.924.474.825.034.885.004.384.303.64-0.811.30
-0.98-0.281.690.200.98-1.85-0.470.74-0.345.973.595.434.332.975.103.874.325.026.726.124.184.005.216.645.294.69-0.734.592.913.394.103.881.562.474.454.033.882.975.394.873.862.713.684.302.993.183.845.275.065.086.346.525.816.396.175.946.035.435.224.50-0.991.56
28.1726.0226.0125.0724.9524.0724.9724.2024.6525.2223.4422.1521.0019.7619.9518.1919.2818.0318.0717.0716.9216.4516.5115.6615.1915.0614.7315.1614.6014.2014.0013.3212.9812.9712.9312.0712.1411.5811.7711.5411.9711.6711.7311.1510.8110.3510.369.899.739.349.189.019.228.878.978.558.237.757.557.076.986.99
0.25-0.292.721.620.24-0.433.741.871.631.437.205.893.461.318.476.054.041.437.415.252.771.096.264.852.891.314.573.081.780.804.472.801.620.833.892.791.600.904.042.901.750.684.082.891.760.843.662.501.480.573.872.681.470.722.931.961.320.721.981.380.670.07
-2.48-1.70-3.39-2.89-2.93-2.21-2.33-2.77-1.260.312.232.781.440.235.063.592.480.673.792.641.250.363.032.421.320.702.141.490.800.402.501.550.880.562.391.760.830.492.041.330.670.161.971.370.800.421.520.840.400.001.881.200.510.232.021.370.980.551.180.770.23-0.20