Gartner Financial Ratios for Analysis 2009-2024 | IT

Fifteen years of historical annual and quarterly financial ratios and margins for Gartner (IT).

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
0.910.770.780.790.710.690.920.920.860.900.940.870.770.770.62
0.780.920.870.640.690.710.750.921.200.700.270.270.450.490.52
3.6110.816.641.812.332.683.3311.41-6.182.510.570.671.101.182.92
67.7869.0769.5067.1963.4863.0560.1361.3261.2160.5360.0159.2158.5557.1456.28
20.9420.0919.3411.968.726.53-0.1912.4813.3114.1615.4415.2114.5811.5811.80
20.9420.0919.3411.968.726.53-0.1912.4813.3114.1615.4415.2114.5811.5811.80
24.2523.6823.9217.7613.8613.317.5215.1415.5616.2417.5217.1716.9214.4914.30
19.4218.7620.497.966.504.56-3.8611.8012.5813.5914.9314.5813.7710.4110.14
14.9414.7516.766.515.503.080.107.928.129.0910.2510.279.327.477.28
0.750.750.640.560.590.640.451.031.001.061.001.001.061.000.94
---------------
3.693.523.473.303.203.172.813.803.723.663.633.483.493.533.59
98.9410410511111411513096.0198.0099.69100105105103102
13035521424.4624.8614.390.33318-132.6611450.5954.1075.3151.4773.72
-31.99-24.57-24.09-10.02-7.98-3.93-0.10-25.66-18.60-40.28-111.47-73.85-41.01-28.59-19.51
11.2611.0710.703.653.261.970.058.188.109.6510.2510.239.927.496.83
28.2030.1328.068.757.824.130.0826.6926.9633.6536.7439.3441.2626.2335.07
8.692.884.5012.2710.539.4810.830.74-1.611.843.933.281.951.951.17
14.5013.5915.2310.036.225.112.834.364.063.823.332.922.592.061.66
13.2112.2514.549.104.583.741.603.773.523.402.942.462.161.841.50

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
0.900.910.910.860.870.840.770.640.620.700.780.730.780.710.790.740.700.700.710.680.680.670.690.660.640.730.920.730.781.480.920.880.890.910.860.860.890.700.900.710.720.750.940.900.910.900.870.810.760.740.770.760.780.790.770.620.580.610.620.650.660.65
0.790.770.780.810.810.840.921.031.060.950.870.880.820.690.640.650.660.700.690.690.680.710.710.690.700.690.750.770.790.940.921.021.081.161.201.241.321.580.700.450.390.360.270.300.300.320.270.310.380.450.450.450.430.450.490.250.420.470.520.660.850.98
3.803.423.614.344.195.2010.81-37.92-17.2420.846.647.364.672.211.811.911.992.452.332.372.262.682.682.312.643.013.333.874.0015.8411.41-70.15-15.64-7.90-6.18-5.26-4.20-4.772.512.431.901.500.570.640.620.640.670.760.931.401.101.081.021.211.181.953.343.172.923.548.7675.58
67.8268.8166.6068.0067.5769.1168.4168.7069.1670.1469.4168.9369.9569.7168.4266.8466.8566.5162.5463.5163.7764.2862.5463.5363.2962.9360.7359.8858.2861.9960.3261.1362.0661.9560.0561.2961.5862.2759.6160.0760.9161.7659.6560.6260.1259.7557.8359.6359.4360.3357.8558.7358.2959.5556.8557.4855.9758.4155.4555.8456.6357.36
19.9918.5919.0017.3518.8328.9622.0919.0321.5917.2014.1919.9123.5320.4216.018.8110.2412.2411.316.9110.835.0311.905.728.60-0.906.20-2.94-11.668.5615.468.4913.6611.5615.7910.4915.5510.3316.4110.4915.7313.2517.0514.3016.5913.2816.7813.2915.7814.5116.2413.6614.1113.8913.8811.0610.899.8712.6910.2911.3912.59
19.9918.5919.0017.3518.8328.9622.0919.0321.5917.2014.1919.9123.5320.4216.018.8110.2412.2411.316.9110.835.0311.905.728.60-0.906.20-2.94-11.668.5615.468.4913.6611.5615.7910.4915.5510.3316.4110.4915.7313.2517.0514.3016.5913.2816.7813.2915.7814.5116.2413.6614.1113.8913.8811.0610.899.8712.6910.2911.3912.59
--------------------------------------------------------------
18.7617.6217.4815.9317.5727.0620.2117.4220.0517.0313.5617.2032.4819.4514.031.426.069.519.195.318.502.1710.194.127.50-4.452.80-7.48-16.927.7615.107.8012.6510.8215.0210.3614.519.3915.809.8615.2512.6916.6113.7916.0412.7316.4112.5015.2213.6515.6512.8513.1912.9312.229.929.689.3211.688.409.4910.61
14.3914.2913.1512.7813.1720.9917.0713.0314.8913.6616.0312.8723.2414.8610.751.715.667.375.634.149.662.147.721.284.62-2.0310.58-5.82-10.945.839.455.318.468.0710.226.079.346.0210.137.1910.208.4511.809.3010.439.0212.398.3810.449.2710.538.818.828.869.606.786.406.567.827.506.377.31
0.210.190.200.190.200.190.210.200.210.180.180.170.160.160.150.150.140.150.170.150.160.140.180.160.160.140.140.120.120.190.300.250.260.250.300.240.290.260.310.270.290.250.290.250.280.260.290.250.290.270.310.270.280.260.300.240.270.250.270.270.280.29
--------------------------------------------------------------
1.140.940.991.241.180.920.971.271.170.950.961.191.060.940.901.050.930.890.910.970.960.820.870.940.920.850.860.950.950.871.091.020.990.921.111.041.040.901.061.051.050.901.061.051.030.921.021.011.020.961.020.991.010.961.050.991.110.981.041.071.071.06
79.2495.6890.8672.8676.1597.3293.1170.7676.6394.5494.0675.5085.0195.8210085.8696.9710199.1692.5093.5310910495.6297.4310610495.0294.5510382.2987.8390.5697.3781.1986.7986.6610185.0985.9885.3910084.8585.9487.1797.6787.9689.1788.1793.6588.6090.9188.7794.2285.8891.1781.3892.2386.9384.4884.0985.23
35.5029.3230.6531.7733.7762.55113-267.30-143.4414656.4244.5051.4118.4110.971.645.568.447.214.5010.732.439.881.255.02-1.9810.91-5.58-10.8135.43109-290.38-97.72-39.93-49.67-19.03-30.06-20.3236.7022.1926.8515.9417.0011.8814.1511.4919.1812.0019.3019.9224.7715.7014.9313.9019.6213.0218.8016.7322.8526.8247.59447
-8.37-7.82-7.56-6.24-6.85-9.79-7.81-4.81-5.49-4.91-6.35-4.43-8.47-5.80-4.49-0.62-1.97-2.59-2.32-1.40-3.52-0.68-2.70-0.38-1.430.61-3.261.252.36-4.37-8.81-3.65-5.77-4.88-6.96-3.10-6.56-3.79-12.97-7.14-12.12-9.74-37.45-18.68-23.70-17.65-26.18-11.58-13.21-9.91-13.49-9.40-10.44-9.25-10.90-5.40-4.84-4.68-6.05-6.04-4.68-5.07
3.092.732.662.482.694.013.522.663.112.472.822.133.772.371.630.250.811.100.950.611.540.311.350.200.75-0.281.47-0.69-1.321.082.811.342.242.033.031.452.751.583.111.912.952.153.442.352.882.343.632.123.012.543.262.342.492.292.851.621.711.642.122.011.772.11
7.396.636.675.976.5210.119.587.268.866.707.405.339.095.783.920.571.882.572.271.393.420.702.830.391.51-0.622.76-1.27-2.312.149.174.447.346.2510.104.609.7511.7910.8312.2016.2610.2212.348.279.857.8613.958.2212.0210.9813.578.678.467.6310.009.7610.928.8610.879.137.368.83
8.349.188.697.217.415.952.88-0.82-1.801.454.504.036.2710.2412.2711.6011.099.9710.5310.2810.699.519.4810.3610.1510.8310.839.539.421.240.74-0.13-0.64-1.37-1.61-1.93-2.05-1.661.841.732.222.623.933.493.533.403.282.792.301.841.952.042.242.161.951.601.121.211.170.780.380.05
7.142.3914.5011.717.522.0513.5911.227.202.0215.2312.718.461.7610.037.154.440.626.225.312.890.395.114.621.920.032.832.560.93-0.354.363.371.930.164.063.171.770.063.823.071.680.183.332.571.470.212.922.181.040.192.591.800.64-0.252.061.280.62-0.081.661.200.650.15
6.472.1013.2110.776.941.7912.2510.346.731.8114.5412.268.181.629.106.473.930.354.584.262.230.173.743.921.48-0.161.601.730.46-0.483.772.931.630.083.522.741.49-0.073.402.791.470.082.942.271.270.112.461.860.830.122.161.550.55-0.291.841.160.55-0.111.501.090.560.11