Jabil Financial Ratios for Analysis 2009-2024 | JBL

Fifteen years of historical annual and quarterly financial ratios and margins for Jabil (JBL).

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
2024202320222021202020192018201720162015201420132012201120102009
1.091.161.021.021.010.981.040.961.051.031.241.201.461.321.291.37
0.620.500.510.570.590.530.560.400.460.360.420.420.440.370.390.42
1.661.001.171.351.491.311.280.870.860.710.740.810.800.630.740.86
9.278.267.868.067.087.577.728.118.328.406.517.037.197.597.496.15
6.974.434.163.601.832.772.452.152.853.101.292.623.403.502.44-7.79
6.974.434.163.601.832.772.452.152.853.101.292.623.403.502.44-7.79
9.387.096.926.594.755.835.966.146.656.064.395.055.595.444.563.46
6.063.643.683.220.961.781.691.342.112.410.461.902.702.911.84-8.60
4.812.362.982.380.201.140.390.681.381.591.532.152.452.311.26-9.97
1.661.791.701.761.891.951.831.721.781.871.861.882.072.342.112.20
6.136.125.036.108.097.735.905.956.856.547.347.576.606.855.928.94
8.189.528.389.329.579.2113.0513.6413.5012.2013.0414.6014.2114.819.299.00
44.6538.3643.5639.1538.1339.6327.9726.7627.0429.9227.9924.9925.6924.6439.3040.56
79.9128.5340.6232.663.1215.204.465.3710.3712.60-0.0713.5615.8320.3310.72-80.84
14938.8862.6456.296.2128.298.298.6216.2818.51-0.1018.3017.6221.7811.69-90.66
8.004.215.054.190.402.230.731.152.473.07-0.023.494.285.432.68-21.93
30.0614.2519.8113.921.277.191.963.205.638.01-0.047.908.8612.786.54-47.03
15.2721.8418.1014.7912.1412.3811.9313.3313.1412.1611.6411.5910.239.267.576.93
13.8112.7611.439.428.097.52-6.32-7.884.756.332.475.843.003.751.962.69
8.497.555.614.212.972.56-10.24-10.790.091.500.182.370.721.780.181.33

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.091.131.171.121.161.061.041.021.021.041.010.991.021.041.031.021.010.940.950.970.981.011.021.021.041.021.040.950.960.961.061.041.051.031.041.091.031.161.211.211.241.331.271.201.201.421.391.391.461.321.331.331.321.361.351.351.291.361.391.361.371.391.38
0.620.560.520.530.500.510.490.500.510.550.500.520.570.570.560.570.590.560.540.530.530.570.570.570.560.500.490.420.400.410.460.460.460.420.420.430.360.420.420.430.420.410.420.410.420.430.430.440.440.360.360.370.370.360.380.390.390.410.410.410.420.430.43
1.661.261.081.131.001.161.081.141.171.221.231.301.351.371.301.371.491.511.551.351.311.571.431.321.281.120.960.900.870.930.870.880.860.860.950.900.710.720.740.740.740.720.790.740.810.750.810.800.800.710.690.620.630.610.680.760.740.740.800.800.860.870.89
9.528.999.319.249.068.228.137.718.077.438.067.887.927.878.338.116.727.207.027.387.537.237.507.997.667.327.498.408.487.278.148.457.307.459.079.288.058.628.548.426.475.705.967.706.487.096.937.565.097.757.617.867.697.537.547.617.457.597.417.516.825.685.39
4.573.8616.713.615.214.424.413.764.533.854.144.093.583.333.464.012.700.941.482.042.882.302.543.332.672.082.442.612.350.971.873.242.121.383.524.123.213.112.903.181.15-0.040.103.581.322.223.193.672.163.683.553.953.873.612.663.822.672.792.062.151.54-0.30-24.44
4.573.8616.713.615.214.424.413.764.533.854.144.093.583.333.464.012.700.941.482.042.882.302.543.332.672.082.442.612.350.971.873.242.121.383.524.123.213.112.903.181.15-0.040.103.581.322.223.193.672.163.683.553.953.873.612.663.822.672.792.062.151.54-0.30-24.44
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3.632.9715.692.804.373.613.533.103.903.343.763.703.202.953.063.641.580.220.471.371.561.351.662.531.881.311.631.921.62-0.091.092.561.360.562.743.492.592.392.162.480.36-0.90-0.832.800.551.462.473.011.273.032.893.313.292.992.003.302.162.221.371.490.35-1.02-25.10
1.981.9113.702.311.832.752.542.313.492.622.942.812.362.342.232.550.93-0.80-0.050.540.800.711.111.90-0.990.780.701.140.91-0.560.461.720.860.121.792.531.871.661.211.59-0.654.97-1.082.722.991.192.132.282.492.382.312.612.672.481.412.611.521.510.990.920.20-1.10-30.00
0.400.390.400.430.440.440.420.470.460.460.430.490.440.460.470.510.510.470.470.520.510.490.490.510.480.490.460.480.450.430.440.480.430.440.440.510.490.490.500.510.480.460.440.480.460.520.510.570.430.580.590.600.610.610.590.640.610.610.550.550.530.510.55
1.471.391.271.491.481.281.151.381.351.291.291.691.551.671.762.202.171.791.712.082.011.801.731.861.541.511.451.561.561.541.631.861.671.741.751.891.721.761.871.991.891.921.851.851.881.651.551.741.391.651.661.671.771.731.681.751.711.791.782.022.131.961.95
1.972.002.562.272.322.352.192.142.262.612.342.192.362.242.232.142.562.462.652.092.392.282.392.343.413.433.423.643.593.113.103.363.263.323.043.113.193.613.402.873.363.673.702.983.604.113.183.222.933.743.743.793.843.913.613.362.672.662.492.152.162.222.48
45.6644.9935.2239.6338.8138.2241.1142.0239.8234.5138.4841.1538.1640.2640.3741.9635.1136.6534.0043.1237.5939.5637.7338.4226.4026.2726.3124.7325.0428.9729.0226.7927.6227.0829.6228.9428.2124.9526.5131.3426.8124.5124.3330.2025.0121.8828.3327.9730.7324.0324.0623.7323.4523.0124.9626.8233.6633.8336.1741.8941.7440.6036.32
7.945.6734.887.655.418.517.748.8112.859.259.5010.928.197.957.2310.083.79-3.05-0.152.202.802.363.646.51-2.881.951.642.731.94-1.100.833.621.580.233.165.493.903.102.553.24-0.81-2.18-1.394.224.221.783.465.090.955.044.875.946.135.353.086.293.733.492.001.960.41-2.08-61.80
14.798.8050.5211.437.3712.5911.3613.3419.8114.7415.3818.2414.1113.8812.9018.477.53-6.95-0.314.385.224.517.0612.29-5.363.372.754.523.12-1.781.305.732.470.364.948.155.734.323.514.48-1.13-2.92-1.906.165.691.973.835.661.065.655.476.336.575.733.356.814.073.852.212.180.46-2.35-70.31
0.800.745.411.000.801.201.061.091.601.201.271.371.051.081.051.320.48-0.38-0.020.280.410.350.540.97-0.470.380.330.550.41-0.250.200.820.380.060.791.290.950.810.670.82-0.22-0.64-0.401.131.090.480.911.290.261.381.371.581.641.500.841.680.930.930.550.510.11-0.57-16.37
2.992.5016.743.582.704.153.944.376.274.174.715.263.493.393.184.301.54-1.35-0.071.031.321.011.562.82-1.270.980.841.581.16-0.640.451.940.850.141.833.132.481.811.471.87-0.47-1.29-0.812.492.461.021.972.830.533.223.143.763.863.411.923.832.272.071.181.150.24-1.18-35.06
15.2719.1721.7119.7121.8420.8420.0718.8518.1016.9816.4215.3114.7914.5714.0713.2512.1410.9311.6212.1412.3812.2112.1612.0611.9312.9513.3313.3013.3313.0513.3113.0613.1413.1313.0012.6012.1612.0311.6911.6611.6412.1611.4111.7111.5910.8910.7510.2710.239.819.779.239.269.118.468.037.577.207.117.396.936.796.56
13.819.705.253.3912.767.764.261.2011.435.201.37-0.319.424.410.560.438.093.790.550.137.520.720.69-0.56-6.32-7.94-4.88-3.61-7.882.941.870.814.752.530.380.756.334.502.690.972.472.030.660.575.843.901.480.733.000.910.020.553.752.361.66-0.381.960.660.490.352.691.871.50
8.495.231.741.317.552.720.820.015.611.03-0.51-0.814.210.53-2.01-1.162.970.10-2.16-1.192.56-3.27-1.81-1.91-10.24-11.25-6.62-4.71-10.790.520.24-0.060.09-0.84-1.95-0.541.500.820.32-0.020.180.67-0.68-0.382.371.77-0.27-0.060.72-0.41-0.780.091.780.980.77-0.840.18-0.44-0.030.181.330.780.62