KLA Financial Ratios for Analysis 2009-2024 | KLAC

Fifteen years of historical annual and quarterly financial ratios and margins for KLA (KLAC).

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
2.152.242.502.712.782.443.753.403.863.905.125.054.834.183.674.39
0.640.670.830.500.560.540.580.670.820.880.170.180.180.210.250.25
1.972.024.761.021.291.281.382.214.447.570.200.210.230.260.330.34
59.9759.8161.0059.9357.8159.0864.1863.0461.0256.8257.9156.4758.0760.3455.2043.11
34.1038.0639.6735.9725.8730.4138.1536.7532.1823.5026.3625.6732.0436.5417.25-38.02
34.1038.0639.6735.9725.8730.4138.1536.7532.1823.5026.3625.6732.0436.5417.25-38.02
41.1542.1143.6840.7936.2935.5139.7038.4134.4226.3629.1928.7534.9539.2522.880.69
32.5136.1037.8834.1222.6828.3736.0733.7128.7615.4325.0724.2930.7134.9615.99-39.63
28.1532.2736.0630.0420.9625.7319.8726.6123.6013.0119.8919.1123.8325.0211.66-34.43
0.640.750.730.670.630.510.720.630.600.580.530.540.620.680.470.42
1.291.471.671.761.871.481.551.751.671.971.881.952.042.192.032.34
5.355.995.085.305.244.616.196.094.874.815.945.424.525.444.147.23
68.1960.9771.7968.8769.6179.1058.9359.9075.0075.9461.4167.3680.7067.0588.2350.45
82.0011623761.5445.3243.8849.5169.8210286.8815.8815.6022.8027.779.45-23.96
404-1,150.72-157.041,160-160.76-107.3264.3696.6720149317.6317.4025.7832.4711.79-30.68
17.9024.0726.3720.2313.0913.0414.2316.7414.207.5910.5310.2714.8216.995.43-14.50
29.8638.4541.2230.5619.7520.0820.8023.1118.8010.1913.2012.8418.6122.037.09-17.86
25.0621.359.8722.1017.2516.7910.388.464.422.6722.1821.0519.8917.1213.3712.80
24.2926.1721.8614.0611.267.347.816.864.853.704.635.405.534.832.591.15
22.2924.2720.0112.6910.296.517.386.634.693.424.254.975.214.642.451.15

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
2.132.152.141.912.212.242.352.342.432.502.332.412.442.712.662.592.722.782.612.552.242.442.613.033.453.753.783.733.113.403.403.394.033.863.924.294.023.904.064.295.435.125.124.865.215.055.205.295.264.834.574.524.904.184.003.943.843.673.904.224.104.393.97
0.620.640.660.630.660.670.690.700.750.830.480.460.470.500.520.540.550.560.600.560.540.540.520.550.590.580.640.670.630.670.700.740.790.820.870.900.910.880.870.840.170.170.170.170.180.180.180.180.180.180.190.200.200.210.220.230.240.250.250.250.250.250.26
1.861.972.141.941.972.022.202.353.004.760.910.850.891.021.111.171.241.291.481.261.281.281.191.401.431.381.802.031.902.212.583.093.864.446.508.5710.707.576.555.390.210.200.210.210.210.210.220.220.220.230.240.250.250.260.280.300.320.330.340.330.340.340.34
59.6260.6657.8860.7260.5059.1158.6759.4961.7860.6561.0261.4060.9659.8960.6659.4359.6757.4258.5658.0257.2552.9055.6263.5465.1164.7163.9364.4463.5863.0762.4363.6862.9963.2761.4660.4457.9557.2656.6358.1355.1355.5258.7859.4757.8257.3957.5554.8455.9859.4857.7557.5357.2760.0960.7159.3661.3159.2656.3952.9349.8441.5232.42
39.4138.0531.2029.4937.5135.0035.3840.1940.7739.1939.1041.0639.2937.3837.2634.5434.2131.0512.3630.6629.0321.3722.1738.6940.6039.6437.8437.5937.3737.4637.6638.0833.2038.1232.9630.2025.0226.7726.4022.8716.9823.5631.4026.6622.7726.0627.7422.7725.8935.6733.8224.8231.9338.5537.3835.0934.5328.7519.0810.694.36-12.42-23.35
39.4138.0531.2029.4937.5135.0035.3840.1940.7739.1939.1041.0639.2937.3837.2634.5434.2131.0512.3630.6629.0321.3722.1738.6940.6039.6437.8437.5937.3737.4637.6638.0833.2038.1232.9630.2025.0226.7726.4022.8716.9823.5631.4026.6622.7726.0627.7422.7725.8935.6733.8224.8231.9338.5537.3835.0934.5328.7519.0810.694.36-12.42-23.35
---------------------------------------------------------------
37.9636.7929.7527.8035.5332.9332.9138.3039.2838.1936.9839.4036.7836.8135.5031.9531.4427.758.0928.1526.2918.3820.1837.1439.1137.9935.8435.5934.6734.6334.9334.9929.6035.7429.4726.1120.9023.1322.54-0.9315.4022.6930.2125.0721.2524.5926.3521.5324.5034.2832.6022.8731.0437.4336.1532.7832.7326.8316.788.636.65-16.47-24.92
33.2932.5625.4923.4330.9329.0728.6932.8037.6632.3931.9230.5051.2732.8731.4627.7027.3328.185.5125.2124.5217.3117.5632.9636.2232.5930.05-13.7628.9827.2927.7527.1723.7329.5424.6721.4316.3218.7817.833.0011.2417.5324.4819.7516.8918.7222.8215.8418.7827.7724.4317.2524.1127.4525.1524.2122.6020.2111.924.955.95-9.09-26.75
0.180.170.160.170.170.170.180.220.210.200.190.200.190.190.180.170.170.160.160.160.150.140.120.200.190.190.180.180.170.170.170.170.150.190.150.160.140.160.150.140.120.130.150.130.120.140.140.130.140.180.170.140.170.190.190.180.170.140.130.120.090.080.09
0.370.330.330.320.310.330.370.480.430.460.450.500.470.490.490.470.450.470.470.510.480.470.370.410.380.410.430.440.460.470.490.470.400.480.380.410.420.520.510.430.430.500.500.430.420.480.480.460.460.560.550.430.560.620.590.620.570.570.560.590.500.440.51
1.451.401.451.351.471.341.251.311.471.371.411.361.421.471.501.351.501.321.271.271.331.271.151.701.821.641.551.321.451.641.241.321.151.501.141.661.391.291.171.071.451.491.491.231.491.371.611.111.341.271.321.181.731.531.471.441.361.271.481.481.401.341.28
61.8664.2261.9866.7361.2367.0071.7868.8661.3665.5863.6666.1263.2361.0259.9766.4760.1868.2870.7471.0167.8970.8178.5852.8949.5854.8158.2068.3361.8954.7672.3668.1478.4960.0478.9354.1264.5469.6776.9884.1162.1660.4060.3573.1560.2465.5756.0781.0567.1270.7268.3576.2252.1658.8261.0862.4265.9570.8160.6960.9264.0667.1970.18
26.5724.8319.4419.1424.7923.4526.0137.6048.8157.5717.9117.7327.6918.7518.2215.4915.2115.303.3514.1512.938.126.6823.1025.2621.5222.40-10.9619.1919.3122.1024.6922.7939.4036.8841.6335.6333.7026.653.372.053.515.593.923.193.874.833.174.047.486.503.736.548.567.857.526.595.032.570.980.92-1.17-3.82
101122171340-461.67-232.58-117.09-132.16-78.43-38.0714479.82162353-417.31-118.70-67.33-54.29-6.75-34.44-30.57-19.85-19.6330.4233.5027.9830.54-15.6425.6226.7431.3037.9840.1877.67129648-213.9919191.998.202.283.896.224.353.554.325.403.574.558.457.424.317.5910.019.329.118.106.283.231.241.18-1.50-4.88
6.035.424.024.085.244.875.107.137.826.396.086.149.596.165.714.664.514.420.884.113.752.412.106.587.016.195.48-2.484.944.634.764.683.565.473.683.332.292.942.690.411.362.333.712.562.102.553.202.102.674.864.162.364.215.244.714.453.852.891.500.590.56-0.71-2.28
10.029.046.707.128.357.778.1411.2312.199.999.399.6014.679.318.687.156.806.671.356.255.923.713.1810.2910.419.048.01-3.627.046.396.586.454.697.254.924.353.043.953.560.531.692.924.643.242.623.193.972.603.306.105.262.985.226.796.145.774.993.781.920.730.69-0.87-2.84
26.6025.0622.9722.5021.9921.3519.5418.8014.839.8727.3026.8325.4322.1020.3119.1417.8717.2515.0017.1416.9816.7917.8510.5510.2410.388.797.839.348.467.326.165.004.423.062.351.892.673.093.7021.4622.1821.9521.3120.9521.0520.7820.2320.1319.8918.8817.8017.6117.1215.9214.7513.9313.3713.0512.9412.9112.8012.77
7.3824.2917.7811.056.4526.1719.5511.977.1021.8616.4910.995.6314.0611.086.903.2711.268.445.573.107.345.264.352.447.815.443.212.376.863.912.501.084.852.591.891.233.701.770.280.214.633.161.741.055.404.361.911.455.533.932.401.294.833.111.710.562.592.101.360.421.150.72
6.9322.2916.2310.035.9524.2718.2011.257.0320.0114.9410.115.1812.6910.076.172.9210.297.735.152.906.514.794.032.307.385.163.032.276.633.752.391.024.692.461.801.183.421.550.120.134.252.831.520.924.974.041.701.335.213.702.261.224.643.011.680.502.452.001.310.401.150.73