Kulicke And Soffa Industries Financial Ratios for Analysis 2009-2024 | KLIC

Fifteen years of historical annual and quarterly financial ratios and margins for Kulicke And Soffa Industries (KLIC).

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
6.555.363.845.455.125.674.946.209.5710.309.755.782.893.782.40
----0.020.020.020.020.020.020.03--0.230.35
----0.100.020.020.020.020.020.03-0.220.310.83
48.3049.7745.9247.8247.1446.0547.2344.8146.9648.1146.1646.4446.7144.0139.44
5.3131.2627.189.394.0018.7413.988.607.1913.5412.3022.6620.4819.41-32.64
5.3131.2627.189.394.0018.7413.988.607.1913.5412.3022.6620.4819.41-32.64
12.1032.7728.4812.567.7620.8815.9911.1910.7315.9215.7625.4923.5022.62-19.09
9.7231.7227.3210.326.4219.9714.658.957.2813.5712.4622.0319.5618.37-34.03
7.7028.8324.198.392.166.3715.597.739.6811.0811.1020.3015.2818.44-18.47
0.500.950.950.590.500.750.690.640.590.600.620.971.141.310.55
1.774.084.902.913.204.163.503.973.605.947.557.186.055.783.29
4.684.863.603.142.763.654.084.814.943.313.294.195.993.892.35
77.9775.0910111613299.9189.5475.9273.8911011187.2060.9493.80155
4.8736.2933.526.901.526.4413.716.066.757.988.2824.9527.1644.08-37.24
5.4139.6137.487.881.747.3515.737.268.238.498.9427.6032.0055.38-66.65
3.8127.2922.924.961.084.7810.774.935.746.676.8819.6917.5224.50-15.42
4.8736.2933.526.901.496.3313.475.946.617.798.0624.9527.1633.77-24.19
20.8620.9117.6812.3112.1713.1113.1111.3510.8010.309.528.686.464.582.46
3.016.384.721.491.001.751.890.971.161.071.242.422.731.17-0.86
2.256.004.371.310.831.471.560.891.030.941.092.332.631.14-0.95

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
6.106.346.506.556.016.075.755.365.064.814.263.843.833.994.735.455.883.704.585.124.857.196.585.675.025.326.014.944.835.496.896.206.036.409.589.577.808.0013.1310.307.4410.5213.889.757.469.759.685.784.803.143.372.892.493.825.313.783.342.602.442.404.274.90
-------------------0.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.03-0.030.03---------0.210.230.230.270.310.330.350.600.57
-----------------0.150.100.100.110.030.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.020.03-0.030.03-----0.220.220.220.220.260.290.310.370.680.760.831.481.33
46.649.5746.6747.3747.1548.6050.3346.3451.2452.4948.4447.6646.1243.6545.3550.0246.1445.9748.7646.8046.2447.9547.5846.4447.2344.8445.4949.7546.7446.2245.7341.7846.2344.5346.4642.8647.1247.2250.9447.4347.1750.5048.4946.4846.6946.0145.1845.6947.9245.5846.0545.8845.5447.8748.4443.3344.8344.0543.9042.7137.7731.88
4.56-61.110.999.63-2.357.306.7123.5932.8033.6632.7931.9028.3924.4320.1812.977.297.359.305.501.44-2.139.2613.3023.9817.3318.3319.386.4318.2912.743.6517.857.49-1.572.519.776.749.0519.2617.508.85-2.7919.9013.367.723.6926.1329.8513.8410.3112.5827.7321.1114.8221.8622.6215.1614.017.28-27.81-141.72
4.56-61.110.999.63-2.357.306.7123.5932.8033.6632.7931.9028.3924.4320.1812.977.297.359.305.501.44-2.139.2613.3023.9817.3318.3319.386.4318.2912.743.6517.857.49-1.572.519.776.749.0519.2617.508.85-2.7919.9013.367.723.6926.1329.8513.8410.3112.5827.7321.1114.8221.8622.6215.1614.017.28-27.81-141.72
--------------------------------------------------------------
8.98-55.986.7614.312.2611.9010.4124.9833.3733.7532.8832.0028.5124.5820.4113.327.918.6810.867.344.050.9911.5315.0825.1718.5619.1220.187.0418.9513.344.1718.167.76-1.252.669.886.849.0119.2617.468.89-2.5920.0313.557.893.8426.2029.3612.468.7311.5127.0820.2113.5421.1321.7013.8512.466.79-31.53-137.93
6.75-59.675.4311.542.188.698.2822.6731.9930.1928.9927.5526.8120.9718.068.887.417.899.344.581.01-3.074.7816.0322.4116.37-32.5419.0914.2716.3711.638.0014.693.25-0.089.3115.215.467.3015.0314.747.94-2.4717.0113.386.913.1625.0026.6811.367.090.6624.0219.2910.1421.0422.1813.7512.345.88-29.31-136.84
0.140.130.120.130.130.110.110.180.230.250.270.300.300.270.230.170.150.130.130.130.110.110.140.160.220.180.180.180.210.190.150.150.220.170.120.130.170.150.120.210.190.130.090.200.170.140.150.330.340.190.170.250.380.310.260.450.440.330.290.270.150.07
0.550.860.390.490.440.400.410.830.840.861.201.521.491.371.170.790.710.770.780.830.700.590.750.861.151.031.090.891.031.090.970.971.301.090.830.861.111.001.012.061.771.301.122.441.571.261.152.482.041.261.081.341.861.301.031.991.771.511.451.530.770.36
0.910.880.931.280.961.020.880.931.061.041.071.151.151.101.180.890.770.750.730.710.840.830.840.761.050.991.231.091.141.181.271.121.260.961.001.100.950.970.881.141.171.170.701.070.960.911.161.421.441.091.091.301.371.260.921.321.461.421.521.151.030.79
99.2510296.9570.5593.3987.9810297.2384.6686.2184.2878.1178.3481.4776.1610111711912412610710810711985.9491.1073.1982.7479.0276.5371.0380.5071.4593.5490.0882.0194.2592.5710279.2876.9876.7112984.3593.7399.4377.9163.1962.6582.6982.5169.1865.8471.2497.3768.0561.6663.1959.1378.0087.35114
1.26-10.140.801.990.361.271.245.439.8610.2011.0712.2111.698.235.992.081.491.561.740.830.16-0.430.883.376.834.13-8.114.483.923.822.121.463.990.67-0.011.443.220.990.993.713.501.24-0.274.122.761.110.5510.4511.903.311.760.4115.2010.294.4217.3818.5910.048.454.23-14.26-28.96
1.43-11.460.892.210.401.441.365.9310.8111.2912.2113.6513.319.546.792.381.701.781.990.950.19-0.491.003.847.824.76-9.405.144.384.502.521.754.800.81-0.011.763.941.211.053.943.751.33-0.294.453.011.210.6111.5713.403.812.060.4817.9412.895.4221.8425.0715.0913.847.56-53.16-90.55
0.98-7.910.631.560.280.990.944.097.317.447.848.358.075.674.221.501.081.021.210.590.12-0.330.662.504.923.02-6.003.523.033.041.751.193.220.54-0.011.232.640.810.853.102.831.04-0.233.422.290.940.478.259.112.211.210.269.165.982.689.669.694.483.601.75-4.44-9.85
1.26-10.140.801.990.361.271.245.439.8610.2011.0712.2111.698.235.992.081.491.561.740.820.16-0.420.863.316.714.05-7.964.403.853.752.081.433.910.65-0.011.413.150.970.973.623.421.24-0.274.012.761.110.5510.4511.903.311.760.4115.208.153.4213.3213.606.915.632.74-5.74-12.41
17.7618.1620.5520.8620.7120.8920.7520.9120.6419.1219.3517.6815.7013.9713.0112.3112.1112.1012.1712.1712.3412.6012.9013.1112.9712.6112.1413.1112.4912.0411.5711.3511.3010.8410.7110.8010.6510.4210.3010.309.919.559.419.529.088.798.678.687.736.796.556.466.425.404.814.583.763.022.692.461.751.95
-0.01-0.49-0.133.011.671.511.476.384.562.711.514.722.781.360.931.491.000.610.391.001.271.260.831.751.330.800.711.890.940.590.420.970.49-0.010.111.160.640.630.601.071.081.020.491.240.890.740.772.421.620.750.452.732.031.380.351.170.890.530.46-0.76-0.70-0.51
-0.26-0.69-0.212.251.061.091.236.004.392.621.474.372.521.220.861.310.870.540.360.831.121.170.781.471.110.640.641.560.650.370.380.890.44-0.040.091.030.550.560.570.940.970.920.421.090.880.770.752.331.550.720.432.631.951.320.311.140.890.550.44-0.84-0.77-0.56