Lithia Motors Financial Ratios for Analysis 2009-2024 | LAD

Fifteen years of historical annual and quarterly financial ratios and margins for Lithia Motors (LAD).

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
1.411.461.381.351.201.201.211.191.181.121.241.291.421.471.30
0.530.510.410.440.490.530.490.460.420.480.310.400.430.460.43
1.751.470.991.482.412.872.742.632.362.701.812.051.721.661.57
16.8418.2818.6516.9515.4215.0315.0315.0014.9515.2715.7516.2616.9117.8218.92
5.456.897.285.283.913.784.053.903.854.304.584.474.212.282.02
5.456.897.285.283.913.784.053.903.854.304.584.474.212.282.02
6.307.708.016.204.814.424.634.474.384.795.084.994.833.123.05
4.396.146.504.942.962.863.443.273.343.914.143.873.351.090.68
3.224.444.643.582.142.252.432.272.332.572.652.422.240.670.53
1.581.882.051.662.082.202.152.262.441.872.322.222.302.101.93
5.436.767.794.374.404.254.024.164.553.653.933.844.324.034.20
27.6434.6733.3121.3825.0922.3319.3320.7825.5018.2523.4924.9126.4827.1533.18
13.2110.5310.9617.0714.5516.3518.8917.5714.3220.0015.5414.6513.7813.4411.00
16.2224.2122.9617.6718.5022.1922.6421.6422.1020.1419.6818.5515.044.242.19
53.0866.6337.2527.3738.4356.1038.3242.2040.0241.9825.4123.8019.105.052.54
5.158.419.535.954.464.945.245.135.674.706.105.324.821.400.75
7.5511.7713.609.959.3710.4011.6111.7312.7710.5713.4911.108.552.311.24
22819115710163.2652.0543.3336.2231.5925.6620.6516.6714.1412.1811.90
-17.12-21.5661.9722.6022.4121.215.933.563.001.171.22-8.12-0.03-0.810.45
-24.98-31.6853.1115.9017.1414.892.34-0.30-0.13-1.90-0.51-10.36-0.10-0.710.15

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.191.171.411.331.361.301.461.661.591.381.381.411.491.261.351.241.201.201.201.181.161.171.201.201.201.191.211.211.191.151.191.171.171.161.181.161.151.141.121.251.211.241.241.251.321.221.291.301.231.371.421.381.371.371.471.511.341.291.301.271.131.21
0.560.540.530.520.530.520.510.510.500.410.410.360.370.430.440.520.470.510.490.490.510.510.530.520.530.510.490.490.440.410.460.460.430.420.420.430.440.470.480.300.310.330.310.300.380.330.400.390.370.410.430.450.440.430.460.470.430.430.430.450.420.51
2.111.971.751.621.651.581.471.401.341.030.990.841.011.431.482.041.882.422.412.442.722.762.872.722.872.952.742.642.462.402.632.522.482.432.362.342.462.572.701.621.851.871.811.601.861.822.051.891.891.731.721.791.811.701.661.651.611.601.571.551.922.38
15.4215.5916.4216.5717.0817.3717.4118.0118.6619.0619.7119.2718.4816.4716.4218.0016.8316.4415.2515.3315.3215.8214.8715.0814.8815.3414.6615.0415.2115.2814.6114.8615.1015.4914.7214.9314.9115.2814.5615.2515.7415.9615.5415.4715.8516.2215.7716.2216.3116.8416.0616.8117.4217.4316.6318.0117.9118.7117.7318.8019.4519.57
4.263.994.855.625.875.435.767.067.177.567.907.777.435.495.846.624.703.313.754.413.633.813.604.453.513.534.183.954.213.853.564.124.243.683.833.494.293.803.684.644.994.154.454.844.534.494.194.904.494.294.444.444.413.432.513.980.601.880.683.562.241.07
4.263.994.855.625.875.435.767.067.177.567.907.777.435.495.846.624.703.313.754.413.633.813.604.453.513.534.183.954.213.853.564.124.243.683.833.494.293.803.684.644.994.154.454.844.534.494.194.904.494.294.444.444.413.432.513.980.601.880.683.562.241.07
--------------------------------------------------------------
3.062.583.644.375.024.514.846.256.477.016.846.846.984.876.516.053.932.292.903.522.652.732.623.532.612.623.383.233.563.632.883.533.623.033.333.003.793.243.164.324.673.784.024.464.093.943.634.323.913.593.563.763.492.461.362.81-0.510.51-0.762.320.94-0.34
2.321.902.783.163.663.283.574.524.585.104.614.995.073.604.764.392.821.652.082.561.921.982.013.011.961.963.311.942.162.272.242.382.412.032.392.082.572.272.292.663.142.292.672.902.532.442.262.652.492.282.832.322.201.490.921.71-0.320.28-0.421.120.830.33
0.400.390.390.450.460.420.460.520.560.560.570.600.600.530.500.570.500.470.540.580.560.500.550.600.600.520.580.610.620.590.600.640.640.610.620.680.660.610.620.680.630.580.590.690.640.620.590.640.640.620.580.640.610.570.490.600.580.500.410.590.470.39
1.251.231.351.571.571.491.681.811.972.012.122.472.191.561.321.391.270.931.141.181.120.981.071.151.130.951.081.161.111.051.101.171.141.091.161.281.241.181.231.171.050.971.011.201.081.061.021.121.111.101.101.221.121.050.951.201.211.040.911.621.190.84
7.436.856.848.289.178.278.547.267.407.269.207.597.515.866.427.076.189.406.477.256.595.805.626.576.405.555.186.006.876.555.497.156.996.936.467.306.946.166.077.136.395.906.017.637.016.736.596.836.986.656.668.497.577.326.3213.9014.6513.267.0716.5013.3611.21
12.1213.1313.1610.879.8210.8810.5312.3912.1612.409.7811.8511.9815.3514.0112.7214.569.5713.9012.4213.6715.5116.0313.7014.0716.2317.3815.0013.1013.7516.4012.5912.8812.9913.9312.3312.9714.6214.8212.6214.0915.2614.9711.7912.8413.3713.6613.1712.8913.5413.5110.6011.8812.3014.246.486.146.7912.735.456.738.03
3.392.593.464.405.234.224.806.627.197.006.326.807.215.567.059.375.073.174.636.274.864.515.007.735.234.628.255.035.395.345.646.246.294.945.765.516.815.746.115.545.944.435.086.095.314.894.595.645.204.364.314.684.272.551.303.04-0.510.47-0.662.640.99-0.31
12.699.3911.3412.3314.1111.5013.2119.9216.7411.7210.269.679.418.5710.9221.2713.296.679.6314.3612.1811.6112.6315.728.897.6213.978.849.7910.0211.0011.1711.679.1710.4410.2812.7311.3712.747.187.835.796.567.726.846.195.897.186.605.475.476.015.513.021.543.63-0.600.54-0.763.131.17-0.37
0.930.741.101.451.701.401.672.352.602.842.623.033.021.892.372.481.400.771.121.491.070.991.111.801.181.021.911.191.341.331.341.521.551.231.481.421.701.391.431.811.811.341.572.011.611.501.321.691.561.391.381.461.330.820.431.00-0.170.16-0.230.810.27-0.07
1.501.191.612.102.432.032.333.243.584.143.744.334.523.173.974.552.691.572.353.222.382.222.343.742.472.264.232.573.013.143.063.393.562.863.333.153.793.063.213.894.122.993.484.263.283.272.753.443.282.582.452.572.371.460.701.61-0.290.27-0.371.460.57-0.15
23923222821820919819118117116715715014010610174.3267.2063.8863.2658.5954.9454.1352.0550.4047.5145.1143.3341.3139.4837.7836.2234.4132.4731.6331.5929.9528.6026.8725.6623.9022.6721.3320.6519.6018.4417.4616.6716.0515.1714.6914.1413.4612.9912.4912.1812.0611.7511.9211.9012.4712.2212.13
5.2910.59-17.12-6.42-10.82-1.78-21.56-18.75-9.200.8961.9765.6444.7518.5722.6034.6634.355.1822.4119.3810.403.3321.2115.609.491.945.9310.397.115.023.567.682.771.503.004.041.111.441.173.33-0.16-0.851.224.290.941.91-8.12-6.80-5.81-1.55-0.030.13-0.64-0.42-0.81-0.61-0.24-0.400.453.433.520.76
-2.277.84-24.98-12.24-14.31-3.17-31.68-25.76-13.40-0.9353.1159.4240.7716.7115.9029.4431.013.4217.1415.497.972.0914.8911.026.650.282.348.005.944.40-0.304.531.090.89-0.131.70-0.700.51-1.901.40-1.49-1.33-0.513.020.111.67-10.36-7.91-6.48-1.83-0.10-0.31-0.51-0.39-0.71-0.37-0.22-0.350.152.943.080.59