Lennar Financial Ratios for Analysis 2009-2024 | LEN

Fifteen years of historical annual and quarterly financial ratios and margins for Lennar (LEN).

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
6.126.989.5611.4414.3713.908.428.937.868.726.926.464.885.198.55
0.100.140.180.250.330.370.450.390.460.470.480.500.500.490.52
0.110.170.220.330.490.580.880.720.971.011.011.151.261.221.07
17.3521.3920.4115.4512.5911.3512.8513.6513.7514.1314.0210.816.427.10-10.98
15.8920.1618.9413.9711.158.9310.5911.5311.4611.8511.567.703.344.05-14.75
15.8920.1618.9413.9711.158.9310.5911.5311.4611.8511.567.703.344.05-14.75
16.2120.4119.2314.2811.449.2611.2012.1212.1312.6212.468.914.704.70-14.06
15.2017.8621.4513.8910.9411.009.4112.1512.7712.4711.495.413.173.08-24.38
11.3613.5516.1310.838.238.176.358.248.388.117.9716.282.943.06-13.37
0.870.890.820.750.760.720.670.710.660.600.530.400.340.350.43
1.541.341.151.121.091.071.011.030.930.860.770.730.660.680.85
38.5549.9655.3475.3067.6386.8691.8635.1541.2831.4736.2476.3857.3537.406.83
9.477.316.604.855.404.203.9710.388.8411.6010.074.786.369.7653.41
14.8419.1821.2313.6311.4911.709.6612.6613.7711.9710.9116.433.413.77-17.24
17.0322.3525.3916.8414.6315.289.8312.6613.7711.9710.9116.433.413.77-17.24
10.1012.2413.428.246.276.014.125.945.684.864.486.341.231.37-6.10
13.4216.4317.3810.267.747.395.367.757.466.345.728.211.691.91-8.34
95.0483.6470.1257.8850.7645.2833.2830.7628.1825.6122.6820.8917.5317.1214.00
18.2811.278.2613.544.665.484.142.16-1.78-3.45-3.58-1.94-1.331.452.47
17.9811.168.1813.424.635.063.671.94-1.20-2.18-1.93-1.11-1.381.432.47

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
4.904.935.476.126.667.097.826.987.738.069.519.5610.6811.0211.9611.4413.6214.2112.6514.3714.1913.9314.7713.9012.6211.8116.408.427.768.439.338.939.269.529.557.867.868.768.688.728.318.517.696.927.109.439.296.466.215.925.784.884.695.015.155.195.365.595.408.557.597.917.50
0.080.080.100.100.110.130.140.140.150.180.180.180.210.230.240.250.290.310.330.330.370.380.380.370.400.420.440.450.420.440.440.390.420.460.470.460.480.490.490.470.480.490.500.480.530.530.530.500.490.480.510.500.490.490.490.490.480.490.470.520.530.520.51
0.080.080.110.110.130.150.160.170.180.210.220.220.270.300.310.330.420.450.500.490.590.620.620.580.680.760.790.880.800.880.880.720.810.920.980.971.061.081.091.011.061.091.091.011.201.191.181.151.111.081.231.261.191.191.211.221.131.161.111.071.111.071.04
15.6415.9214.7018.6618.3716.5914.7319.1323.2323.6219.4522.2520.7119.4218.2918.2016.6014.0211.4614.1112.6512.1510.4013.6611.978.989.4913.9513.7312.2610.6514.9513.6013.7811.3615.1113.9913.4411.3716.2514.2212.5512.0916.3714.2113.649.7113.1711.0510.486.456.667.975.834.555.928.879.502.93-21.56-6.95-2.02-13.08
13.8914.1312.5517.4217.0615.0412.7918.3421.9422.3617.6221.0419.3418.0116.2116.9315.1312.549.6213.0611.0710.788.3411.9910.066.993.7111.6911.5010.228.0512.9411.4411.748.9712.8711.7311.348.7114.0212.0810.449.2914.1111.8611.266.5610.288.117.352.753.665.193.140.373.015.966.77-1.02-25.14-10.77-5.35-17.72
13.8914.1312.5517.4217.0615.0412.7918.3421.9422.3617.6221.0419.3418.0116.2116.9315.1312.549.6213.0611.0710.788.3411.9910.066.993.7111.6911.5010.228.0512.9411.4411.748.9712.8711.7311.348.7114.0212.0810.449.2914.1111.8611.266.5610.288.117.352.753.665.193.140.373.015.966.77-1.02-25.14-10.77-5.35-17.72
---------------------------------------------------------------
16.3014.3912.7316.2716.9014.4012.0917.2920.4220.9910.9118.7426.1417.0624.9217.0614.6312.809.4012.7511.3910.068.2516.059.987.169.0412.2011.309.492.1213.6611.9811.9410.1214.6812.8711.6910.7414.6313.0311.209.2314.4611.8111.375.387.775.335.600.891.242.943.376.514.514.784.37-3.32-33.14-23.82-14.59-26.27
12.2310.769.7412.2712.5510.679.0912.8616.2515.598.0313.9620.0312.7618.5712.7911.229.678.759.588.697.526.1512.227.925.634.528.107.566.491.619.198.247.887.159.468.877.576.919.388.727.485.668.447.419.505.739.037.7847.952.033.102.501.784.913.603.644.88-1.143.89-23.81-14.04-26.29
0.240.230.190.280.230.220.180.270.250.240.190.250.210.210.170.230.200.180.150.240.200.190.130.230.200.190.110.200.190.190.140.220.190.180.140.200.180.170.130.200.160.150.120.170.150.140.090.130.110.100.080.100.090.090.070.100.100.100.070.120.100.120.08
0.400.370.320.490.320.310.260.420.300.290.240.350.290.280.250.330.280.250.210.340.270.260.190.330.280.290.150.300.260.270.200.310.250.250.190.290.240.240.170.280.220.220.170.240.210.210.160.230.190.170.150.200.180.170.120.190.180.180.140.270.180.210.15
9.469.768.1512.3510.3512.9811.5915.1013.4316.4313.6017.2018.7918.1717.7422.8519.8317.6514.4521.1819.8318.3217.3827.2733.2428.1415.3527.5037.646.558.0510.8435.8861.0232.5612.8433.4033.9723.6410.4524.148.7110.4511.6927.3523.7117.0225.1323.7620.7415.1817.6514.7511.419.1110.4611.3711.011.692.006.4111.405.68
9.519.2211.047.298.706.937.765.966.705.486.625.234.794.955.073.944.545.106.234.254.544.915.183.302.713.205.863.272.3913.7411.188.302.511.482.767.012.692.653.818.613.7310.348.617.703.293.805.293.583.794.345.935.106.107.899.888.607.928.1753.3444.9614.057.8915.85
4.313.562.695.124.333.492.445.546.376.072.445.696.784.255.354.923.873.102.424.193.312.751.615.443.312.301.043.733.182.700.414.313.453.522.394.923.973.372.204.813.442.511.703.962.933.531.403.091.8512.020.240.770.720.761.201.331.271.54-0.250.68-7.25-5.31-6.39
4.924.073.095.885.004.042.846.467.487.212.936.808.135.156.536.084.843.913.075.334.263.552.097.104.393.071.403.793.242.750.424.313.453.522.394.923.973.372.204.813.442.511.703.962.933.531.403.091.8512.020.240.770.720.761.201.331.271.54-0.250.68-7.25-5.31-6.39
2.992.481.853.482.982.381.643.544.173.861.563.594.302.683.332.982.281.761.342.291.741.420.832.791.651.110.491.591.441.200.182.021.551.511.022.031.591.330.891.961.411.020.691.621.111.360.551.190.734.860.090.280.270.290.450.480.470.56-0.090.24-2.46-1.81-2.20
3.983.282.434.633.843.032.104.755.425.002.004.655.353.274.073.702.742.141.612.822.091.700.993.441.991.330.582.071.851.520.232.632.001.921.272.672.061.711.122.551.781.280.852.071.391.660.661.540.956.270.120.380.370.390.610.670.660.79-0.130.33-3.44-2.56-3.13
10298.3896.2095.0490.6987.5484.8583.6479.4374.7870.5570.1267.1463.0860.6857.8855.2653.2751.8650.7648.6947.3346.0945.2842.7441.5840.4533.2832.5631.7230.9530.7629.6929.0328.3828.1827.0126.6825.8725.6124.5523.7323.0022.6822.6720.9621.1620.8920.2219.9717.5717.5317.5417.4317.2917.1216.5916.3816.1114.0013.1214.1615.38
5.292.231.3318.289.165.753.4211.271.910.18-0.258.264.272.321.2513.549.384.251.234.660.94-1.34-1.635.482.220.06-0.614.141.38-0.670.332.16-0.01-0.76-0.94-1.78-4.72-4.30-3.17-3.45-3.94-3.17-1.73-3.58-4.52-2.69-1.42-1.94-2.23-0.98-0.62-1.33-0.590.020.051.450.981.470.492.472.191.540.51
4.921.891.0817.989.025.673.4011.161.820.21-0.278.184.262.351.3213.429.354.261.224.630.90-1.48-1.725.062.130.02-0.703.671.41-0.640.331.940.11-0.74-0.94-1.20-4.28-4.21-3.17-2.18-3.99-3.20-1.75-1.93-4.54-2.70-1.43-1.11-2.25-0.98-0.61-1.38-0.610.020.051.430.981.470.482.472.181.530.51