Littelfuse Financial Ratios for Analysis 2009-2024 | LFUS

Fifteen years of historical annual and quarterly financial ratios and margins for Littelfuse (LFUS).

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
3.752.642.924.424.453.503.523.262.772.712.712.872.532.903.23
0.260.280.240.300.310.320.350.350.100.130.12--0.080.11
0.350.450.340.430.450.470.530.560.230.270.320.140.170.160.17
38.1040.0537.1134.6736.3338.0241.4739.1238.0838.0839.0938.7038.6038.4629.14
15.2719.9218.5411.2312.8213.1017.8912.3712.0015.7117.1416.0017.1317.693.18
15.2719.9218.5411.2312.8213.1017.8912.3712.0015.7117.1416.0017.1317.693.18
21.0924.7223.2817.8818.9719.1023.0518.8016.7920.6221.6920.7121.9822.9611.70
13.9117.6216.4011.1511.0311.9316.7011.6712.3215.4516.3914.9817.3117.712.52
10.9814.8513.658.999.259.589.789.899.3211.5111.7211.2813.0912.872.17
0.590.640.660.530.590.660.700.710.810.800.740.860.980.980.81
3.082.752.933.664.034.125.085.645.455.424.995.425.404.675.80
8.238.207.566.217.437.386.696.006.076.295.936.647.226.225.41
44.3444.5148.2958.7749.1049.4754.5960.8460.0957.9961.5954.9550.5558.6867.48
10.4616.8814.998.089.3011.1312.8912.8210.9413.4812.9312.8217.3717.382.49
45.9886.7250.9925.9939.2756.7244.2252.6817.6622.9322.0818.5925.5326.383.81
6.499.569.004.735.436.296.877.017.599.168.679.6912.8312.661.77
7.7712.1311.335.666.427.618.448.279.8311.7611.3712.8217.3715.932.20
99.5789.3176.7065.7061.3659.6740.8436.6833.5132.5130.5729.3423.2520.8117.37
18.2216.8014.9710.499.8913.1511.747.937.306.745.215.265.434.681.36
14.8212.6511.968.407.6410.578.915.905.375.323.664.404.653.900.72

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
3.553.503.573.753.032.912.702.643.194.313.612.923.413.463.654.424.905.355.254.454.053.903.823.503.463.593.683.523.363.493.583.262.952.912.602.772.642.962.982.712.302.222.232.712.522.442.932.872.682.582.532.532.262.653.282.903.283.443.303.232.823.113.46
0.240.240.240.260.260.270.270.280.320.300.230.240.250.260.270.300.320.350.340.310.310.310.310.320.310.320.340.350.350.350.350.350.350.320.320.100.110.110.120.130.110.110.120.120.130.13--------0.070.080.090.100.110.110.140.150.18
0.340.350.350.350.410.420.440.450.470.430.300.340.360.370.390.430.470.530.520.450.460.450.460.470.460.470.520.530.540.540.550.560.550.470.490.230.280.230.260.270.370.410.400.320.350.370.160.140.150.160.180.170.190.130.150.160.130.130.150.170.220.220.25
38.0537.0735.0836.2637.3738.3740.1737.2638.9842.5241.4936.0739.7737.7134.6034.4635.4632.5135.9334.9536.1835.6438.2838.5840.8936.8035.8141.5442.0442.3239.8240.1940.5835.9939.7237.5939.9938.4136.2936.5740.1537.5737.9538.9240.2739.1737.8037.4139.7539.5637.9036.3639.3539.6338.7137.8341.1437.7036.9035.2231.4525.0621.65
15.4811.7310.2612.0915.4315.0418.1415.3618.5021.6924.1616.7822.2618.3916.4916.2316.49-3.8912.939.5513.0313.2314.9612.8317.3612.988.9916.6618.4419.2317.1114.419.8210.9214.7813.573.9816.2914.0512.7718.4415.2616.2416.5718.6816.7116.4511.3517.9118.2516.0812.3117.0019.9818.5017.0520.8717.4614.9913.488.60-3.41-11.97
15.4811.7310.2612.0915.4315.0418.1415.3618.5021.6924.1616.7822.2618.3916.4916.2316.49-3.8912.939.5513.0313.2314.9612.8317.3612.988.9916.6618.4419.2317.1114.419.8210.9214.7813.573.9816.2914.0512.7718.4415.2616.2416.5718.6816.7116.4511.3517.9118.2516.0812.3117.0019.9818.5017.0520.8717.4614.9913.488.60-3.41-11.97
---------------------------------------------------------------
13.7010.9510.4011.0412.4013.9617.8616.8514.5717.7221.5210.7621.0518.1915.6817.2017.22-3.4410.267.2311.4413.4611.459.8915.5311.3910.6914.3417.4718.3016.6211.1610.8612.5112.3413.725.8716.9912.5612.1318.9314.2916.3517.3318.1718.8510.529.3516.8117.8615.4312.6717.8519.6918.3116.9620.6918.1314.6212.327.58-3.80-11.72
10.238.149.058.039.5211.4514.5515.2111.4514.0718.859.3917.0615.6812.4414.7214.14-2.937.126.699.8511.019.128.1212.199.228.62-3.5513.4715.5213.629.5810.999.998.799.485.2512.929.518.8113.7611.1312.2711.9413.4314.196.727.6313.1913.0410.9110.3514.3314.3112.9113.4314.2812.8710.719.106.92-2.55-9.22
0.140.140.140.130.150.150.150.160.170.170.200.180.180.180.170.150.150.120.130.130.140.150.150.150.160.180.160.180.190.190.180.190.190.200.160.210.200.200.200.190.190.200.190.190.200.200.220.200.230.240.220.220.250.250.250.230.270.280.260.240.220.200.17
0.770.780.760.720.790.720.650.700.750.720.780.790.911.001.031.021.040.840.980.930.961.010.960.961.051.211.021.271.351.441.451.491.371.400.991.391.301.401.391.351.301.431.301.311.311.371.491.321.281.321.281.241.281.341.331.111.461.621.591.581.481.371.07
1.671.761.811.861.851.801.882.001.941.801.952.011.661.671.681.721.691.651.661.671.601.621.701.731.751.761.711.671.611.571.341.621.371.381.211.541.481.471.541.531.621.521.521.551.561.431.601.581.581.521.501.601.571.491.511.461.511.471.551.611.451.481.61
53.7351.2449.7448.3948.5549.9547.9144.9946.4149.9646.1344.7854.3353.8753.6952.2853.3154.4154.0753.7956.2855.5852.8052.1051.5751.0552.7553.9455.9357.1667.0355.6865.8865.3874.4158.4560.8361.3358.2658.9655.7159.0259.2058.0957.8062.8556.3756.9956.9059.3059.9656.3157.2660.2959.5961.6859.4161.2158.1255.9461.9660.8655.92
2.261.841.961.732.402.973.854.223.614.245.872.745.054.713.483.673.62-0.611.671.512.422.902.462.213.522.882.50-1.174.595.434.543.34---2.82---2.50---3.44---2.05---3.04---4.33---3.10---
8.367.438.197.6011.3715.9423.9021.6723.9511.4017.239.3313.5714.0711.5911.7912.77-2.416.936.4010.7312.7911.2311.2617.1717.0818.38-4.0015.7019.2718.4013.7418.2012.137.314.562.516.014.494.256.935.936.465.887.177.872.742.975.746.154.764.477.446.826.416.577.637.045.764.753.61-1.26-4.03
1.431.161.231.071.441.762.242.392.002.463.681.653.032.802.072.152.09-0.340.940.891.401.671.411.252.011.641.37-0.622.513.002.521.832.112.021.371.961.042.611.891.702.642.182.322.312.682.781.461.552.983.172.452.253.633.633.283.153.903.582.812.201.52-0.51-1.52
1.721.391.481.281.772.182.803.032.462.964.512.073.773.472.532.572.45-0.401.101.051.672.001.701.512.421.961.65-0.763.003.552.952.162.492.391.692.541.373.322.392.183.623.003.183.033.573.711.922.053.924.203.323.045.024.794.063.974.894.423.472.741.94-0.65-1.98
10499.5099.4499.5796.5794.7893.0589.3184.3882.8981.0276.7073.9670.7763.4065.7062.7660.0860.8461.3660.4761.3160.8859.6760.4059.7758.9040.8441.0939.4237.7136.6835.4834.3634.4133.5132.7933.7632.4932.5132.7332.3031.3530.5729.4627.7626.9829.3426.4424.9924.4323.2523.0823.6522.4120.8120.0618.7818.2217.3716.3915.4614.90
8.275.062.2718.2212.456.042.1316.8012.546.622.0714.979.665.072.0210.496.684.171.849.896.523.211.2413.159.905.552.8011.747.904.061.007.934.401.560.427.305.012.711.026.744.581.870.515.213.791.730.725.263.431.480.365.433.772.040.614.683.351.170.311.360.03-0.19-0.09
6.633.991.6614.829.974.421.1112.659.454.390.8811.967.453.871.538.404.992.961.177.644.962.440.7010.577.743.962.078.915.812.840.465.902.890.680.025.373.461.560.485.323.721.290.223.662.681.090.474.402.881.190.214.653.241.580.423.902.861.060.410.72-0.57-0.72-0.42