L3Harris Technologies Inc Financial Ratios for Analysis 2009-2024 | LHX

Fifteen years of historical annual and quarterly financial ratios and margins for L3Harris Technologies Inc (LHX).

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
1.011.171.401.571.141.201.081.321.401.791.501.841.551.911.68
0.370.250.270.250.450.510.540.570.600.460.500.490.430.350.39
0.700.380.370.331.051.161.381.481.530.891.111.050.820.550.69
26.3328.8830.1829.1734.3234.0834.6436.0539.0033.9633.7834.5234.8135.3931.66
9.5311.2611.7710.9516.0614.9215.1417.6116.2717.6015.9017.2618.3620.0810.75
9.5311.2611.7710.9516.0614.9215.1417.6116.2717.6015.9017.2618.3620.0810.75
17.4621.4618.5620.8419.8519.1120.4223.6322.5521.6720.2322.0422.2823.5914.30
6.297.4612.827.2716.3714.7215.0814.7510.1915.8613.0115.4416.7118.559.70
6.326.2210.366.1513.9511.339.215.418.6010.672.210.5610.8511.890.76
0.470.510.510.490.670.630.580.500.301.021.050.970.881.001.12
9.729.4012.6713.2412.419.894.584.422.345.355.065.784.904.965.63
15.7913.6415.5911.1010.509.649.118.003.108.446.977.156.066.296.32
23.1226.7623.4232.8834.7837.8740.0545.6311843.2652.3451.0360.2158.0457.74
6.365.709.545.2228.3421.4221.4519.998.4429.5329.5928.5623.8326.5316.71
-12.36-22.77-33.45-18.31-33.47-22.77-17.73-17.33-6.08-374.31-105.26-325.28-161.031841,183
2.873.165.312.949.427.136.225.092.1910.969.519.949.7012.257.00
3.994.276.993.9215.5610.509.938.513.3915.9014.7214.5213.6117.2610.25
99.2097.7199.8310028.3727.7124.4824.5327.5117.3014.6017.3520.4017.1814.23
11.0011.1513.2212.929.836.204.587.398.007.917.497.436.606.175.01
9.3110.0420.0811.648.505.083.626.186.616.045.895.394.024.654.10

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
1.040.900.981.010.881.091.141.171.101.271.321.401.541.701.781.571.371.511.41-1.491.141.421.271.17-1.121.221.11-1.661.571.31-1.421.331.63-1.931.891.78-1.751.711.66-1.471.941.88-1.471.341.26-2.012.221.36-1.891.851.83-2.19
0.370.360.370.370.370.300.310.250.240.260.260.270.260.260.260.250.230.220.22-0.220.450.490.500.51-0.520.530.53-0.570.560.57-0.560.580.59-0.460.470.47-0.470.480.49-0.480.510.50-0.500.460.47-0.430.440.34-0.360.370.38-0.28
0.680.700.730.700.720.480.490.380.380.370.360.370.360.420.350.330.320.310.33-0.301.050.981.121.24-1.341.311.34-1.451.391.47-1.421.551.47-0.870.910.91-0.920.981.02-1.151.061.07-1.181.081.13-0.830.800.63-0.560.610.63-0.39
26.8125.6725.8727.2126.5925.2926.0827.5728.1229.7030.2929.8230.9330.3629.6530.0229.3728.5728.71-26.8334.4234.0934.2734.50-34.1933.4234.82-35.66-36.83-34.9031.1832.63-36.48-34.03-33.6534.9735.02-33.25-32.75-35.7234.6733.10-36.54-37.31-38.32-32.49-32.51
9.358.987.2510.849.758.528.7910.6410.6511.7112.1411.5412.1811.2712.1112.1911.079.3411.15-9.4615.7116.15100.0016.41-13.00100.0015.82-18.47100.0017.32-17.29100.0014.47-17.94100.0017.14-17.62100.0017.59-16.42100.0017.04-18.05100.0016.38-16.65100.0019.15-19.89100.0014.86-16.88
9.358.987.2510.849.758.528.7910.6410.6511.7112.1411.5412.1811.2712.1112.1911.079.3411.15-9.4615.7116.15-16.41-13.00-15.82-18.47-17.32-17.29-14.47-17.94-17.14-17.62-17.59-16.42-17.04-18.05-16.38-16.65-19.15-19.89-14.86-16.88
---------------------------------------------------------------
8.137.365.571.428.147.938.3411.64-7.5612.7013.0613.5213.8612.4711.545.3011.617.564.78-9.9316.1916.3816.2716.67-13.3214.6616.17-15.6516.2214.30-14.2616.1311.93-15.0815.6715.24-15.8616.6215.76-14.1615.5614.87-16.6315.7214.39-14.8015.4317.90-18.5316.8513.37-16.44
7.566.915.432.967.797.447.549.09-7.0711.3911.5811.1311.378.8510.254.149.556.374.69-9.6814.3714.0613.5113.81-12.558.5311.28-5.7112.2211.27-10.84-8.708.17-10.6211.5310.82-11.1611.1310.55-7.883.77-6.80--25.8010.169.10-9.8710.5011.66-12.5011.468.69-9.48
0.130.130.120.130.120.130.130.140.130.120.120.130.120.130.120.130.120.120.12-0.110.180.180.170.16-0.160.160.14-0.130.120.12-0.130.140.14-0.250.250.24-0.260.250.25-0.240.250.24-0.240.210.22-0.230.250.27-0.290.270.27-0.28
2.772.752.622.642.202.252.142.572.282.342.623.112.853.733.553.353.533.703.33-2.423.402.632.582.45-1.071.081.03-1.070.920.93-1.021.121.10-1.191.241.18-1.251.151.18-1.241.351.31-1.181.221.29-1.291.441.31-1.271.161.28-1.23
3.864.314.314.143.453.283.513.663.593.343.073.813.593.753.532.843.373.293.12-2.832.883.262.802.64-1.752.301.93-1.901.871.42-1.291.601.63-1.782.001.87-1.531.661.70-1.631.741.85-1.461.441.43-1.711.891.98-2.021.781.62-1.36
23.3220.8920.8821.7626.0827.4425.6124.5925.0526.9529.3323.6525.0724.0225.5231.6526.7227.3528.85-31.8131.2727.6032.2034.03-51.4039.0546.60-47.2748.0163.19-69.5656.1755.06-50.6645.0448.13-58.6954.2953.01-55.3751.6048.65-61.6562.6263.11-52.6747.5145.42-44.4550.5155.56-66.19
2.121.941.520.672.041.891.842.24-1.632.452.452.512.442.072.280.882.011.250.89-1.900.186.746.596.66-6.314.385.52-5.635.164.75-4.726.064.27-6.857.676.96-7.648.007.82-7.437.586.92-8.125.986.02-5.67-7.14-7.85-5.44-6.24
-4.37-3.85-2.94-1.30-3.45-5.58-5.16-8.956.06-8.91-8.94-8.78-8.86-7.92-9.28-3.10-7.53-5.42-3.61--8.15-0.21-9.11-7.79-6.99--6.08-3.82-4.76--4.57-3.95-3.27--3.83-4.50-3.23--396.23-156.18-87.23--76.42-49.91-34.40--33.25-52.58-48.95--28.47-23.31-19.43-121--299.09-71.12-133-20.45
0.960.880.680.300.900.990.951.24-0.901.381.381.391.371.151.280.501.160.730.51-1.120.062.482.282.18-1.971.331.63-1.481.401.23-1.341.631.18-2.612.902.58-2.762.812.66-2.452.642.40-2.732.182.13-2.35-3.15-3.59-2.38-3.14
1.341.250.950.421.281.331.271.68-1.231.811.821.841.801.531.700.661.560.980.69-1.490.103.463.303.25-3.032.052.59-2.422.252.03-2.072.561.77-3.694.103.71-4.074.173.97-3.833.743.43-4.083.263.22-3.23-4.72-5.05-3.37-4.52
10199.6198.8699.2098.8098.0097.2197.7196.4910010099.8399.5799.0799.98100102103102-10328.3730.5528.9727.58-26.4625.2525.09-23.9425.4124.61-27.0526.1427.89-17.6617.4017.18-16.8616.0615.27-15.3516.2516.41-16.8920.0019.20-19.9718.9918.12-16.5015.5714.75-16.59
7.513.41-0.5511.006.884.021.8311.157.194.060.2013.229.256.723.1712.929.736.132.430.003.545.913.373.910.970.001.903.090.780.003.932.350.340.004.053.100.510.003.772.120.760.004.232.601.610.004.622.481.070.004.282.460.660.004.423.072.310.004.892.461.020.003.04
6.813.13-1.159.315.613.531.4610.046.303.57-0.0820.088.266.112.8611.648.825.632.21-2.844.583.063.350.71-1.252.730.59-6.311.960.18-3.402.710.32-2.801.360.37-2.931.811.30-3.431.740.68-2.731.38-0.03-2.862.221.99-3.842.130.87-2.31