Lowe's Financial Ratios for Analysis 2009-2024 | LOW

Fifteen years of historical annual and quarterly financial ratios and margins for Lowe's (LOW).

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
2024202320222021202020192018201720162015201420132012201120102009
1.231.101.021.191.010.981.061.001.011.051.161.271.281.401.321.22
1.741.771.250.940.890.800.730.690.600.520.460.390.300.270.190.22
-2.39-2.38-5.1315.169.794.452.892.441.651.140.890.660.460.360.270.34
33.3933.2333.3033.0131.8032.1332.6933.3434.8234.7934.5934.3034.5635.1434.8634.21
13.3810.4712.5610.778.755.639.608.998.418.526.886.215.796.615.987.27
13.3810.4712.5610.778.755.639.608.998.418.527.777.056.537.296.597.85
15.6112.5114.5212.5510.719.2211.8411.4411.1011.3410.6910.269.6710.7410.2611.31
11.789.3111.648.647.794.768.008.007.487.616.886.215.796.615.987.27
8.926.618.746.495.923.245.014.714.294.774.253.853.634.083.754.53
2.072.222.161.921.832.071.941.891.891.771.631.551.501.451.431.48
3.413.503.653.713.733.854.054.144.074.113.833.863.933.813.733.87
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-51.34-45.16-175.2940621763.5058.6948.0733.2627.0719.2914.1411.1211.109.3512.16
-51.34-45.16-175.2940621769.2675.4957.7933.9527.0719.2914.1411.1211.109.3512.16
18.4914.7318.9112.4910.856.719.778.998.148.516.986.005.485.965.406.73
38.0034.5744.3326.4022.8412.8316.0814.8513.2612.9910.428.567.808.157.569.50
-26.22-23.72-7.191.972.584.557.087.438.4110.3811.5112.4813.3213.3813.0712.28
13.9413.6114.4714.735.527.636.036.385.154.983.873.273.422.752.772.83
10.6710.7811.9812.463.826.274.755.093.924.143.062.332.021.821.550.61

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.221.171.231.211.261.251.101.201.111.171.021.191.161.171.191.381.301.201.011.041.061.090.981.001.061.021.061.021.031.041.001.011.011.171.011.000.920.971.051.121.111.111.161.211.171.151.271.261.291.241.281.141.171.211.401.341.391.261.321.231.191.211.22
1.661.731.741.751.701.701.771.641.421.311.251.071.010.980.940.840.820.920.890.870.860.840.800.730.720.720.730.730.740.740.690.680.680.670.600.580.540.520.520.500.470.470.460.440.410.410.390.390.380.370.300.260.280.270.270.230.220.230.190.190.190.210.22
-2.61-2.46-2.39-2.37-2.47-2.48-2.38-2.60-3.42-4.20-5.13-16.65-138.9252.2315.165.355.0112.719.797.266.655.424.452.892.742.762.892.792.912.902.442.272.252.141.651.501.311.201.141.060.900.880.890.800.690.680.660.640.650.630.460.390.390.380.360.300.290.320.270.260.260.280.34
33.4733.1932.4033.6633.6633.6832.3333.3033.2434.0332.9333.1133.7833.2931.7832.7234.0833.1031.0932.4432.1131.4631.3130.8832.9633.1127.4434.0734.2134.4029.4134.3534.4435.0334.6534.7534.4835.4734.6734.4934.5535.5034.6734.5834.3534.8034.2734.3233.9334.7034.2134.0634.4935.4535.5735.0534.8635.1834.9534.2034.8435.4633.73
14.6112.429.0713.1715.5714.717.593.9415.3913.968.6612.1715.2713.297.509.7514.4910.125.988.9611.347.99-3.625.5010.368.447.099.2212.229.258.055.9711.2310.416.408.2710.607.779.596.9710.207.034.296.179.596.634.125.268.406.464.172.979.146.074.355.629.306.343.164.648.786.422.59
14.6112.429.0713.1715.5714.717.593.9415.3913.968.6612.1715.2713.297.509.7514.4910.125.988.9611.347.99-3.625.5010.368.447.099.2212.229.258.055.9711.2310.413.329.2511.378.726.537.9510.967.955.397.1310.297.505.126.209.077.255.053.749.766.805.176.319.887.013.715.329.337.083.30
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13.2710.777.2011.4814.2113.156.162.6814.4312.937.5611.2014.4912.426.504.0113.699.084.847.9410.547.07-4.634.629.627.526.108.2711.405.547.034.9310.329.392.238.2710.607.775.486.9710.207.034.296.179.596.634.125.268.406.464.172.979.146.074.355.629.306.343.164.648.786.422.59
10.088.195.478.6410.6810.094.260.6510.869.835.638.2410.919.474.793.0910.316.783.186.027.965.88-5.253.617.255.673.575.197.253.564.092.396.365.780.085.106.464.743.564.256.224.632.603.825.954.102.593.265.213.982.751.885.663.762.703.455.743.922.013.005.443.991.61
0.520.470.450.480.560.490.510.500.590.480.480.460.560.480.430.440.530.430.410.440.520.410.450.470.560.450.440.460.530.450.460.450.500.410.420.430.530.410.400.400.500.390.360.380.470.380.340.360.410.350.350.350.430.340.310.340.410.330.310.330.410.350.31
0.930.780.740.770.950.760.820.790.950.770.810.921.050.890.860.961.300.920.840.861.040.810.860.971.180.880.990.891.120.901.070.941.130.900.910.901.170.860.920.921.170.820.830.881.130.830.840.881.080.880.920.871.080.810.810.881.080.810.800.891.100.850.81
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-17.31-12.02-6.78-11.71-18.14-15.36-6.72-1.20-35.44-33.92-25.06-120.30-1,724.5752268.0616.9964.9277.9125.8642.6863.4832.32-22.5911.6626.2917.209.4315.1925.6310.8810.305.6516.6212.260.148.7812.967.104.515.459.245.432.583.947.204.072.092.785.043.471.951.344.952.641.572.144.332.571.071.773.962.580.90
-17.31-12.02-6.78-11.71-18.14-15.36-6.72-1.20-35.44-33.92-25.06-120.30-1,724.5752268.0616.9964.9277.9125.8642.6863.4832.32-24.6315.2633.7022.1712.1319.7533.1513.5312.396.6819.6212.520.158.9513.207.104.515.459.245.432.583.947.204.072.092.785.043.471.951.344.952.641.572.144.332.571.071.773.962.580.90
5.303.872.444.176.004.922.190.336.404.692.703.846.114.532.091.365.462.921.292.644.122.42-2.391.714.102.581.572.373.871.601.931.073.202.380.042.193.441.961.421.723.141.820.931.462.821.550.881.172.131.420.960.662.441.280.851.182.401.310.621.002.221.390.50
11.408.775.028.7712.6610.685.140.7714.7210.656.348.5013.8510.384.422.7411.526.102.725.498.745.29-4.563.177.344.772.584.096.652.833.181.805.394.110.063.705.923.402.172.724.882.891.392.194.262.421.261.703.132.181.370.993.551.921.161.653.361.990.861.443.202.030.70
-24.23-25.54-26.22-26.34-25.31-24.85-23.72-21.06-13.38-10.55-7.19-2.30-0.250.621.975.425.762.272.583.203.404.074.556.697.136.997.086.916.616.487.437.687.978.078.419.149.3610.0110.3811.0211.3411.3511.5112.0512.2912.1812.4812.6712.8712.8113.3213.3413.3213.2513.3813.5513.5013.1813.0713.1512.9812.5112.28
13.017.4513.9412.1910.203.5313.6113.139.414.5014.4713.269.786.2414.7315.2315.615.895.525.344.592.687.638.427.114.156.036.466.033.846.386.035.233.585.154.944.462.604.984.783.941.963.873.683.141.833.273.112.412.043.423.112.581.822.752.751.961.902.772.972.531.602.83
11.636.8110.679.918.922.9010.7811.438.363.9911.9811.598.695.6912.4613.7614.735.493.824.233.972.456.277.446.483.894.755.545.473.615.095.124.693.363.924.073.872.364.144.233.581.793.063.162.831.652.332.361.921.792.022.121.981.591.822.041.541.711.552.021.851.220.61