LPL Financial Holdings Financial Ratios for Analysis 2009-2024 | LPLA

Fifteen years of historical annual and quarterly financial ratios and margins for LPL Financial Holdings (LPLA).

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
1.771.601.751.591.291.341.391.441.481.321.411.291.721.671.29
0.640.560.630.640.700.710.710.730.750.630.580.540.500.540.62
1.801.251.681.782.562.672.672.893.321.861.571.331.131.341.76
40.1037.0931.7935.8238.6237.5436.3234.4331.7630.3230.1430.3829.6323.0030.73
16.2314.399.4612.4615.5613.8311.549.737.998.018.478.7910.101.276.31
16.2314.399.4612.4615.5613.8311.549.737.998.018.478.7910.101.276.31
19.8417.8112.5215.5718.5016.7614.5012.6910.6810.3110.5910.8812.344.1910.39
14.3712.937.7910.6613.1911.428.527.356.616.747.036.848.12-2.852.64
10.619.835.968.059.958.475.584.743.954.074.394.154.83-1.831.73
0.970.910.970.890.960.950.800.840.951.081.020.920.910.850.82
---------------
7.276.646.116.266.186.265.565.746.286.135.054.765.503.954.83
50.1854.9859.7058.2759.0858.2865.5963.6358.1059.5972.2676.7066.3292.3675.50
51.2939.0227.5335.9554.6845.1224.7523.3823.5918.3216.5313.3312.67-4.845.58
-237.34868-107.71-79.24-60.88-43.93-27.24-21.35-16.19-21.58-25.05-20.67-32.338.37-4.57
10.278.925.757.179.528.024.463.973.734.404.503.814.46-1.561.42
18.3417.3110.2512.9116.3613.137.136.405.816.866.906.186.36-2.222.14
27.8527.3520.8816.5512.7611.4510.759.197.9910.0010.8010.7312.4610.809.03
6.5823.945.549.797.376.424.924.322.892.281.512.293.95-0.262.75
1.4020.162.907.865.524.953.712.902.141.470.771.803.62-0.512.67

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
2.162.161.841.771.871.741.731.601.501.851.831.751.351.371.291.591.311.291.311.291.331.421.401.341.401.441.421.391.481.521.511.441.521.491.481.481.391.371.341.321.381.391.371.411.511.611.361.291.561.581.501.721.791.691.711.671.431.401.331.291.291.251.19
0.620.640.630.640.600.590.570.560.580.600.610.630.640.650.630.640.670.690.720.700.710.710.710.710.710.700.700.710.720.710.710.730.730.740.750.750.640.640.630.630.590.590.590.580.580.560.520.540.540.520.530.500.510.520.520.540.600.610.610.620.620.620.63
1.601.771.701.801.491.411.301.251.361.481.571.681.871.921.811.782.182.402.692.562.562.592.642.672.622.522.502.672.702.612.692.892.963.103.273.321.921.941.851.861.561.571.621.571.571.431.211.331.301.221.281.131.141.171.191.341.661.701.701.761.821.892.01
36.3836.8337.7238.2040.0140.1442.2341.6738.7334.8832.3830.6931.2331.6933.9333.7634.6335.7339.3337.1738.3338.5540.5238.5537.0637.1737.3736.1236.3536.4736.3334.4234.1033.8435.3831.6032.2131.2032.0330.3730.4030.0830.4129.2630.1030.0131.3029.9230.5530.5930.4829.2729.3329.0730.842.1730.8429.5730.9729.6731.4930.6831.17
13.3613.4515.3313.1714.5117.5720.0019.5615.7111.829.717.828.179.8412.5710.8010.9911.9716.1913.7814.8316.4817.2414.7513.4515.0012.059.7411.6913.0511.768.929.0510.1610.796.237.798.928.908.826.287.699.237.117.099.3810.547.917.398.8911.029.588.9110.4711.41-20.658.629.409.296.012.608.718.21
13.3613.4515.3313.1714.5117.5720.0019.5615.7111.829.717.828.179.8412.5710.8010.9911.9716.1913.7814.8316.4817.2414.7513.4515.0012.059.7411.6913.0511.768.929.0510.1610.796.237.798.928.908.826.287.699.237.117.099.3810.547.917.398.8911.029.588.9110.4711.41-20.658.629.409.296.012.608.718.21
---------------------------------------------------------------
11.1711.2613.2111.1112.5915.7518.3817.9714.1810.418.396.526.838.529.679.229.2710.0414.1911.4012.5714.0414.8612.3311.0712.549.667.169.0810.587.276.456.717.828.424.426.517.717.637.295.096.518.055.905.827.359.296.595.987.417.417.677.038.449.33-22.956.051.096.022.74-0.924.804.17
8.218.3210.198.238.8911.5714.0213.6810.747.876.475.165.106.277.597.057.117.4410.648.759.3110.5111.339.138.039.147.535.745.466.424.654.145.114.695.012.633.894.614.574.403.053.944.894.063.574.435.613.913.784.354.574.554.075.095.61-14.223.441.013.442.53-0.212.332.30
0.260.250.260.250.270.260.260.250.220.260.270.260.270.260.260.240.240.230.240.250.250.260.250.240.250.250.230.210.210.220.220.210.220.220.220.230.270.270.270.270.280.280.280.270.270.260.260.240.250.250.240.220.240.240.240.220.230.240.220.220.220.210.19
---------------------------------------------------------------
2.102.091.821.911.871.871.821.801.541.491.511.661.551.611.631.691.561.561.571.591.651.541.671.591.501.641.471.451.351.581.581.431.531.481.561.501.261.331.361.551.321.331.411.331.391.411.231.231.341.441.401.311.371.371.161.041.231.361.181.291.231.301.24
42.7943.0449.5047.0448.0148.0149.4649.9858.3160.3859.5254.2758.0455.8655.0853.3557.7257.8557.2256.5954.5858.4153.7556.6159.8854.8561.3362.0366.4356.9957.0863.0758.6960.9457.7660.0271.6167.6866.1558.2068.3867.8763.8267.4464.5963.9873.0973.3366.9462.6564.1268.6665.7265.8377.4486.4773.2066.3876.0369.6573.3769.2972.47
9.219.6912.7210.4610.7313.4515.4514.7211.628.717.716.476.387.669.048.488.609.1815.3912.3712.9114.2515.3912.3510.9111.809.276.646.187.665.545.086.576.356.973.754.345.335.175.003.134.035.034.043.453.804.603.242.873.243.502.932.813.603.87-9.932.820.892.892.19-0.181.881.83
211-190.85-110.28-48.43-69.49-111.41-221.46328-328.40-69.23-39.18-25.32-20.79-20.60-27.98-18.70-14.71-12.66-17.00-13.77-14.02-15.93-16.38-12.03-10.91-12.27-9.53-7.31-7.74-8.47-5.74-4.64-5.54-4.86-4.91-2.57-4.99-6.03-6.28-5.88-4.48-5.84-6.99-6.12-5.06-6.74-8.10-5.03-4.95-5.93-6.01-7.49-6.23-7.29-8.1517.15-2.80-0.82-2.56-1.790.14-1.42-1.31
2.142.122.622.092.363.043.703.372.402.081.721.351.361.651.961.691.701.722.552.152.292.722.832.202.022.271.751.201.151.431.010.861.131.041.100.591.031.241.251.200.851.111.351.100.961.151.440.930.931.101.091.031.001.241.33-3.200.780.240.760.56-0.050.480.44
3.543.504.723.744.305.576.726.534.923.523.002.412.322.713.353.052.832.854.343.703.784.184.463.603.193.512.761.911.752.231.581.391.751.631.730.921.571.901.931.871.281.662.051.691.431.652.191.501.331.541.631.471.381.751.88-4.541.130.351.130.84-0.070.710.68
37.0533.6530.3827.8527.6527.6927.9927.3525.0723.0721.6720.8820.1719.3817.9516.5515.2314.0012.8312.7612.5412.3812.0211.4511.3011.3911.2310.7510.439.939.629.198.888.478.127.999.979.9010.1310.0010.6410.6510.5010.8010.6511.2411.1710.7310.9310.9810.6712.4612.0411.4711.6310.809.849.529.379.038.798.798.60
6.053.275.646.584.802.52-2.5723.9426.12-0.03-0.925.542.44-0.720.749.795.764.224.707.376.08-0.640.416.422.180.66-0.244.921.341.140.084.322.911.721.332.892.162.581.322.282.201.140.831.511.34-0.040.072.290.910.50-0.253.953.273.091.67-0.261.080.53-0.872.751.241.240.00
0.79-0.044.041.400.94-0.07-3.8420.1623.26-1.87-1.822.900.73-1.760.247.864.373.324.285.524.84-1.380.064.951.230.12-0.493.710.410.50-0.262.901.831.091.102.141.632.251.181.471.590.700.620.770.96-0.34-0.061.800.620.33-0.293.623.052.981.64-0.510.970.50-0.882.671.171.20-