Lattice Semiconductor Financial Ratios for Analysis 2009-2024 | LSCC

Fifteen years of historical annual and quarterly financial ratios and margins for Lattice Semiconductor (LSCC).

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
3.782.982.844.192.634.103.152.002.576.565.565.415.785.996.41
-0.210.250.290.280.490.580.530.52-0.01----
-0.260.380.440.451.001.381.241.11-0.01----
69.8268.4662.4260.1159.0055.0356.1157.7154.1756.3253.6053.9959.2460.3953.67
28.8028.3719.5612.8314.61-0.78-12.34-6.25-26.4111.378.06-3.3512.9718.51-4.24
28.8028.3719.5612.8314.61-0.78-12.34-6.25-26.4111.378.06-3.3512.9718.51-4.24
34.3833.8025.5820.4524.649.623.178.54-10.7417.4414.314.5818.2023.383.06
29.1527.5818.9411.8711.15-6.01-18.06-10.35-31.2111.737.97-3.1713.4219.34-3.31
35.1427.0918.6111.6110.76-6.60-18.28-12.67-39.2213.276.71-10.6024.5719.17-3.58
0.880.830.710.600.660.640.610.560.520.720.740.670.680.790.66
2.251.892.862.523.012.672.122.282.452.463.342.913.483.163.47
7.067.026.456.326.226.557.004.294.595.876.645.958.617.235.79
51.6851.9756.5657.7658.6455.7352.1185.1679.5462.1854.9861.3642.4150.4962.99
37.4436.7223.3012.3313.27-10.18-32.41-20.00-52.1211.025.79-8.2819.8817.91-2.75
72.8312214442.8581.8086.6469.7745.7712812.576.80-9.9623.6817.91-2.75
30.8122.4013.206.977.11-4.22-11.10-7.05-20.269.524.98-7.1416.7215.11-2.35
37.4429.0417.368.749.61-5.16-13.64-9.47-25.0211.025.73-8.2819.8817.91-2.75
5.043.553.002.822.451.991.762.222.573.763.333.103.342.702.19
1.931.701.180.650.900.410.310.35-0.200.330.480.040.510.680.88
1.781.531.110.560.790.340.280.22-0.350.370.38-0.080.410.580.82

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
3.984.404.183.783.583.753.592.983.092.963.022.843.403.914.184.193.863.663.402.632.943.084.014.104.003.114.253.152.212.302.572.002.162.012.392.572.722.822.946.566.425.375.215.565.175.385.145.415.715.815.605.785.656.606.585.995.385.225.256.416.868.467.54
-----0.070.170.210.250.230.240.250.270.270.280.290.300.310.330.280.310.370.450.490.500.540.550.580.560.530.530.530.530.530.540.520.500.480.47-0.02--0.01-------------------
-----0.080.200.260.340.340.360.380.410.420.440.440.450.470.560.450.510.640.831.001.051.261.221.381.391.171.211.241.231.191.161.111.000.940.87-0.02--0.01-------------------
69.0068.3168.3269.7270.0269.7469.7769.3768.8368.4766.9564.2362.7961.3061.0060.5260.4760.2259.1559.1559.3858.6958.7756.5857.5148.9257.3153.7657.9854.4058.1653.7559.5558.8959.1753.4654.5554.6053.9955.3458.6955.3556.0254.2953.2153.2653.6254.1554.3852.3455.0757.6658.5660.4260.0562.7359.1061.2458.4555.2954.2252.4252.33
5.9218.1911.7725.2929.6227.9232.0830.7028.2928.9925.0921.0420.4818.5217.8416.1712.4412.4110.0115.4516.1314.0612.72-1.7912.77-13.21-0.81-0.76-40.74-9.27-0.67-0.81-5.31-6.42-13.84-36.02-16.37-24.32-30.405.6711.9813.1913.879.1810.238.283.71-9.69-0.49-3.940.218.0115.0315.4012.6718.4219.2820.5015.606.07-7.03-5.93-12.37
5.9218.1911.7725.2929.6227.9232.0830.7028.2928.9925.0921.0420.4818.5217.8416.1712.4412.4110.0115.4516.1314.0612.72-1.7912.77-13.21-0.81-0.76-40.74-9.27-0.67-0.81-5.31-6.42-13.84-36.02-16.37-24.32-30.405.6711.9813.1913.879.1810.238.283.71-9.69-0.49-3.940.218.0115.0315.4012.6718.4219.2820.5015.606.07-7.03-5.93-12.37
---------------------------------------------------------------
6.4619.1412.6726.6130.1227.9331.7329.9627.0828.2924.6020.5319.9117.8517.0815.3211.6011.418.8514.0514.128.547.79-7.026.90-18.38-5.43-6.93-47.17-13.78-6.46-5.71-9.75-8.97-18.13-41.45-22.38-29.60-32.375.7412.0414.1014.198.5710.638.223.64-10.21-0.37-2.960.308.3815.3415.7213.4719.1820.1521.7216.0310.92-8.12-5.53-13.55
5.6618.2410.5157.8627.9926.6430.3429.5026.8727.6023.9720.1220.2717.3416.2614.9212.2310.578.3913.9513.098.377.55-7.426.87-19.69-6.04-7.57-46.81-13.83-6.96-6.91-10.96-13.92-20.42-44.92-22.66-33.41-60.2118.4410.8711.8512.407.3110.155.952.66-10.89-3.07-17.72-10.7658.3516.3215.5413.2218.9919.9221.7015.7410.21-8.38-5.80-13.27
0.150.150.170.200.250.250.240.220.230.220.210.200.190.180.170.160.150.150.150.160.170.170.150.150.160.160.150.150.140.140.150.150.150.130.120.130.130.130.100.160.170.200.200.200.200.200.160.160.160.160.150.150.190.210.220.190.210.220.220.190.170.170.15
0.380.390.470.520.550.520.480.490.570.660.690.750.740.740.760.660.680.740.810.740.700.650.610.620.650.800.540.550.500.550.560.690.570.470.480.620.630.600.510.580.550.750.730.890.960.800.750.680.860.910.870.800.960.950.870.731.001.111.190.950.830.790.68
1.391.201.421.631.811.972.031.871.721.731.811.781.661.771.631.661.411.151.421.542.182.701.761.581.341.341.501.731.161.081.581.191.211.171.141.141.291.381.101.341.741.501.451.791.641.331.271.401.271.171.361.901.531.491.661.771.571.631.461.640.840.830.51
64.7775.0363.2455.0649.6045.7344.3548.0952.4052.0849.6650.6954.3150.9155.2954.2363.7578.2163.4858.2941.2633.3451.0257.1067.0967.0960.0352.0677.3482.9856.8675.9274.6876.8378.7078.6870.0164.9982.0667.1551.7360.0762.0950.3554.7267.5970.8164.1471.1276.7666.2947.4558.9060.5054.3750.7257.4255.1961.7254.81107109177
1.023.242.1714.268.598.8110.8610.6610.4910.228.566.936.815.504.804.163.352.922.384.274.372.902.63-2.762.67-8.77-2.42-3.31-19.72-5.03-2.72-3.02-4.54-4.91-6.77-14.88-7.34-9.90-13.723.502.172.792.961.702.331.370.53-2.01-0.59-3.37-1.9910.403.793.823.334.355.055.864.182.22-1.67-1.09-2.29
1.956.214.2627.7518.6221.4031.8335.3846.2347.7146.3442.9122.3317.7116.1114.4611.9111.4411.4826.3142.6461.67-208.9123.44-22.2430.608.837.1342.1311.976.686.9110.0610.4614.9036.4820.3935.5368.083.992.483.213.441.992.751.630.63-2.41-0.71-4.04-2.3712.393.803.823.334.355.055.864.182.22-1.67-1.09-2.29
0.842.731.8111.746.906.677.296.506.116.045.003.933.793.152.742.351.851.571.232.292.281.391.15-1.141.10-3.25-0.92-1.13-6.51-1.87-1.02-1.06-1.64-1.75-2.48-5.78-2.99-4.23-6.083.021.872.352.511.461.981.180.43-1.73-0.50-2.82-1.668.753.143.252.863.674.174.813.451.90-1.44-0.97-2.01
1.023.242.1714.268.598.199.048.437.857.846.475.174.973.993.452.952.342.001.593.093.021.831.46-1.401.34-4.07-1.09-1.39-8.63-2.39-1.28-1.43-2.14-2.31-3.15-7.14-3.67-5.10-7.333.502.132.792.961.682.331.370.53-2.01-0.59-3.37-1.9910.403.793.823.334.355.055.864.182.22-1.67-1.09-2.29
5.105.074.965.044.544.173.743.553.223.183.063.002.872.912.872.822.772.692.552.452.322.232.131.992.021.841.981.761.772.112.192.222.262.352.442.572.873.063.333.763.663.573.453.333.273.173.123.103.163.173.283.342.992.892.782.702.582.452.292.192.142.162.18
0.690.370.211.931.410.830.321.701.120.660.311.180.820.500.210.650.490.260.150.900.610.480.160.410.160.080.020.310.290.090.060.350.160.270.19-0.20-0.18-0.130.000.330.330.200.020.480.380.010.040.04-0.01-0.11-0.080.510.380.160.030.680.530.410.180.880.470.360.07
0.580.300.191.781.300.740.261.531.030.600.271.110.770.470.200.560.420.220.120.790.530.420.140.340.110.040.010.280.260.040.040.220.060.210.15-0.35-0.27-0.19-0.020.370.270.160.000.380.29-0.050.01-0.08-0.10-0.18-0.110.410.310.10-0.010.580.470.370.160.820.430.330.06