Masimo Financial Ratios for Analysis 2009-2024 | MASI

Fifteen years of historical annual and quarterly financial ratios and margins for Masimo (MASI).

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
2.192.084.634.715.785.394.322.302.262.402.622.453.463.104.87
0.390.41------0.400.290.000.000.000.000.00
0.640.70-----0.000.670.410.000.000.000.000.00
49.0052.0165.2464.9667.0966.9866.0667.1065.0766.6165.5766.1567.0070.4471.27
6.6610.3222.2622.3723.5924.2423.2661.1519.0817.6514.5717.2819.7126.2023.55
6.6610.3222.2622.3723.5924.2423.2661.1519.0817.6514.5717.2819.7126.2023.55
11.5617.0725.1324.9326.0926.7025.8063.5121.5719.8316.6519.1821.3827.8325.27
4.309.5022.1423.0624.9724.9123.5160.8118.4617.3913.8416.9919.7126.5323.54
3.987.0518.5321.0120.9222.5515.7943.6413.2212.3610.6712.6314.5118.1415.25
0.670.630.660.670.670.740.870.871.051.041.251.321.201.310.98
1.921.952.141.862.662.992.913.233.552.813.323.533.152.663.18
5.764.576.178.097.087.836.677.017.788.267.136.576.856.576.93
63.3679.9559.1445.1151.5446.6254.7552.0546.9044.1951.2055.5353.3155.5452.69
5.9710.7214.8117.0716.8019.9717.2455.5329.5624.1617.0722.4722.9031.9118.65
13.3226.9416.2619.5317.5521.0918.4560.8735.7828.7120.2327.4723.9233.5019.33
2.684.4712.1714.0314.0516.7613.7837.9113.5413.1612.7016.5317.5023.6615.16
3.646.2914.8117.0716.8019.9717.2455.5317.6917.1817.0622.4622.9031.8918.64
25.8525.5028.0325.4821.7518.2614.0211.165.535.855.764.814.803.875.01
1.740.534.593.643.884.271.007.882.181.720.961.291.301.010.78
0.93-0.424.142.392.683.970.227.511.240.370.791.111.210.850.72

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.092.312.192.142.112.162.082.122.104.824.634.984.784.994.714.984.806.235.786.236.357.025.395.125.054.554.323.173.892.742.302.252.462.652.262.662.712.692.401.251.592.962.622.532.542.372.453.083.552.973.464.194.083.673.103.553.543.014.874.874.754.02
0.350.380.390.420.400.400.410.430.43----------------------0.310.370.460.400.410.380.280.290.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
0.550.620.640.710.680.670.700.760.77---------------------0.000.460.590.840.670.710.630.390.410.440.240.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
51.3449.0547.8649.0348.5850.4150.7951.4345.6767.2965.6366.2363.2365.8463.3464.3463.6668.8567.4468.2467.2165.4666.4866.8467.1767.4666.6864.1665.9967.3468.9365.7066.6966.7360.8367.0066.0866.7267.4766.7766.0666.0263.5666.5566.3965.9065.9765.7966.3366.5265.5365.7868.6867.9770.2170.9170.2570.4171.0771.1871.7971.06
5.706.908.025.266.446.7311.909.983.9119.6323.6321.9921.3421.9621.9921.4720.6725.5924.8722.5522.6424.1824.1623.1024.3925.3021.5122.2722.8026.5216221.8421.1021.8122.0618.4417.8817.7220.1815.4513.0621.608.8815.7816.8717.0216.8515.0818.4718.7317.8618.2020.2022.4620.4522.6120.9941.2923.0623.8323.8723.49
5.706.908.025.266.446.7311.909.983.9119.6323.6321.9921.3421.9621.9921.4720.6725.5924.8722.5522.6424.1824.1623.1024.3925.3021.5122.2722.8026.5216221.8421.1021.8122.0618.4417.8817.7220.1815.4513.0621.608.8815.7816.8717.0216.8515.0818.4718.7317.8618.2020.2022.4620.4522.6120.9941.2923.0623.8323.8723.49
--------------------------------------------------------------
4.015.054.212.925.454.649.039.474.7119.4323.4021.9921.3721.7122.6021.9521.1426.8426.0123.7324.1825.8624.9023.5925.0526.0821.8422.4222.8826.9716021.5121.3722.1020.9317.7617.1617.8119.3015.0613.2921.748.3615.2716.6915.3115.8915.8418.0918.2417.4417.9720.6822.6320.6023.8321.3040.9422.6024.1724.3123.16
3.223.846.182.213.453.776.636.903.2015.3220.8218.8016.4517.8523.9517.7618.5323.9121.3821.4319.5521.2921.0327.1320.7221.43-3.7218.5423.4726.2111216.5717.3916.1114.4112.6712.4313.2813.1210.319.7916.196.5411.8712.4012.0811.3611.5814.4113.2312.3014.2515.5515.9315.2616.2614.2827.0415.1814.9315.6715.23
0.170.170.180.160.150.180.190.180.190.160.170.170.180.190.170.160.180.180.180.170.190.200.190.190.210.220.230.210.210.220.250.260.290.280.280.260.270.270.290.270.280.300.320.310.350.350.350.290.320.310.310.280.310.340.340.310.330.340.260.260.260.28
0.470.500.530.420.430.560.610.540.680.470.560.510.540.470.500.480.700.720.700.660.760.860.790.750.760.760.750.700.740.800.860.860.920.911.060.690.740.740.750.760.820.860.910.740.830.960.950.830.900.830.840.780.760.860.700.680.800.870.850.810.790.83
1.471.491.541.341.311.371.381.481.601.521.631.611.702.232.091.891.681.761.871.761.901.972.042.082.152.111.751.751.851.881.981.782.041.832.072.022.112.272.281.801.701.711.861.711.861.811.761.701.711.751.751.731.851.781.711.661.651.701.841.731.691.84
61.2460.4058.2967.0768.9565.5065.0460.8856.1559.1355.1656.0252.9140.4243.1247.5353.4951.0248.1651.2547.2645.7744.2243.1841.8042.7251.3051.4948.7547.7745.4250.6744.2149.0543.5644.5142.6939.6439.5149.9852.7952.5048.5052.7048.4449.6851.1053.0452.6151.4451.3652.1348.7050.6852.5954.2154.4952.8948.9852.1453.3848.90
1.171.382.480.831.201.603.053.031.502.954.403.943.614.025.023.494.155.144.534.434.324.914.846.265.315.95-1.075.006.368.1340.298.3410.1710.299.096.686.586.107.085.684.376.362.814.934.995.855.384.326.025.685.074.996.067.137.236.756.1312.554.904.925.235.62
2.473.045.541.932.813.837.688.134.233.304.834.474.144.635.743.874.625.594.734.644.535.175.116.645.646.37-1.145.366.838.8144.179.8112.1812.6211.008.157.937.158.416.895.197.443.335.896.037.136.585.136.426.075.295.186.297.437.597.046.4213.165.085.075.395.80
0.550.641.110.350.520.681.271.240.612.443.623.272.993.344.132.883.414.373.793.733.654.184.065.214.354.81-0.853.965.045.8727.514.344.984.444.163.103.203.453.863.032.804.902.093.623.694.233.963.314.664.143.873.964.815.545.365.114.638.983.983.964.204.35
0.760.861.520.490.710.961.791.720.852.954.403.943.614.025.023.494.155.144.534.434.324.914.846.265.315.95-1.075.006.368.1340.295.726.395.595.443.914.054.415.035.684.376.362.814.934.995.845.384.316.025.675.064.986.067.137.236.746.1312.544.894.925.225.61
25.7325.7125.8524.1624.7825.2025.5023.8122.9128.5028.0326.5925.2724.1525.4825.7024.4723.1621.7520.6719.5018.8418.2617.2215.8214.8014.0213.8813.6612.4011.166.715.985.475.535.335.576.175.855.425.836.235.765.555.204.964.815.495.164.844.804.964.664.263.874.203.863.555.014.694.404.11
2.220.851.740.320.440.010.530.670.460.404.592.901.481.023.642.511.820.743.882.641.770.754.273.142.291.301.000.13-0.270.257.881.641.080.362.181.040.530.351.721.220.680.420.960.840.570.431.290.980.540.391.300.890.570.271.010.890.630.600.780.490.190.10
2.120.690.93-0.300.07-0.15-0.42--0.080.054.142.541.240.872.391.480.940.092.681.670.940.633.972.922.131.230.22-0.54-0.420.177.511.390.870.261.240.280.070.040.370.00-0.410.360.790.720.500.401.110.850.450.361.210.830.530.250.850.790.560.570.720.450.150.09