Meta Platforms Financial Ratios for Analysis 2009-2024 | META

Fifteen years of historical annual and quarterly financial ratios and margins for Meta Platforms (META).

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
2.672.203.155.054.407.1912.9211.9711.259.4011.8810.715.125.77-
0.110.07------0.000.000.020.140.080.15-
0.120.08------0.000.010.030.200.140.22-
80.7678.3580.7980.5881.9483.2586.5886.2984.0182.7376.1873.2076.8375.0371.30
34.6624.8239.6538.0133.9344.6249.7044.9634.7240.0635.6210.5747.3252.2833.72
34.6624.8239.6538.0133.9344.6249.7044.9634.7240.0635.6210.5747.3252.2833.72
42.9432.2746.4045.9942.0552.3457.1453.4445.5750.0348.4623.3256.0259.3243.76
35.1624.7140.1038.6035.1045.4250.6645.2934.5539.3934.989.7145.6851.0632.69
28.9819.9033.3833.9026.1539.6039.1636.8620.4723.4618.940.6318.0018.8515.70
0.590.630.710.540.530.570.480.430.360.310.440.340.590.66-
---------------
8.348.668.407.587.437.366.976.927.017.437.104.356.785.29-
43.7542.1543.4548.1349.1449.5952.3652.7352.1049.1351.4283.9253.8068.97-
25.5318.4531.5322.7218.2926.2821.4317.268.348.149.700.4523.3439.17-
29.6822.2037.4826.8322.7034.2729.3826.5116.0720.7210.910.5121.1129.33-
17.0312.4923.7218.2913.8622.7218.8515.737.467.368.380.3515.8020.27-
22.7917.1031.5322.7218.2926.2821.4317.268.328.129.550.3918.8823.96-
59.8148.0945.5645.0335.4329.4825.5820.4715.6012.996.104.983.691.77-
27.0518.6820.1813.4212.6310.028.195.513.622.751.680.741.030.490.06
16.767.1413.688.187.385.265.913.972.732.061.140.170.630.290.04

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
2.832.682.672.572.322.072.202.572.522.813.154.235.436.085.055.516.024.604.404.664.475.387.199.0010.679.9112.9213.3712.3112.6111.9711.6912.2213.1611.2510.689.018.599.4013.0612.8113.5611.8810.7210.5810.3910.7111.3811.574.525.12---5.77----
0.110.110.110.110.120.070.070.07-------------0.07------------0.000.000.000.000.000.010.010.010.020.020.130.140.140.040.030.070.08---0.10----
0.120.120.120.130.140.080.080.08-------------0.08------------0.000.000.000.010.010.010.020.020.030.040.180.190.200.060.050.130.14---0.12----
81.3081.7980.8181.8181.4278.6874.0879.3881.9978.4881.1580.1181.4380.3981.4480.4779.5180.5083.4482.1380.4281.3283.4782.3983.2783.9087.5985.9886.7385.5788.1185.9285.7584.4385.8884.0083.4781.5483.0482.3683.7581.5381.0474.8574.3571.6774.8974.4969.0073.8278.1675.2676.5477.1579.4871.9574.2571.01-
38.0037.9040.8540.2629.3525.2319.8920.4429.0030.5437.3835.9342.5343.4845.5137.4531.9133.2242.0240.7027.4022.0046.2342.1144.3145.5456.6849.5947.2241.4251.8344.4642.4837.3543.8232.4231.4926.3329.4043.6247.7742.9743.8336.5131.0025.5833.0029.87-62.7536.0148.4543.4045.4753.0859.7846.2550.5846.96-
38.0037.9040.8540.2629.3525.2319.8920.4429.0030.5437.3835.9342.5343.4845.5137.4531.9133.2242.0240.7027.4022.0046.2342.1144.3145.5456.6849.5947.2241.4251.8344.4642.4837.3543.8232.4231.4926.3329.4043.6247.7742.9743.8336.5131.0025.5833.0029.87-62.7536.0148.4543.4045.4753.0859.7846.2550.5846.96-
-----------------------------------------------------------
38.6638.9141.9041.0629.0425.5119.1220.1228.4031.9237.7336.4243.0343.9546.5137.8832.8133.0443.4941.5228.6223.0947.1343.0744.3546.8857.5250.7048.1542.4351.4745.1342.7938.3943.7731.8231.4926.3128.9041.7147.6342.9743.7136.0130.0624.2131.8629.48-64.6136.1145.9839.7344.5854.4559.7846.2550.5846.96-
34.4633.9334.9533.9224.3419.9314.4715.8623.2026.7530.5531.6935.7536.2939.9736.5427.7127.6434.8634.5115.4916.1140.6837.4238.5941.6832.8945.5541.7338.0940.4137.3735.3632.1826.6019.8017.6914.3718.0725.0427.0825.5420.1520.9318.2614.884.04-4.68-13.2612.9518.1315.7217.7720.9334.3428.0529.9327.54-
0.170.160.170.160.150.160.170.150.170.170.200.170.170.160.180.150.130.130.160.140.140.140.170.150.150.130.150.130.130.120.140.120.120.100.120.100.090.080.100.130.140.130.140.140.120.100.100.080.080.150.18---0.24----
-----------------------------------------------------------
2.692.712.482.642.562.592.392.472.502.452.402.402.492.552.482.682.502.432.222.302.252.332.232.272.372.342.222.332.392.352.212.282.302.292.282.242.232.352.302.352.452.492.332.292.321.341.351.051.032.202.07---1.96----
33.4133.1636.2834.1235.1934.7037.6836.4635.9936.7337.5337.5036.2135.3436.3433.6436.0436.9940.6339.1240.0438.6540.3739.7238.0238.4740.4638.5537.6338.2740.8039.4139.1739.2639.4240.1940.4138.3139.2238.3036.8036.1938.6139.2438.8266.9866.4485.7287.0441.0043.53---45.92----
8.598.279.158.115.814.573.703.545.326.068.246.897.527.118.756.664.694.667.276.482.952.818.186.396.436.435.746.615.864.936.034.854.533.693.532.161.821.371.943.804.313.843.383.262.701.850.54-0.42-1.184.407.05---41.42----
9.899.6010.589.546.925.534.454.276.397.299.798.078.778.3210.338.015.725.729.028.143.773.6210.668.488.578.667.879.248.437.359.267.887.756.676.804.494.033.264.944.664.744.263.803.723.112.120.62-0.46-1.264.036.38---11.61----
5.855.556.105.363.773.092.512.463.944.556.205.426.095.817.045.363.713.545.514.902.242.227.075.565.665.615.055.965.274.465.494.404.103.343.161.931.631.221.753.333.813.372.922.852.121.440.42-0.37-1.052.994.77---8.39----
7.697.378.177.185.114.243.433.285.326.068.246.897.527.118.756.664.694.667.276.482.952.618.186.396.436.435.746.615.864.936.034.854.533.693.522.161.821.361.943.774.283.793.333.192.351.590.47-0.40-1.153.615.70---10.41----
61.8958.9459.8155.5752.0948.6348.0946.5646.6345.4045.5647.7548.9147.0545.0341.3138.7536.9435.4332.9431.1030.2929.4827.9627.4626.7525.5824.5222.9221.4620.4718.8217.6016.5415.6014.7214.0913.4512.998.187.156.566.105.355.114.944.986.546.212.473.69---1.77----
14.807.3327.0519.5811.995.3918.6813.389.685.1320.1813.848.864.2513.428.555.173.8412.639.476.233.2410.027.434.832.678.195.603.531.725.513.812.451.203.622.021.260.602.751.471.000.491.681.180.820.290.640.380.360.291.020.680.310.120.000.000.000.000.00
9.214.8916.7612.217.032.767.145.124.953.2013.689.235.772.778.184.912.802.607.385.653.641.915.264.132.691.715.914.082.611.293.972.711.720.812.731.380.890.422.060.970.690.351.140.840.580.160.15-0.04-0.10-0.010.620.410.130.07-----