Melco Resorts & Entertainment Financial Ratios for Analysis 2009-2024 | MLCO

Fifteen years of historical annual and quarterly financial ratios and margins for Melco Resorts & Entertainment (MLCO).

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
1.401.731.831.801.240.971.101.542.492.662.541.602.501.331.39
1.121.040.890.760.600.570.530.510.450.440.340.380.420.390.41
-9.16-27.508.483.261.491.461.161.050.830.830.570.850.730.730.72
37.4221.2225.8710.9736.5935.7632.7731.1029.5830.3530.0527.9126.6523.6213.16
1.72-55.05-28.70-54.4313.0311.8211.508.032.4814.2716.5112.4411.694.21-13.52
1.72-55.05-28.70-54.4313.0311.8211.508.032.4814.2716.5112.4411.694.21-13.52
16.63-15.120.93-17.6224.7423.2022.2221.3215.2922.5324.4121.7221.2716.063.25
-10.65-80.89-47.39-84.357.026.545.971.66-1.5011.0511.419.707.50-0.36-23.15
-8.66-68.93-40.34-73.126.506.566.573.892.6612.6712.539.787.54-0.40-23.14
0.450.150.230.190.600.570.590.480.390.460.580.510.610.540.27
80.2940.2650.4241.2782.7681.1210295.5184.63145196177184197177
40.8423.8436.6713.2520.1515.7529.5419.9514.5718.8517.6712.7112.5010.184.45
8.9415.319.9527.5418.1223.1812.3618.3025.0519.3620.6628.7229.2035.8582.07
49.44349-116.66-79.1412.5411.409.451.75-1.2310.4611.7411.5010.200.33-8.35
22.9698.802,730-163.2918.4817.8214.292.56-1.6714.4914.8716.1520.850.61-10.61
-4.98-11.80-10.77-16.124.153.723.540.72-0.595.066.565.415.180.17-4.28
-6.09-13.76-12.38-18.765.054.924.440.86-0.685.897.767.085.900.20-4.91
-1.92-0.711.733.856.476.216.817.839.149.36-----
1.42-1.34-0.56-1.801.742.082.362.280.961.622.081.721.390.76-0.23
1.14-1.61-0.84-2.241.041.322.042.080.511.191.941.321.220.38-2.14

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
1.191.291.361.401.651.461.671.732.342.362.441.831.742.031.891.801.691.391.531.240.890.821.050.970.971.041.071.101.081.191.171.541.421.582.292.492.442.732.372.663.032.492.442.542.622.541.871.601.551.602.772.502.192.811.321.331.401.541.361.391.621.422.19
1.141.131.131.121.091.081.081.041.010.950.920.890.860.830.800.760.730.700.660.600.570.590.590.570.580.510.510.530.530.550.550.510.500.510.470.450.460.460.430.440.430.350.360.340.360.380.420.380.310.320.410.420.450.470.380.390.410.420.410.410.390.410.41
-8.28-8.78-8.84-9.16-12.13-13.01-13.59-27.50-78.2021.2110.878.486.284.874.013.262.902.301.911.491.651.751.621.461.401.121.121.161.211.241.241.051.071.090.930.830.850.850.820.830.820.590.620.570.630.680.780.850.670.690.690.730.820.890.710.730.780.790.720.720.650.700.71
37.0036.2336.1437.3337.8036.9337.6521.4214.3718.5026.2731.7524.3926.8020.6822.48-12.71-44.9021.8035.1336.3537.8537.0236.6733.4535.9336.8031.6334.2131.6033.6132.5432.0230.2829.3929.5030.9128.6129.3229.2431.6729.4430.9831.0130.3230.0027.6827.9427.6427.0328.0828.5727.9328.0520.3924.4625.5420.8122.127.4018.595.6418.74
11.7910.6711.27-8.639.316.780.05-59.18-82.10-70.64-28.61-21.72-40.82-22.61-31.37-27.43-129.17-210.86-18.4811.9612.1814.2013.8113.356.959.6116.849.6814.009.8212.419.729.456.775.96-1.693.602.405.7110.0613.4713.5718.2415.8717.0516.9616.7312.2712.3211.1616.5013.4013.9713.347.066.427.68-0.704.94-18.44-2.39-36.66-7.06
11.7910.6711.27-8.639.316.780.05-59.18-82.10-70.64-28.61-21.72-40.82-22.61-31.37-27.43-129.17-210.86-18.4811.9612.1814.2013.8113.356.959.6116.849.6814.009.8212.419.729.456.775.96-1.693.602.405.7110.0613.4713.5718.2415.8717.0516.9616.7312.2712.3211.1616.5013.4013.9713.347.066.427.68-0.704.94-18.44-2.39-36.66-7.06
---------------------------------------------------------------
1.490.590.38-19.39-3.42-5.51-14.36-87.04-117.68-99.31-46.29-38.95-60.34-38.87-53.35-44.05-181.00-243.79-50.655.686.536.879.097.620.884.5312.585.298.292.287.911.733.940.320.51-7.35-0.05-0.652.325.919.6910.5916.8215.2613.0212.673.419.109.868.3211.1210.2110.466.930.882.252.16-5.24-2.15-22.54-7.84-66.74-16.21
2.321.841.36-18.83-1.60-2.47-11.35-74.74-100.83-84.92-38.59-33.28-52.25-32.78-44.88-37.83-155.75-209.34-44.884.705.786.958.688.160.914.6611.936.098.422.818.883.635.382.883.61-1.173.512.655.758.2911.7611.9717.6516.0114.3213.984.549.8010.378.7711.5310.6710.736.940.862.102.17-5.25-2.13-22.41-7.89-66.70-16.32
0.150.140.140.130.120.110.080.040.030.030.050.050.050.060.060.060.020.020.090.150.150.150.150.150.140.140.150.150.150.150.150.130.120.120.110.100.090.090.100.110.110.130.150.160.150.160.150.140.150.140.160.160.170.170.170.160.150.120.120.080.100.040.05
23.1523.6423.9623.2922.5122.4217.0410.037.648.5312.1111.099.4911.3111.4710.986.136.2014.7021.4121.6821.4919.6821.7420.5321.8623.9826.0426.9227.2826.1824.6823.2722.4623.1522.5525.0129.2833.4334.3338.5248.7051.9652.9849.2051.2145.8847.9247.6844.0748.4147.2351.7048.6741.6357.1971.3257.6560.8156.7674.8846.6080.33
13.9411.9513.2311.8310.5210.6010.285.950.931.168.688.768.517.344.654.051.490.993.515.094.495.065.914.286.006.336.607.459.977.767.085.276.044.754.423.883.383.314.464.404.554.825.274.844.764.383.813.433.703.024.153.293.843.983.302.982.631.751.871.342.481.292.91
6.467.536.807.618.568.498.7515.1297.0477.5510.3710.2810.5712.2619.3722.2260.3890.5325.6717.6720.0417.7715.2421.0215.0014.2213.6412.089.0311.6012.7017.0914.9018.9320.3523.2126.6627.2020.1720.4519.7818.6817.0818.5818.8920.5423.6326.2124.3429.8321.7027.3623.4222.6327.2730.1934.2051.3248.0667.4036.2969.8130.91
-1.420.15-0.0626.995.598.2116.8993.53280-81.36-32.32-23.17-25.74-16.36-17.94-12.78-18.79-19.39-15.712.573.013.474.383.800.331.564.782.143.410.883.170.431.140.050.10-0.25-0.02-0.120.471.842.542.794.834.533.944.181.422.892.952.383.623.373.822.550.280.640.63-1.21-0.50-3.57-1.52-5.95-1.48
-0.690.07-0.0312.532.132.996.2426.4831.6765.44155542-162.92-49.51-44.51-26.36-34.69-34.50-25.513.794.505.447.015.940.522.297.073.245.231.005.010.631.690.080.14-0.34-0.02-0.120.582.283.133.896.905.745.986.602.474.054.263.516.916.908.643.160.521.201.29-1.54-0.98-4.54-1.89-7.54-1.89
0.16-0.020.01-2.72-0.42-0.58-1.15-3.16-3.25-3.27-2.44-2.14-3.09-2.44-3.14-2.60-4.22-5.05-4.550.850.941.031.351.240.110.601.850.801.260.331.170.180.470.020.05-0.12-0.01-0.060.230.891.251.552.592.532.112.180.701.361.531.231.891.721.831.200.150.330.32-0.61-0.26-1.83-0.78-2.92-0.75
0.20-0.020.01-3.32-0.50-0.70-1.35-3.69-3.65-3.68-2.74-2.46-3.56-2.80-3.59-3.03-5.01-5.92-5.421.041.291.431.781.640.140.762.331.001.590.401.440.210.570.030.05-0.14-0.01-0.060.271.041.441.823.093.002.512.590.821.782.041.612.141.952.101.350.170.390.37-0.70-0.30-2.10-0.92-3.51-0.87
-2.12-1.92-1.95-1.92-1.51-1.42-1.38-0.71-0.230.771.451.732.192.813.233.854.324.615.426.47---6.21---6.81---7.83---9.14---9.36-----------------------
0.000.000.001.420.000.000.00-1.340.000.000.00-0.560.000.000.00-1.800.000.000.001.740.000.000.002.080.000.000.002.360.000.000.002.280.000.000.000.970.000.000.001.630.000.000.002.090.000.000.001.720.000.000.001.381.170.000.290.770.000.000.00-0.210.000.000.00
---1.14----1.61----0.84----2.24---1.04---1.32---2.04---2.08---0.51---1.20---1.95---1.32---1.221.10-0.260.38----1.97---