Monolithic Power Systems Financial Ratios for Analysis 2009-2024 | MPWR

Fifteen years of historical annual and quarterly financial ratios and margins for Monolithic Power Systems (MPWR).

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
7.745.364.965.736.677.226.817.247.678.357.599.138.117.758.51
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56.0758.4456.7555.1855.1555.4054.8554.2654.0954.0253.7252.9251.7055.5059.20
26.4529.3621.7318.8116.3319.4916.4414.0112.3312.4910.048.086.8313.9411.84
26.4529.3621.7318.8116.3319.4916.4414.0112.3312.4910.048.086.8313.9411.84
28.3731.6724.4921.4418.2121.8819.7417.7216.6117.2315.3412.5511.4617.9116.05
27.7829.2622.5420.0518.0220.3417.6114.7312.7612.8810.088.376.9814.3612.21
23.4724.3920.0419.4717.3318.0813.8513.5610.5612.569.627.376.7713.5111.92
0.750.870.760.700.660.730.720.760.770.710.650.740.720.780.68
2.081.672.012.412.211.902.142.492.423.182.773.134.723.783.43
10.139.8211.5212.6311.9110.5512.3811.3510.8011.0210.0311.0313.0211.9310.63
36.0537.1731.6728.8930.6434.6029.4832.1633.7933.1136.3833.0928.0430.6034.33
20.8526.2319.4617.0114.0716.4512.4912.239.5410.257.086.105.4811.979.24
20.9226.3319.5617.1214.1916.6212.6712.519.8610.667.086.105.4811.979.24
17.5621.2615.2613.6011.3813.279.9910.318.168.896.215.494.8610.508.14
20.8526.2319.4617.0114.0716.4512.4912.239.5410.257.086.105.4811.979.24
42.6835.4226.8921.3517.7315.0612.5410.579.298.928.457.247.187.046.06
13.095.106.685.704.733.173.072.571.711.861.570.691.241.280.87
11.913.884.714.512.842.671.561.691.321.621.170.110.640.680.60

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
6.426.776.347.746.946.515.145.364.555.234.584.964.685.204.915.735.185.476.276.675.996.646.277.226.526.776.606.817.016.807.267.246.616.707.627.676.797.046.878.358.057.309.577.5910.287.738.439.139.766.697.168.118.106.708.227.757.178.058.538.518.285.125.58
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55.3855.2955.1355.3155.5056.1557.3758.2258.7258.7857.9557.6157.5955.9955.4455.3055.1455.1055.1655.1455.1855.1155.1855.1155.6455.5055.3654.9854.9554.7554.6454.5454.4154.1353.8553.9854.2154.2053.9654.1054.2154.2153.4453.9654.0153.5953.2153.0053.1153.1952.3152.5052.5251.4450.1650.4554.6558.2458.3058.7360.6659.1457.61
26.4522.9720.8524.1328.5525.4627.5529.7630.6630.7825.4523.3523.8420.6718.1117.1523.1215.0118.6918.4117.7913.3215.3621.5520.9417.8017.0619.3618.4813.3413.5216.9314.0912.2512.2813.5714.6012.427.9612.1113.349.6515.1312.6513.258.514.482.0311.1811.576.335.089.547.824.318.4220.4012.2212.539.5027.367.44-3.68
26.4522.9720.8524.1328.5525.4627.5529.7630.6630.7825.4523.3523.8420.6718.1117.1523.1215.0118.6918.4117.7913.3215.3621.5520.9417.8017.0619.3618.4813.3413.5216.9314.0912.2512.2813.5714.6012.427.9612.1113.349.6515.1312.6513.258.514.482.0311.1811.576.335.089.547.824.318.4220.4012.2212.539.5027.367.44-3.68
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28.1124.4522.9426.3329.0326.9528.7330.6030.6629.6725.2824.3624.0921.7019.1319.0724.0817.8117.6620.0519.1314.8017.7321.2922.6319.4017.4020.6319.4614.4514.9017.8014.8212.8912.9214.2014.5912.718.8412.6413.5910.0815.4412.5613.168.894.462.0111.4612.186.545.299.547.874.728.7620.5312.8213.229.8127.547.67-2.69
23.2919.7820.2121.3425.5222.5624.3425.8925.1024.8821.0721.6021.2618.8117.8518.4021.4216.2021.5719.4517.4913.7018.5218.0119.7317.3216.929.3318.3413.3814.4216.0013.5011.9012.5111.6312.289.708.1111.7014.329.3515.0111.8011.349.514.860.5110.4811.255.935.1710.336.744.267.6120.0811.5012.6510.0026.197.74-2.48
0.220.190.180.190.200.200.200.220.260.260.220.210.220.210.190.190.220.170.160.170.180.170.170.190.210.190.190.200.210.200.190.200.220.200.190.200.220.200.180.190.200.180.160.170.190.170.170.170.180.190.170.170.200.200.160.170.230.200.190.190.210.190.15
0.650.530.520.530.530.450.450.430.510.530.510.550.660.730.650.660.790.550.570.590.560.470.440.510.520.480.520.590.580.550.580.660.690.620.630.630.620.570.630.850.860.760.700.740.700.670.690.710.810.931.121.121.071.010.960.901.531.611.440.980.930.840.67
3.773.212.362.522.562.612.452.523.233.673.143.214.053.783.033.492.773.383.053.162.902.732.402.782.672.612.683.402.542.672.633.033.193.002.932.822.993.042.902.953.233.202.722.682.982.842.272.492.622.742.533.143.232.942.522.562.041.842.053.002.463.312.19
23.9028.0038.2235.6535.2234.5236.7735.7527.8724.5028.6728.0322.2223.8029.7325.8132.4526.6529.5028.4531.0633.0237.4932.3733.6934.4333.6226.4535.4333.6834.1829.7528.1829.9930.7131.9230.0829.5931.0230.4727.8928.1733.0533.6030.2431.6939.6436.1834.3432.8935.5628.6327.9030.6635.7135.0944.1449.0043.9530.0136.5827.2141.03
6.144.574.384.736.235.416.187.148.128.066.005.845.915.074.454.446.083.554.404.194.022.943.854.325.174.183.912.314.683.173.213.843.452.832.772.743.162.231.732.563.281.912.692.322.341.870.900.102.082.451.181.012.311.530.781.455.222.562.782.196.241.77-0.43
6.244.654.464.746.255.436.207.178.168.106.035.875.955.104.474.476.123.584.434.234.062.973.894.365.234.233.972.354.753.233.273.933.542.912.852.833.282.311.792.663.421.912.692.322.341.870.900.102.082.451.181.012.311.530.781.455.222.562.782.196.241.77-0.43
5.063.793.593.985.204.484.935.786.446.424.644.584.604.023.473.554.782.823.553.393.222.383.093.484.143.363.131.853.912.642.703.242.902.392.372.342.671.891.462.222.861.652.412.032.121.650.800.091.882.131.030.902.051.320.691.274.522.252.451.925.481.47-0.36
6.144.574.384.736.235.416.187.148.128.066.005.845.915.074.454.446.083.554.404.194.022.943.854.325.174.183.912.314.683.173.213.843.452.832.772.743.162.231.732.563.281.912.692.322.341.870.900.102.082.451.181.012.311.530.781.455.222.562.782.196.241.77-0.43
48.2145.0943.4342.6840.5938.6337.4735.4232.6130.4228.4426.8925.2323.6822.3421.3520.2818.9018.1917.7316.9116.2915.8115.0614.3913.6913.2512.5412.1811.4510.9410.5710.249.769.499.298.968.958.808.928.808.638.658.458.307.877.527.248.057.737.407.187.046.796.977.047.076.846.406.065.785.254.98
12.687.955.0713.099.946.344.505.104.024.402.236.686.103.641.625.704.012.361.104.733.391.820.863.172.100.940.373.071.851.080.512.571.831.050.691.711.120.570.391.861.350.950.301.570.780.580.180.690.370.340.181.240.890.620.231.281.010.590.220.870.420.310.01
11.026.984.7411.919.046.004.323.883.073.601.674.714.492.421.224.513.071.840.892.841.690.15-0.402.671.700.650.201.561.270.600.431.691.140.600.561.320.910.410.271.621.150.800.191.170.380.300.090.11-0.14-0.020.040.640.340.470.140.680.520.260.120.600.220.23-0.01