Marvell Technology Financial Ratios for Analysis 2009-2024 | MRVL

Fifteen years of historical annual and quarterly financial ratios and margins for Marvell Technology (MRVL).

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
2024202320222021202020192018201720162015201420132012201120102009
1.691.371.801.502.172.195.614.612.415.254.364.255.225.794.473.81
0.210.200.220.110.140.19--------0.000.00
0.280.290.290.140.170.24--------0.000.00
41.6450.4746.2650.1350.2750.8960.6855.7845.9750.5351.1352.8756.8059.2156.3051.65
-10.314.02-7.79-8.70-9.021.5117.845.67-28.6412.558.249.3017.8124.9511.905.60
-10.314.02-7.79-8.70-9.021.5117.845.67-28.6412.558.249.3017.8124.9511.905.60
15.2628.3724.9513.8212.7420.4221.4510.96-23.9915.8712.7913.8421.8729.7319.2614.62
-13.781.44-10.84-10.8529.58-0.1618.736.41-27.9613.199.009.7918.2525.2112.225.79
-16.95-2.76-9.43-9.3458.70-6.2521.620.92-31.1811.979.269.6818.1325.0312.594.99
0.260.260.200.280.240.290.510.500.480.620.620.600.590.570.540.67
3.722.743.335.524.165.105.575.967.005.844.785.964.146.005.084.59
4.914.974.265.535.485.818.596.868.058.647.519.608.337.867.8713.28
74.3373.5185.7765.9866.5862.8142.4853.2045.3442.2448.6238.0443.8146.4346.3827.48
-6.29-1.05-2.68-3.2918.26-2.4510.461.86-17.849.406.746.8412.2716.378.003.85
12315.5521.45-33.4827523.9220.163.68-34.7515.6812.1412.9821.6526.6515.779.53
-4.40-0.73-1.90-2.5814.23-1.799.201.61-13.578.225.785.8310.6614.266.843.34
-4.94-0.84-2.09-2.9415.66-1.9810.461.86-17.849.406.746.8412.2716.378.003.84
17.1418.2718.5512.4913.0811.108.357.968.169.999.318.828.598.376.926.21
1.591.511.031.220.531.011.12-0.690.401.400.891.291.241.761.241.08
1.201.270.821.060.410.951.07-0.780.331.280.761.171.101.631.180.96

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.791.801.691.581.031.051.371.311.351.671.801.811.761.631.501.421.332.142.172.883.062.072.192.322.545.515.614.934.784.204.614.494.424.442.412.312.315.395.254.664.153.914.363.593.804.004.254.634.684.805.224.915.095.015.794.944.594.744.473.583.103.083.81
0.220.220.210.210.170.170.200.200.200.220.220.220.240.240.110.110.110.140.140.220.190.190.190.190.20---------------------------------0.000.000.000.000.00
0.290.290.280.270.270.300.290.290.300.290.290.290.320.330.140.160.170.170.170.280.230.230.240.240.25------------------------------0.000.000.000.000.000.000.000.00
46.1645.4646.5538.8638.8642.1647.4750.5651.8251.9051.1148.5334.5650.2552.7850.8049.4047.1342.4651.3353.4154.5643.2345.0756.6862.1460.6961.3060.3960.3357.9057.2354.7352.9550.8943.8135.0151.5251.3551.0950.3248.4448.7850.0752.1654.3252.1752.0453.2154.0054.0756.6457.8758.3258.7159.2659.1059.8059.6757.4655.0350.5950.72
-7.89-13.12-2.33-10.31-15.34-13.801.646.882.584.822.58-2.76-24.79-9.89-0.22-1.25-20.80-13.84-15.95-9.28-7.04-3.19-7.12-2.41-1.2520.698.7824.3220.5617.711.2414.958.43-3.870.37-8.75-108.821.839.3112.4212.539.719.7210.236.445.845.638.5511.0711.809.4320.1421.6918.4623.9627.0024.3224.3624.4321.1810.54-20.96-13.51
-7.89-13.12-2.33-10.31-15.34-13.801.646.882.584.822.58-2.76-24.79-9.89-0.22-1.25-20.80-13.84-15.95-9.28-7.04-3.19-7.12-2.41-1.2520.698.7824.3220.5617.711.2414.958.43-3.870.37-8.75-108.821.839.3112.4212.539.719.7210.236.445.845.638.5511.0711.809.4320.1421.6918.4623.9627.0024.3224.3624.4321.1810.54-20.96-13.51
---------------------------------------------------------------
-11.49-17.04-6.12-13.22-18.76-17.58-1.644.250.252.710.16-5.58-28.07-13.94-2.87-3.27-22.93-15.57138-12.22-10.34-6.22-9.31-5.22-3.4921.899.5525.3321.7518.291.9115.839.48-3.590.54-8.07-107.872.549.8212.9313.809.9111.0810.397.466.276.438.8611.7911.9310.1420.9521.9218.4325.1226.8224.7923.9225.6421.0010.59-20.99-13.59
-15.19-18.57-27.53-11.58-15.47-12.78-1.090.870.28-11.450.46-5.17-25.69-10.602.07-3.05-21.71-16.30247-12.45-8.73-7.31-35.00-6.321.0221.277.9232.4827.3318.62-14.2911.648.59-4.370.68-8.56-108.651.959.5312.4014.4410.3910.4211.087.667.256.478.8111.4011.8710.8720.5321.4418.3024.7526.6624.5224.0524.3125.109.13-21.38-12.68
0.060.060.070.070.060.060.060.070.070.070.060.060.050.040.070.070.070.060.060.060.070.070.070.080.060.120.130.130.130.120.120.130.130.110.110.120.130.120.150.160.160.170.170.170.160.140.150.140.150.140.130.160.150.140.140.160.150.160.160.160.140.120.12
0.840.770.880.920.810.750.700.790.800.830.910.991.530.771.401.381.401.361.281.051.271.151.531.240.611.351.421.371.371.281.381.341.331.241.511.361.411.031.351.281.211.411.371.221.151.241.481.161.101.040.961.331.171.121.511.711.531.661.411.431.361.270.81
1.201.321.271.171.111.321.191.111.171.211.281.241.371.201.491.531.501.481.461.341.451.411.511.881.501.832.191.681.631.601.671.721.711.851.911.771.701.842.042.091.931.852.052.001.871.982.352.082.091.911.822.112.211.891.962.051.831.912.362.041.951.832.31
74.9568.3770.7677.0681.1668.1675.6481.4276.6174.0970.2772.6965.7275.0960.5458.8259.8460.8261.7467.2862.0663.9059.5947.9959.9649.0741.0153.4655.3256.1253.8452.2752.5348.6347.2250.8052.9148.9444.1843.0646.6648.5943.8045.1148.0545.3938.3443.1943.0947.1749.3542.7240.6947.7245.9143.9049.2747.2038.1144.1946.1549.2538.98
-1.36-1.49-2.65-1.08-1.35-1.09-0.100.090.03-1.070.04-0.40-1.88-0.590.20-0.27-1.88-1.3220.43-1.15-0.80-0.67-3.57-0.710.093.001.183.683.412.51-1.431.991.50-0.320.10-1.40-18.320.271.592.292.802.092.082.311.411.221.121.471.941.921.613.873.833.004.044.894.414.384.644.911.52-2.98-1.70
22.8625.4451.7025.5227.3918.261.46-0.96-0.258.45-0.322.8510.973.302.00-3.40-26.75-20.6830716.6444.146.5034.829.55-1.235.612.277.226.845.09-2.833.882.95-0.650.20-2.80-35.750.462.653.884.803.693.744.352.702.382.122.713.503.422.846.676.625.306.578.267.778.089.1410.583.59-7.47-4.21
-0.95-1.05-1.85-0.76-0.95-0.76-0.070.060.02-0.750.03-0.28-1.33-0.420.15-0.21-1.45-1.0315.92-0.80-0.57-0.48-2.60-0.530.072.641.043.192.952.15-1.241.751.32-0.290.08-1.05-13.620.241.391.972.371.751.781.931.191.040.951.271.671.651.403.333.302.583.524.183.753.753.964.121.26-2.51-1.47
-1.06-1.17-2.08-0.85-1.12-0.91-0.080.070.02-0.830.03-0.31-1.42-0.450.18-0.24-1.68-1.1317.52-0.90-0.65-0.54-2.88-0.570.073.001.183.683.412.51-1.431.991.50-0.320.10-1.40-18.320.271.592.292.802.092.082.311.411.221.121.471.941.921.613.873.833.004.044.894.414.384.644.911.52-2.97-1.70
16.4016.7317.1417.6317.8318.0218.2718.2418.2218.1818.5518.6417.9018.2012.4912.4912.5612.8313.0810.6810.8010.9411.1011.5211.648.578.358.278.027.887.968.238.138.028.168.048.249.919.999.859.659.399.319.078.928.848.828.748.618.748.598.648.308.028.378.047.667.296.926.576.196.056.21
0.730.381.590.960.370.241.511.090.610.231.030.570.25-0.021.220.980.600.260.530.460.360.251.010.750.340.251.120.890.460.26-0.69-0.91-1.16-1.290.400.300.170.111.401.100.750.450.890.690.340.171.290.940.680.331.241.140.710.271.761.400.850.381.240.800.500.231.08
0.570.271.200.650.130.131.270.910.490.190.820.410.19-0.051.060.850.520.210.410.360.300.220.950.670.280.231.070.850.440.24-0.78-0.99-1.21-1.320.330.210.100.081.281.010.690.420.760.590.260.131.170.850.630.301.101.040.640.241.631.300.790.351.180.780.490.230.96