Motorola Solutions Financial Ratios for Analysis 2009-2024 | MSI

Fifteen years of historical annual and quarterly financial ratios and margins for Motorola Solutions (MSI).

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
1.001.151.331.241.211.381.351.302.113.062.182.222.301.971.94
0.860.981.001.121.151.321.641.281.020.550.400.360.180.160.25
8.1445.91-247.52-9.57-7.51-4.17-2.59-4.62-45.301.230.670.570.290.250.39
49.8146.4149.4448.6649.8447.3947.4047.5247.7448.1449.9350.9550.5450.0550.05
22.9918.2320.4018.6520.0517.0920.1317.3617.45-17.1115.2114.6810.469.868.16
22.9918.2320.4018.6520.0517.0920.1317.3617.45-17.1115.2114.6810.469.868.16
26.5623.0625.7624.1725.0421.9925.5022.2420.09-14.1617.7517.0814.9214.4913.75
21.5116.6318.9915.8312.6915.0116.8713.9816.10-19.7414.1314.059.008.729.11
17.1314.9615.2412.8011.0113.16-2.439.2710.7122.0917.6514.0514.128.31-0.73
0.750.710.670.680.740.780.780.710.680.560.530.490.590.300.27
6.064.635.247.498.8510.8510.2611.6110.058.848.995.997.927.303.16
5.846.005.905.335.595.684.194.284.184.174.553.334.404.922.44
62.5560.8161.9168.4365.3564.2787.1385.2487.2987.4580.2411083.0374.13149
2321,044-5,434.78-176.16-127.53-75.948.74-59.03-669.79-25.1625.4520.3614.052.384.50
-43.76-30.22-33.85-23.86-21.36-24.104.28-22.47-124.61-29.2128.2237.6419.272.736.21
12.8510.6710.268.768.1810.30-1.846.647.70-6.687.925.285.321.021.74
31.4822.2522.0720.6219.6624.15-5.6116.3415.13-11.3015.2813.0111.571.993.36
4.450.78-0.14-3.19-4.01-7.80-10.71-5.78-0.5512.5814.5011.9216.5432.6729.92
11.8810.6110.589.2610.386.258.266.735.06-2.592.052.272.502.381.90
10.419.129.228.349.015.106.875.594.21-3.201.671.831.971.891.49

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
1.251.201.191.000.951.231.221.151.251.161.101.331.381.461.271.241.201.171.161.211.141.331.251.381.191.231.171.351.301.331.291.301.761.731.972.112.362.862.983.062.372.422.242.182.322.452.552.222.332.422.062.302.332.492.211.971.992.032.021.942.021.921.73
0.810.880.920.860.930.940.960.981.071.081.061.001.051.061.101.121.171.191.221.151.271.221.261.321.381.391.411.641.231.281.311.281.151.161.031.021.070.650.620.550.510.370.400.400.480.470.440.360.320.320.220.180.200.180.250.160.210.220.250.250.280.290.29
4.477.7211.748.1416.0017.1424.1645.91-15.26-13.98-19.10-247.52-22.96-16.56-10.83-9.57-7.26-6.91-6.37-7.51-5.29-5.60-4.88-4.17-3.89-3.78-3.77-2.59-5.46-4.58-4.30-4.62-7.79-7.42-36.69-45.30-14.731.861.621.231.050.590.660.670.910.870.790.570.480.480.370.290.350.320.420.250.320.340.390.390.400.410.42
51.3650.9549.9051.0950.0849.4848.1849.9143.4546.2645.3050.9949.6048.3048.5150.4248.6647.3447.5551.3550.5050.0546.6548.2948.3946.7045.5749.5748.2746.0944.5049.3449.7447.2742.0849.8248.1747.3744.8150.0547.7047.0946.9951.5350.4350.1048.4050.3550.4949.3549.7450.4350.6050.7650.3850.6650.5249.8549.0236.1133.1931.1127.85
25.4824.5121.7225.9125.0021.5618.3825.5315.7216.7312.6323.6221.4018.7716.8124.3718.8413.4715.6524.8320.7118.7613.8222.9515.7915.5111.6525.7021.0917.4313.5120.3422.2615.668.3823.1916.2418.579.73-79.9314.429.918.7122.7416.2213.5610.9517.3315.0512.9411.8612.0012.188.019.2112.7411.068.326.901.84-0.250.18-8.36
25.4824.5121.7225.9125.0021.5618.3825.5315.7216.7312.6323.6221.4018.7716.8124.3718.8413.4715.6524.8320.7118.7613.8222.9515.7915.5111.6525.7021.0917.4313.5120.3422.2615.668.3823.1916.2418.579.73-79.9314.429.918.7122.7416.2213.5610.9517.3315.0512.9411.8612.0012.188.019.2112.7411.068.326.901.84-0.250.18-8.36
---------------------------------------------------------------
24.9122.07-3.7724.8923.1620.2716.4924.4914.0314.0211.5822.3319.2217.2516.3023.0113.4410.8813.538.1217.4514.7911.1620.6414.5012.909.5423.7617.3913.699.3719.2219.1311.681.8422.4113.8515.7210.47-82.1810.527.047.2520.6516.5511.2210.3916.6715.0511.1712.4711.6111.413.079.3811.5110.066.666.262.51-2.420.60-8.08
20.1416.86-1.6320.9318.1515.4412.8121.7611.7610.6514.1117.2814.5714.8713.7618.1310.978.3411.9010.2313.3911.139.1118.7313.2710.237.97-29.3812.898.756.0112.9612.537.481.4316.598.0910.386.0511.0210.2459.1510.3427.5820.2417.239.7313.769.578.478.038.006.1417.5927.1014.365.778.373.972.970.280.47-4.30
0.200.200.180.210.210.200.180.210.200.180.160.190.180.180.170.210.180.160.150.220.190.190.170.240.210.200.160.240.190.180.160.220.180.170.130.200.180.150.130.180.120.120.110.100.130.120.160.190.180.180.160.170.140.130.110.080.070.080.070.190.170.220.21
1.661.611.431.681.331.191.041.291.161.071.091.441.761.821.722.221.961.901.962.592.152.192.083.272.622.401.813.022.342.062.063.492.722.652.412.852.211.981.772.642.272.231.131.731.441.501.982.361.982.232.092.231.881.871.751.930.700.750.712.791.902.281.87
1.511.491.501.671.531.591.621.781.731.671.641.671.761.691.631.641.621.431.481.681.541.541.441.741.581.521.251.291.191.241.201.341.321.321.041.231.161.201.131.291.241.180.710.910.830.881.201.301.261.351.141.231.361.281.301.310.590.560.561.681.271.491.46
59.6160.3459.9754.0458.7056.6755.5550.4751.8854.0054.7553.7751.0953.3855.3355.0455.6563.0861.0253.4858.4558.3562.4651.6556.9959.2772.2870.0475.6172.8175.1867.3968.3868.1686.6172.8877.3475.0779.7769.5272.8376.5612799.3610810374.9969.3571.2366.6279.0073.0266.2670.1369.0068.4915316116053.5070.6160.4061.82
41.9854.47-7.0880.78124106112450-71.07-53.26-89.93-1,752.17-124.19-85.47-51.26-76.34-27.84-16.69-21.29-35.58-24.72-21.80-13.95-33.15-17.78-12.13-7.6033.24-26.04-13.52-7.52-25.63-29.78-15.93-12.41-289.58-42.288.284.20-33.482.071.872.276.999.698.056.1510.215.294.573.873.242.520.705.731.54-0.100.070.960.51-0.810.36-3.08
-16.19-11.740.93-15.24-11.29-8.87-6.43-13.04-6.33-5.02-6.00-10.91-8.04-7.98-6.32-10.34-4.89-3.25-4.66-5.96-6.06-5.03-3.48-10.52-5.86-4.15-2.5916.28-8.05-5.09-2.94-9.76-15.50-8.47-2.34-53.88-17.4810.795.16-38.862.342.063.847.7521.8717.2411.8718.888.357.255.934.453.290.897.371.77-0.140.091.330.70-1.130.51-4.40
4.053.33-0.294.483.743.042.264.602.411.962.303.312.702.642.353.801.991.311.852.282.582.091.524.502.772.041.29-6.992.471.590.962.882.241.280.193.331.561.650.93-8.880.550.660.732.182.171.871.522.651.711.451.281.231.050.312.220.66-0.040.030.380.20-0.320.14-1.12
8.036.78-0.5810.979.155.864.459.604.984.104.977.115.665.505.238.944.663.174.745.496.654.773.6210.546.704.763.11-21.325.913.832.317.094.392.480.356.543.082.891.60-15.031.011.181.374.205.074.313.456.533.583.093.042.672.010.574.321.29-0.080.050.720.38-0.580.26-2.17
8.034.903.224.452.262.101.480.78-2.35-2.58-1.78-0.14-1.47-2.03-2.82-3.19-4.37-4.80-5.47-4.01-6.34-5.78-6.61-7.80-8.53-9.19-9.49-10.71-5.05-6.00-6.34-5.78-3.90-4.07-0.78-0.55-1.698.829.9312.5813.4716.6214.7414.5010.4610.6011.4911.9213.8913.5314.0716.5418.9219.8918.8732.6731.4130.6430.2529.9230.0329.3428.59
7.733.302.3011.884.650.49-0.0510.613.210.950.8810.586.514.382.149.265.242.981.7510.385.832.851.446.251.52-0.44-2.938.263.461.860.846.733.841.740.075.063.021.460.72-2.590.060.510.052.05-0.09-0.36-0.112.371.751.090.222.502.370.940.682.381.410.480.181.88-2.36-2.62-3.11
6.732.632.0210.413.65-0.13-0.369.122.140.290.579.225.543.761.848.344.692.711.809.014.762.121.065.100.78-0.91-3.176.872.241.150.445.593.001.18-0.214.212.371.080.57-3.20-0.340.28-0.021.67-0.45-0.60-0.271.911.300.780.061.972.080.780.601.891.160.340.151.48-2.78-3.02-3.32