MACOM Technology Solutions Holdings Financial Ratios for Analysis 2009-2024 | MTSI

Fifteen years of historical annual and quarterly financial ratios and margins for MACOM Technology Solutions Holdings (MTSI).

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
8.359.118.365.615.075.334.294.816.655.384.364.733.822.331.901.83
0.300.340.420.530.690.690.510.470.550.440.60---0.380.410.61
0.430.520.721.122.302.211.040.881.260.801.52---0.270.701.54
53.9759.5060.1656.3350.9744.1743.0846.7851.7348.4041.5544.9944.2242.5036.0124.87
10.1016.5619.6513.350.64-76.12-18.67-2.302.432.40-8.203.1717.7214.806.86-20.94
10.1016.5619.6513.350.64-76.12-18.67-2.302.432.40-8.203.1717.7214.806.86-20.94
18.4423.1028.3829.0418.72-54.56-3.0118.2219.9320.839.3711.1935.4632.8511.23-14.77
12.5517.7636.017.08-7.84-84.68-27.22-7.08-3.96-3.66-12.061.214.05-0.155.973.76
10.5314.1265.166.26-8.69-76.80-29.39-24.260.2611.55-4.527.50-2.07-26.260.210.59
0.420.420.430.540.460.450.380.430.460.490.500.771.131.471.580.67
1.731.932.343.212.842.592.642.732.292.712.772.432.943.403.681.85
6.907.116.657.1811.555.784.964.524.194.215.453.825.136.715.722.38
52.8851.3754.9050.8631.6063.1573.5780.7587.1386.6167.0095.5471.1454.3663.83154
6.829.6652.208.05-15.35-122.27-20.00-19.35-0.78-1.31-10.861.08-1.841.2214.6710.73
10.7016.4491.6452.1531.6121184.5695.51-4.31-6.33-33.021.24-2.072.7427.1228.58
4.385.9027.993.35-4.02-34.71-9.02-9.19-0.30-0.64-3.640.84-1.37-0.843.962.60
4.766.3830.443.80-4.70-38.43-9.86-10.33-0.35-0.73-4.341.08-1.846.348.684.22
15.6013.3512.046.854.494.7410.2612.108.628.024.815.324.38-19.491.12-
2.212.332.492.112.570.320.561.011.480.660.540.611.2321.801.650.80
1.912.102.111.862.32-0.18-0.240.470.90-0.060.180.350.5917.321.180.61

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302009-09-30
8.358.187.347.249.114.059.309.048.367.557.496.915.615.474.885.195.074.744.504.345.334.375.014.934.294.975.365.704.815.614.537.376.654.203.724.085.384.714.533.884.363.812.782.734.735.005.004.603.823.453.39-2.33-----
0.300.310.320.320.340.350.400.410.420.500.520.530.530.540.560.670.690.710.710.700.690.700.530.510.510.500.470.470.470.470.420.560.550.430.450.450.440.490.490.660.600.620.540.48------0.02--0.38-----
0.430.450.470.480.520.670.680.700.721.011.091.151.121.181.272.092.302.532.422.362.212.321.121.061.041.020.910.900.880.880.741.281.260.770.840.830.800.960.991.971.521.641.190.96------0.02--0.27-----
54.7353.2452.5455.5657.6157.9960.6261.2760.9160.6959.9458.9858.1257.1855.8654.0552.7851.6350.1348.8747.1531.2344.6350.8546.9534.9443.6146.5652.2347.6137.0151.7353.5751.9849.0552.1050.6048.1445.6149.1149.1544.6924.9142.4543.2142.5341.6443.0140.6345.9047.1743.01100.0043.3541.40100.00--
13.7210.358.507.0110.3811.6521.1921.4220.7920.9019.7216.9616.9315.5112.608.138.614.74-4.17-8.84-10.69-298.94-23.52-9.55-11.57-30.93-15.55-17.560.213.42-18.076.946.597.15-5.350.134.164.02-2.333.5314.676.53-19.13-10.915.6610.6111.0915.6615.6719.9723.2111.63100.0015.6813.84100.00--
13.7210.358.507.0110.3811.6521.1921.4220.7920.9019.7216.9616.9315.5112.608.138.614.74-4.17-8.84-10.69-298.94-23.52-9.55-11.57-30.93-15.55-17.560.213.42-18.076.946.597.15-5.350.134.164.02-2.333.5314.676.53-19.13-10.915.6610.6111.0915.6615.6719.9723.2111.63100.0015.6813.84100.00--
----------------------------------------------------------
16.2012.7310.759.7212.6313.2122.0921.7320.5120.4218.8587.8912.0810.1511.29-5.5911.74-16.92-6.84-22.65-26.00-301.03-35.54-14.78-17.49-68.68-12.29-11.934.42-5.53-23.89-1.08-5.1914.88-11.86-16.398.920.18-13.76-11.9612.820.25-23.47-9.992.8311.809.5912.7723.4824.03-61.1832.02100.00-44.11-12.43100.00--
14.6610.478.277.9716.267.9815.2016.3913418.7117.9086.9711.049.839.83-6.0417.75-18.20-14.93-23.8111.09-301.59-35.97-15.53-29.20-61.96-10.29-17.24-6.44-14.23-69.93-0.643.3415.85-7.97-13.4548.337.36-7.36-6.5312.721.05-20.52-10.602.058.366.878.1445.2217.51-70.681.0350.95-52.58-112.1111.49--
0.110.110.110.100.100.090.100.110.110.130.130.130.140.140.140.130.130.120.110.110.100.100.090.100.100.090.100.080.100.120.120.130.130.160.150.130.130.140.130.120.170.170.190.150.270.280.280.280.280.310.32-0.37-----
0.470.470.480.440.470.450.510.570.610.610.710.740.790.780.790.770.760.690.630.570.550.670.590.610.650.730.590.490.580.850.840.640.620.580.640.550.700.670.660.550.810.891.130.550.880.880.800.730.780.790.82-------
1.901.781.511.551.651.401.391.611.751.621.641.641.842.132.212.693.211.731.751.741.301.281.251.181.311.141.191.131.081.291.261.141.181.321.241.251.131.221.151.221.841.411.261.171.331.411.471.381.281.521.60-1.71-----
47.4050.4559.7057.8954.6264.1764.7255.9951.3055.6954.8054.9449.0442.2340.8133.4628.0452.0651.3451.7769.3270.5272.2776.1568.4479.1475.4379.7883.6269.6071.5479.0476.5968.3772.5571.9379.8074.0478.5174.0649.0163.9271.3677.1067.5264.0661.0965.1270.3059.0456.32-52.78-----
2.611.841.431.222.581.302.883.4228.405.415.3326.453.633.373.59-2.725.83-9.14-3.58-9.663.35-108.60-7.49-3.56-2.41-12.55-2.04-2.210.00-1.79-16.78-0.470.844.78-2.91-4.013.260.49-3.20-4.396.360.55-9.39-2.900.703.032.482.937.177.50-32.34--27.72-----
4.103.002.412.154.392.265.135.8349.8514.3717.0110223.5342.43-151.988.56-12.0013.525.5314.99-5.7815527.1915.6610.1950.3510.8311.290.009.0990.33-2.094.6636.86-72.39-276.3215.8118.471367.0619.343.10-92.67-12.330.813.322.743.288.108.65-38.03--62.24-----
1.681.170.890.761.570.721.591.8615.232.422.3011.021.511.361.39-0.781.53-2.23-0.92-2.510.95-29.40-3.25-1.60-1.09-5.74-0.99-1.070.00-0.86-8.63-0.180.332.34-1.34-1.871.610.22-1.40-1.282.130.17-3.47-1.200.552.381.942.265.345.37-22.15-19.00-----
1.821.270.980.831.700.841.722.0116.562.692.5612.321.711.551.59-0.891.78-2.61-1.06-2.901.05-33.00-3.55-1.74-1.19-6.24-1.07-1.170.00-0.96-9.69-0.210.372.71-1.59-2.201.820.25-1.62-1.492.540.21-4.32-1.500.703.032.482.937.177.50-31.70--143.73-----
15.6014.9814.5014.2113.3512.8912.6112.1912.048.517.937.536.856.496.004.824.494.094.284.434.744.539.3910.0510.2610.4211.7211.9212.1012.1412.558.618.628.327.767.888.026.826.654.764.814.504.425.015.324.994.764.564.384.003.67--19.49-----
2.211.350.700.462.331.630.990.542.491.651.080.482.111.520.890.512.571.450.940.570.320.430.410.040.560.170.170.011.010.760.340.381.480.980.660.290.660.510.03-0.260.520.20-0.090.050.610.620.390.191.230.562.662.208.1011.156.840.000.000.00
1.911.120.570.392.101.480.880.402.111.380.910.411.861.340.790.472.321.270.810.50-0.18-0.060.06-0.13-0.24-0.43-0.24-0.200.470.380.080.290.900.550.340.18-0.06-0.08-0.25-0.330.170.23-0.220.000.350.470.290.160.590.271.241.006.438.924.75---