Magnachip Semiconductor Financial Ratios for Analysis 2010-2024 | MX

Fifteen years of historical annual and quarterly financial ratios and margins for Magnachip Semiconductor (MX).

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
20232022202120202019201820172016201520142013201220112010
5.237.154.792.362.832.662.391.581.561.632.062.552.483.36
----1.051.061.151.481.391.090.730.510.600.61
---0.24-20.34-17.54-7.65-3.07-3.54-12.112.751.051.521.57
22.4529.9932.3825.3122.3626.3827.6422.7121.2821.8921.1230.1326.8531.61
-25.06-1.5517.595.334.566.315.770.40-6.78-11.05-3.6510.444.9811.86
-25.06-1.5517.595.334.566.315.770.40-6.78-11.05-3.6510.444.9811.86
-17.802.8920.659.0211.2810.8710.214.20-2.49-6.660.9314.5412.0019.56
-20.67-0.8515.602.14-3.500.1012.67-3.76-15.77-16.57-8.2015.22-0.4310.71
-15.92-2.3811.9668.03-4.19-0.5212.50-4.30-13.39-16.79-8.7413.63-1.529.62
0.550.650.810.890.871.291.221.561.341.321.171.191.281.23
5.455.938.159.709.767.726.739.328.667.247.756.858.677.70
6.237.816.177.389.036.167.0610.176.648.358.657.517.216.47
58.6046.7359.1549.4740.4159.2551.7335.8954.9743.6942.2148.6250.6556.40
-10.63-1.8812.5216.5113622.53-214.2841.07136634-78.7457.45-8.4245.52
-10.68-1.8912.5916.6411518.34-194.3739.38131560-81.8662.43-9.6354.77
-8.71-1.569.729.98-3.43-0.6715.20-6.70-17.90-22.21-10.2716.16-1.9511.85
-10.63-1.8812.5216.51-7.04-1.3632.20-19.88-53.70-57.04-21.0227.99-3.3717.95
8.879.779.929.66-0.43-0.50-1.16-2.06-1.80-0.542.395.373.54-
-0.070.121.840.161.471.14-0.450.22-0.29-1.101.953.152.672.72
-0.24-0.391.19-0.610.810.35-1.16-0.30-0.19-1.610.751.611.461.60

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-31
5.035.755.235.866.025.917.155.105.204.994.795.114.774.962.361.581.621.552.832.462.252.262.662.402.502.482.392.422.252.281.581.601.521.681.561.601.611.621.631.761.841.972.063.412.972.742.552.512.272.382.482.662.763.063.362.762.61-
0.090.08--------------0.971.101.051.121.191.181.061.061.121.111.151.251.301.311.481.421.471.371.391.481.321.191.090.900.790.770.730.400.390.400.510.490.540.550.600.560.530.590.610.630.71-
0.090.09------------0.241.1049.55-14.43-20.34-9.10-6.34-6.54-17.54-17.48-9.01-10.15-7.65-4.96-4.29-4.28-3.07-3.40-3.14-3.70-3.54-3.08-4.10-6.26-12.119.373.763.412.750.660.640.671.050.971.181.241.521.291.151.481.571.742.42-
21.8218.2822.6823.6422.2021.2226.3924.1928.5537.4634.9936.6829.8327.9526.9122.9027.0524.1824.7223.6322.4517.7324.4827.0626.9726.8928.2728.4727.9925.7125.5420.3521.9923.1219.6222.4821.7821.2120.5821.9420.6124.539.7920.1523.3829.9734.0734.4531.0228.2028.5030.0032.4930.05100.0033.0933.14100.00
-24.12-27.43-31.35-15.08-17.47-38.27-16.59-14.061.9712.3757.8915.751.43-1.706.442.587.264.954.619.616.21-4.714.388.876.974.454.378.775.843.942.900.32-4.412.88-5.01-5.09-9.40-7.41-18.14-10.03-11.24-4.80-18.90-5.981.387.1910.8316.0411.356.71-4.1211.6013.8112.02-78.2514.3314.40100.00
-24.12-27.43-31.35-15.08-17.47-38.27-16.59-14.061.9712.3757.8915.751.43-1.706.442.587.264.954.619.616.21-4.714.388.876.974.454.378.775.843.942.900.32-4.412.88-5.01-5.09-9.40-7.41-18.14-10.03-11.24-4.80-18.90-5.981.387.1910.8316.0411.356.71-4.1211.6013.8112.02100.0014.3314.40100.00
----------------------------------------------------------
-27.46-33.51-16.53-15.57-11.35-39.8215.55-29.69-4.1812.5058.7610.962.11-5.8414.585.8610.48-24.7218.45-8.39-5.47-19.35-1.039.14-10.012.2624.333.70-4.5127.57-26.5415.93-10.506.043.93-36.15-19.27-11.46-38.22-23.939.10-12.67-11.930.43-12.93-7.7120.9023.583.709.88-4.10-27.0516.5013.22100.0030.53-14.39100.00
-24.44-31.42-11.88-8.43-6.47-37.664.87-24.15-3.299.1548.598.48-0.17-6.0746.5821924.55-19.7118.99-1.08-6.76-31.81-1.338.36-10.771.6725.003.17-4.8327.05-27.5915.53-10.665.4914.99-36.96-18.90-12.15-38.07-24.098.72-13.16-12.650.15-12.75-9.0557.4521.822.148.6213.11-27.9515.5311.966.5729.36-15.7917.33
0.130.120.120.140.140.120.120.130.180.180.190.230.200.220.250.160.190.210.210.250.240.190.310.340.350.290.310.350.330.310.410.420.360.320.320.360.340.330.320.330.270.270.280.200.240.240.320.320.310.280.310.330.310.290.300.330.34-
1.201.271.201.521.471.241.131.452.001.761.822.071.932.962.682.861.902.462.241.571.631.091.892.102.542.141.712.212.061.972.362.131.851.602.132.061.771.701.771.981.521.482.121.691.941.621.841.941.851.872.142.011.581.783.752.162.17-
1.511.391.381.391.581.521.411.581.371.351.442.071.732.122.082.002.021.752.141.081.050.841.471.411.541.221.811.992.091.832.672.672.752.561.602.522.212.162.012.342.221.482.070.851.151.302.031.471.501.391.751.591.591.391.571.531.65-
59.5064.8065.4164.5456.8359.1863.7956.8965.6266.8662.6943.5852.0942.3643.2744.9444.6551.5442.0683.0685.6410761.1564.0358.5573.7649.6545.3343.1049.1733.7333.6732.7135.1956.3535.6540.6841.6944.8638.4040.6060.8343.5410677.9669.4444.3861.1060.0064.7451.3356.6356.5664.6657.3758.8454.41-
-4.25-4.79-1.75-1.46-1.08-5.460.69-4.16-0.752.0711.842.49-0.05-1.7819.653.04191147-159.3842.6117.7246.5413.75-98.6863.64-9.23-110.13-9.1711.43-61.9769.04-46.0025.33-13.63-36.6778.3355.9955.99345-195.7025.17-32.88-27.220.07-7.80-5.8065.4123.352.549.3117.86-35.0216.6613.077.5441.81-30.17-
-4.27-4.81-1.76-1.47-1.09-5.480.70-4.18-0.752.0811.902.50-0.05-1.7919.803.07328131-134.5138.1516.3542.9311.19-80.3056.95-8.07-99.90-8.6410.89-59.1266.21-43.8224.33-13.02-35.1875.7253.5752.44305-219.4426.44-34.31-28.300.08-8.05-6.0471.0825.392.8510.6320.19-39.6119.0915.429.0753.19-45.83-
-3.15-3.62-1.44-1.19-0.89-4.400.58-3.21-0.581.629.191.91-0.04-1.3611.881.121.91-5.364.01-2.42-1.44-3.72-0.412.81-3.770.487.811.10-1.618.50-11.276.44-3.831.774.82-13.26-6.48-3.96-12.10-8.002.38-3.55-3.550.03-3.05-2.2118.406.990.672.454.09-9.244.833.411.969.70-5.43-
-3.88-4.39-1.75-1.46-1.08-5.460.69-4.16-0.752.0711.842.49-0.05-1.7819.653.045.13-15.408.24-5.26-3.32-8.40-0.835.99-7.941.0116.552.32-3.4818.91-33.4219.15-11.855.0514.46-37.72-18.08-10.64-31.06-18.885.29-7.46-7.270.04-4.76-3.4831.8611.841.174.187.06-15.507.865.342.9715.44-8.82-
8.098.418.878.929.089.249.779.279.9810.279.929.339.129.099.667.840.18-0.60-0.43-0.97-1.40-1.35-0.50-0.50-0.98-0.87-1.16-1.79-2.07-2.10-2.06-1.86-2.02-1.72-1.80-2.11-1.60-1.05-0.540.701.751.932.399.648.878.565.37---3.54-------
-0.13-0.10-0.070.00-0.050.180.121.120.560.271.840.630.220.530.161.111.230.601.470.870.50-0.341.140.540.63-0.11-0.45-0.53-0.99-0.900.22-0.39-0.25-0.52-0.29-1.40-0.81-0.25-1.10-0.300.16-1.301.951.321.291.023.272.401.771.042.652.210.000.000.340.260.170.00
-0.17-0.12-0.24-0.06-0.080.18-0.390.860.520.251.190.350.120.50-0.610.761.040.510.810.390.06-0.670.350.170.30-0.32-1.16-0.93-1.27-1.01-0.30-0.71-0.42-0.64-0.19-1.52-0.86-0.27-1.61-0.76-0.19-1.480.750.240.240.131.630.910.550.401.451.11--0.200.170.10-