MaxLinear Financial Ratios for Analysis 2009-2024 | MXL

Fifteen years of historical annual and quarterly financial ratios and margins for MaxLinear (MXL).

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
2.201.651.951.552.732.462.643.903.403.042.523.325.147.941.56
0.150.150.380.480.330.390.47-----0.000.00-0.01
0.180.180.630.930.500.640.90-----0.000.00-0.01
55.6358.0055.5644.4652.8754.2349.4859.3051.7561.5760.9862.0662.9068.6266.80
-5.5116.097.31-21.13-6.95-4.96-5.1616.26-14.53-6.65-10.32-13.37-21.035.108.94
-5.5116.097.31-21.13-6.95-4.96-5.1616.26-14.53-6.65-10.32-13.37-21.035.108.94
5.1723.4717.93-4.6914.4815.8616.9724.643.93-2.27-6.40-8.67-15.009.6610.58
-9.2015.555.36-24.00-10.24-8.53-8.0916.42-14.28-6.57-10.31-13.21-20.895.458.88
-10.5511.164.70-20.60-6.27-6.81-2.1915.80-14.09-5.29-10.64-13.56-30.6212.951.24
0.640.950.850.470.450.520.510.920.900.980.960.880.640.581.44
3.082.933.012.724.744.223.975.944.474.714.653.753.302.905.98
4.066.557.457.106.296.476.367.687.087.195.976.716.9022.555.29
89.8355.7148.9751.4358.0156.4057.4047.5151.5250.7961.1954.3752.8816.1969.00
-10.6618.498.58-25.21-4.80-6.55-2.3717.39-16.10-7.10-14.69-16.52-23.689.64-22.23
-24.8848.0314082.8717531.455.5535.60-26.16-8.05-14.82-16.57-23.949.73-22.23
-6.7710.604.00-9.64-2.82-3.52-1.1114.50-12.65-5.19-10.19-11.98-19.608.5112.10
-9.0515.675.28-13.06-3.20-4.00-1.2517.39-16.10-7.10-14.69-16.52-23.679.64-22.36
8.398.596.375.255.775.755.755.424.212.612.452.442.803.29-1.81
0.544.812.111.011.101.501.131.731.030.340.380.23-0.220.160.86
0.374.301.620.841.011.391.021.610.980.090.290.08-0.310.060.73

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
1.952.091.992.202.182.291.981.651.601.701.941.951.811.791.751.551.662.722.892.732.622.582.442.462.622.623.002.642.232.343.853.903.434.523.583.402.482.142.563.042.872.852.582.522.682.952.833.323.584.174.935.146.046.378.187.945.966.365.741.56---
0.180.170.160.150.150.140.140.150.220.300.350.380.420.440.450.480.480.340.340.330.330.350.370.390.410.430.440.470.480.51--------------------0.000.000.000.000.000.000.000.000.00-0.01---
0.220.200.190.180.170.160.170.180.280.430.540.630.710.800.820.930.940.520.510.500.500.550.590.640.690.760.790.900.931.05------------------0.000.000.000.000.000.000.000.000.000.000.00-0.01---
54.3554.5651.7154.6854.5655.9356.4756.2158.6258.6958.5757.1956.4954.8053.3642.6742.2750.2049.5952.3152.3753.4353.2652.3851.6155.4856.5545.8145.6449.0659.5757.8457.6261.8759.5756.3553.6338.0461.2260.8161.1862.5061.7060.5762.4358.0962.9862.9962.8461.9260.0360.3764.2463.2064.0665.6970.3869.9068.0470.3865.6565.1265.09
-82.30-44.37-78.32-33.30-13.15-3.2310.9814.1618.1813.9318.2411.8310.351.074.74-12.15-22.07-34.92-32.46-11.32-4.17-3.60-9.25-12.22-14.78-0.244.00-4.98-9.37-15.1611.749.5511.0722.0021.13-8.801.76-45.27-12.87-13.95-9.80-0.94-2.47-8.42-14.81-9.36-8.30-18.371.60-10.23-31.19-22.90-17.90-31.41-11.04-6.788.748.748.5112.3214.641.831.25
-82.30-44.37-78.32-33.30-13.15-3.2310.9814.1618.1813.9318.2411.8310.351.074.74-12.15-22.07-34.92-32.46-11.32-4.17-3.60-9.25-12.22-14.78-0.244.00-4.98-9.37-15.1611.749.5511.0722.0021.13-8.801.76-45.27-12.87-13.95-9.80-0.94-2.47-8.42-14.81-9.36-8.30-18.371.60-10.23-31.19-22.90-17.90-31.41-11.04-6.788.748.748.5112.3214.641.831.25
---------------------------------------------------------------
-101.72-44.92-77.75-34.01-30.63-2.5910.1014.0115.6115.6617.0711.499.17-3.542.68-14.79-24.79-38.34-35.80-15.41-5.92-6.84-13.37-15.58-18.80-3.15-0.02-9.22-13.60-17.8111.809.8611.1722.2921.11-8.582.24-45.23-12.76-13.92-9.76-0.82-2.32-8.27-14.88-9.31-8.37-18.021.78-9.95-31.43-22.85-17.92-31.13-10.82-6.359.179.218.5412.6314.661.501.16
-93.44-42.69-75.90-30.71-29.39-2.373.8410.709.9411.4212.7311.374.030.361.82-12.67-23.40-33.44-24.94-11.57-5.89-2.70-5.730.35-16.39-14.201.67-17.10-8.0710.539.539.5810.0522.2120.14-8.631.66-43.27-13.34-7.27-9.85-1.72-2.65-8.38-15.37-9.75-8.67-18.451.62-10.48-31.73-24.32-64.56-26.51-6.7935.697.309.720.7412.62---
0.090.090.090.120.120.160.210.250.240.240.240.240.220.200.210.190.160.090.090.100.110.110.110.120.110.130.140.140.130.110.200.210.240.260.280.300.280.210.250.240.240.260.250.250.260.250.240.220.240.210.190.170.160.150.140.130.160.160.150.43---
0.390.440.480.570.540.640.720.790.710.790.790.810.790.941.061.140.870.951.011.061.010.900.931.000.991.021.051.150.970.681.131.381.271.511.411.331.221.131.071.171.321.371.131.241.231.331.130.931.151.091.220.950.681.001.160.730.861.291.791.59---
1.691.080.750.730.861.181.321.701.602.042.102.072.151.522.392.891.491.571.381.391.421.461.421.471.451.211.221.721.501.261.541.731.942.292.502.332.281.701.711.751.591.721.521.571.681.671.471.711.711.631.871.852.102.172.235.214.082.182.001.57---
53.1983.1011912210576.2568.3752.9556.0944.0642.8643.4741.8659.3037.6231.1760.5457.1865.0064.8063.3761.7663.4261.1062.0774.1573.6052.3159.9271.4458.5952.1546.4139.2435.9738.5639.4952.8152.5551.3356.5752.3159.2057.1753.4853.9761.1252.7752.7155.0948.1748.6142.7841.3940.4217.2922.0541.3545.1057.46---
-13.61-6.36-11.33-5.61-5.67-0.581.304.604.615.616.365.762.020.170.90-6.31-9.23-5.43-3.79-1.95-1.14-0.54-1.190.08-3.55-3.610.45-5.02-2.312.762.312.372.867.037.18-3.250.60-12.05-4.81-2.38-3.34-0.64-0.97-3.05-5.77-3.38-2.85-5.710.54-2.86-7.39-5.04-12.05-4.64-1.095.401.401.891.47-9.85---
-42.04-16.58-28.42-13.09-13.21-1.292.9911.9415.1923.6941.4793.95-100.86-1.66-5.1720.7426.57-518.7241371.2117.335.157.98-0.3712.9312.08-1.4311.745.23-5.644.444.856.3311.0810.95-5.281.17-27.34-5.44-2.70-3.36-0.64-0.97-3.08-5.82-3.42-2.85-5.730.54-2.88-7.46-5.10-12.21-4.67-1.095.451.421.901.48-9.85---
-8.46-4.03-7.02-3.56-3.61-0.370.802.632.402.713.062.680.880.070.38-2.41-3.64-3.15-2.23-1.15-0.67-0.31-0.650.04-1.88-1.810.23-2.36-1.051.171.901.982.375.765.65-2.550.46-9.03-3.34-1.74-2.34-0.45-0.65-2.12-4.06-2.47-2.05-4.140.40-2.21-6.05-4.18-10.06-3.93-0.964.761.171.601.225.36---
-11.15-5.31-9.51-4.76-4.83-0.501.113.893.613.924.133.541.180.090.50-3.27-4.76-3.58-2.51-1.30-0.76-0.35-0.750.05-2.10-2.050.25-2.65-1.201.352.312.372.867.037.18-3.250.60-12.05-4.81-2.38-3.34-0.64-0.97-3.05-5.77-3.38-2.85-5.710.54-2.86-7.39-5.04-12.05-4.64-1.095.401.401.881.47-9.91---
6.607.367.688.398.629.229.188.597.847.276.826.375.965.675.585.255.355.505.645.775.785.785.795.755.695.835.975.755.935.985.595.425.255.024.574.214.304.232.562.612.582.612.502.452.432.492.442.442.562.642.662.802.883.173.283.293.083.002.91-1.81---
-0.210.160.190.540.740.900.524.813.993.211.662.111.910.860.511.01-0.010.220.091.100.700.400.231.501.140.700.171.130.800.220.331.731.321.060.581.030.480.160.100.340.490.320.120.380.290.210.020.230.180.00-0.03-0.22-0.16-0.08-0.070.160.240.020.140.760.370.09-0.13
-0.390.020.090.370.590.780.454.303.683.021.601.621.570.640.440.84-0.150.150.081.010.650.360.201.391.050.630.141.020.730.200.321.611.220.990.540.980.460.130.070.090.280.190.070.290.220.150.010.080.09-0.05-0.06-0.31-0.22-0.13-0.090.060.18-0.010.100.650.290.05-0.14