Nidec Financial Ratios for Analysis 2009-2024 | NJDCY

Fifteen years of historical annual and quarterly financial ratios and margins for Nidec (NJDCY).

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
1.621.541.371.631.341.732.051.501.822.012.181.371.741.801.430.10
0.200.260.200.280.280.210.250.160.150.200.360.240.190.200.00-
0.360.510.450.480.620.370.370.480.390.380.960.990.700.650.573.49
21.1918.4221.0322.6521.7622.6524.0023.9022.9123.5522.9019.2723.2425.4725.72-
6.954.468.949.897.199.1311.2711.7010.5710.819.722.4910.7113.1513.34-
6.954.468.949.897.199.1311.2711.7010.5710.819.722.4910.7113.1513.34-
12.559.7914.4115.8712.8513.7915.8616.6816.0616.0115.018.0815.7418.3318.64-
8.645.388.929.456.979.1611.0511.8610.1310.449.671.8910.3811.5512.77-
5.342.017.147.543.917.308.839.327.797.416.730.976.498.359.56-
0.740.780.710.720.730.810.840.720.850.760.750.710.850.920.85-
3.323.523.314.224.324.594.964.635.314.605.455.745.735.686.28-
3.433.723.253.593.773.963.803.425.394.244.754.773.984.473.88-
10698.2111210296.8192.1595.9410767.7486.0076.7876.4791.6181.6994.09-
7.593.3310.4011.037.9410.9814.0113.1512.0210.3910.171.4611.0614.1812.7535.86
12.385.8017.9620.5316.2317.7922.5421.7015.2313.4814.252.0713.6417.7315.55-37.38
3.991.595.105.453.645.957.476.726.715.784.720.665.887.787.399.07
6.062.468.367.975.728.7310.4911.0510.218.356.541.118.9411.3612.6935.86
2.502.212.532.231.901.941.791.681.351.46------
0.480.000.180.440.330.320.330.250.260.180.200.310.150.210.220.15
0.34-0.010.270.080.100.170.120.120.070.110.140.050.070.130.06

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
1.671.731.621.551.601.721.541.581.451.321.371.321.431.631.631.431.411.481.341.451.481.521.731.792.071.982.052.092.091.861.501.791.541.721.821.791.992.002.011.691.682.132.182.131.851.361.371.401.071.421.741.791.721.811.801.761.781.381.431.391.371.311.27
0.240.230.200.210.210.260.260.250.180.160.200.190.230.270.280.270.280.300.280.290.240.190.210.220.250.250.250.260.270.240.160.120.080.160.150.150.190.190.200.210.240.350.360.330.320.230.240.250.030.200.190.200.210.200.200.200.200.000.000.010.010.010.01
0.410.380.360.440.410.450.510.490.430.430.450.460.460.450.480.560.590.630.620.600.510.440.370.390.370.390.370.400.420.470.480.330.370.420.390.390.360.370.380.540.890.960.960.900.931.000.990.980.890.890.700.720.740.670.650.690.660.620.570.600.600.701.00
20.8720.2018.9821.9421.6022.1613.0021.2820.2620.2019.2221.2721.4522.2822.9123.2022.5521.7520.0422.0022.8022.1417.8622.0925.3524.8823.2224.0324.2424.5823.3024.2524.8523.1623.0122.7723.1922.6722.9324.1924.7123.5623.5224.2722.7622.2713.7619.0423.5322.7424.8421.1223.0423.3321.9523.9625.7726.6828.0127.3325.2820.7919.01
9.409.30-1.579.029.3610.63-6.238.938.768.267.158.929.859.9610.1710.709.978.344.078.008.817.752.378.2613.1112.1510.5711.4611.6911.3710.2012.2313.0211.4210.6710.4410.2910.9011.357.548.6911.099.596.3510.347.74-28.37-8.2710.5114.4813.229.0612.0710.7318.6112.2217.1217.4012.6016.7211.2913.433.58
9.409.30-1.579.029.3610.63-6.238.938.768.267.158.929.859.9610.1710.709.978.344.078.008.817.752.378.2613.1112.1510.5711.4611.6911.3710.2012.2313.0211.4210.6710.4410.2910.9011.357.548.6911.099.596.3510.347.74-28.37-8.2710.5114.4813.229.0612.0710.7318.6112.2217.1217.4012.6016.7211.2913.433.58
---------------------------------------------------------------
3.3312.130.858.159.9715.21-6.208.5210.4010.557.908.519.599.789.9910.009.308.233.227.588.368.661.948.7713.0512.2311.6611.0910.8110.5910.3313.6412.9210.548.7610.0510.2711.479.0511.6911.2310.349.7611.599.598.31-18.341.6011.0410.1914.618.688.489.819.7811.1911.5812.0516.6416.359.576.596.78
3.028.65-4.166.717.0711.31-11.676.597.687.657.146.587.377.488.798.056.926.022.465.646.190.961.946.5610.469.739.578.928.558.229.0710.369.757.987.267.577.888.496.628.077.747.465.857.356.306.32-10.261.007.707.535.425.785.656.826.837.717.788.0713.1410.715.494.715.40
0.200.190.180.190.190.180.220.170.200.190.180.200.190.200.190.210.200.160.180.190.200.190.190.200.210.210.220.210.210.200.190.200.220.210.210.210.210.200.190.190.190.210.190.180.210.200.150.160.210.220.200.210.250.240.240.240.240.250.240.240.230.200.18
0.900.850.830.830.830.791.050.740.860.810.880.950.981.041.111.221.200.931.081.101.141.121.161.091.141.181.301.241.251.261.241.251.361.331.321.281.261.231.131.221.301.431.391.411.591.521.481.321.401.411.321.371.521.491.371.551.451.561.781.751.951.681.81
0.940.880.830.900.870.871.040.810.910.880.840.930.920.950.951.021.010.870.920.940.950.950.940.970.980.980.990.980.940.940.910.961.131.101.341.341.291.191.041.141.221.261.211.171.361.281.040.911.051.060.951.061.161.121.171.141.091.171.081.121.151.181.15
95.7310210899.9410310386.2511199.0010210797.1097.4895.1094.8688.2589.3910397.7395.6494.6794.3895.9192.9592.1692.2391.0892.1795.3995.2698.9594.1779.6981.8567.0167.2169.5675.7286.3379.1273.6771.1674.4176.7666.4070.5186.6398.8285.9985.2894.7484.9477.9180.2876.6379.0882.6177.1283.1780.0578.4776.5878.02
1.173.03-1.432.552.624.18-5.342.322.942.882.712.692.922.963.373.502.942.130.592.202.552.470.692.494.053.853.943.653.463.233.403.783.853.112.772.943.033.142.223.043.123.312.412.832.812.76-3.490.353.293.443.452.322.652.993.753.463.393.555.364.422.521.712.37
1.954.97-2.334.174.296.99-9.313.934.874.894.684.765.275.486.286.915.934.371.214.474.613.981.134.016.486.186.335.905.605.265.625.285.514.533.513.723.854.042.884.014.224.613.373.873.913.87-4.940.524.684.824.252.913.363.734.694.624.554.336.545.463.162.143.11
0.601.58-0.751.301.352.09-2.561.141.501.441.331.291.441.461.671.661.390.990.271.021.261.280.381.332.182.042.101.921.811.651.742.132.131.701.551.621.691.751.231.521.511.541.121.351.311.24-1.580.161.581.641.831.231.391.632.061.871.852.003.112.531.450.931.00
0.892.33-1.142.022.063.09-3.951.742.402.422.182.172.262.152.442.552.131.480.431.561.922.000.551.953.062.912.952.702.542.442.863.323.532.632.362.512.462.541.782.392.362.161.551.881.922.14-2.640.263.192.742.791.852.112.393.012.762.703.535.344.402.511.702.34
2.372.512.502.342.442.442.212.182.422.432.532.292.272.152.232.051.981.931.901.991.931.871.941.901.951.891.791.801.761.671.681.631.511.401.351.391.361.36-------------------------
0.140.080.480.300.210.130.000.150.090.040.180.131.250.040.440.300.150.040.330.260.150.060.320.260.180.090.330.250.140.080.250.200.200.070.260.200.120.040.170.110.090.050.200.140.100.040.310.190.110.050.150.120.080.040.200.150.090.050.220.170.120.060.00
0.070.030.340.180.140.09-0.01-0.01-0.020.010.000.060.010.270.170.06-0.010.080.060.01-0.010.100.090.080.030.170.130.070.050.120.110.140.040.120.080.040.000.070.030.090.020.110.080.060.020.140.060.020.000.050.060.030.020.070.040.020.020.130.100.080.04-