Insight Enterprises Financial Ratios for Analysis 2009-2024 | NSIT

Fifteen years of historical annual and quarterly financial ratios and margins for Insight Enterprises (NSIT).

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
1.281.361.421.431.621.521.541.381.451.501.521.441.381.311.31
0.250.150.190.250.430.170.260.050.110.080.090.100.160.140.24
0.540.390.240.330.740.200.370.060.130.090.090.110.200.170.32
18.1915.6915.3415.5914.7214.0413.7013.5513.3313.4013.5913.5813.4113.4313.74
4.583.973.523.263.113.302.672.712.352.462.362.792.792.581.28
4.583.973.523.263.113.302.672.712.352.462.362.792.792.581.28
5.314.574.294.243.803.833.313.413.063.233.163.573.533.372.27
4.123.593.102.742.742.992.372.542.222.342.232.732.682.391.01
3.072.692.322.072.062.311.351.541.411.421.381.751.901.570.81
1.462.042.011.931.852.552.502.472.672.732.752.652.852.672.58
40.6633.1724.3537.9234.5540.9924.9921.8727.1427.4332.6934.6728.8726.4528.45
2.573.193.213.113.083.673.693.824.094.064.093.874.384.234.14
14211511411811999.5998.8095.6089.3489.8989.2594.4283.4186.2088.12
16.2117.1314.5312.8613.7416.5810.7511.8711.0610.499.9113.1516.7913.856.58
41.2729.8525.3325.9234.1623.1214.8413.4412.5911.2710.8414.6919.5916.438.33
4.475.494.684.003.825.903.383.823.773.893.804.635.404.191.92
12.0814.5411.729.707.9013.847.9511.249.799.669.0611.8114.0711.864.99
53.2648.1743.2538.2432.9027.8223.5420.1118.4817.9617.0615.8213.5911.7610.17
16.642.684.4410.033.568.13-8.482.644.732.671.761.502.512.102.65
16.000.783.8710.491.637.65-9.012.344.382.491.320.831.931.712.33

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
1.241.221.271.281.361.311.301.361.671.481.411.421.551.431.451.431.391.341.561.621.601.381.531.521.651.371.581.541.841.391.581.381.781.401.681.451.611.371.631.501.681.451.591.521.701.401.541.441.681.411.501.381.591.401.341.311.511.271.271.311.391.241.30
0.300.260.240.250.170.180.100.150.330.310.200.190.270.260.230.250.190.270.390.430.430.040.100.170.210.140.220.260.390.270.330.050.260.110.170.110.110.070.120.080.070.040.120.090.110.070.080.100.140.160.180.160.220.190.110.140.240.140.150.240.260.210.29
0.620.540.500.540.410.440.330.390.480.660.470.240.360.350.300.330.230.360.650.740.760.040.110.200.280.180.300.370.660.380.510.060.350.130.210.130.130.080.140.090.070.040.130.090.130.080.090.110.170.190.220.200.280.240.130.170.320.170.180.320.350.270.42
20.6920.9718.5319.5118.0418.4416.8416.8015.7515.9614.2915.0014.8916.4515.1114.9515.8816.4815.1714.7114.4415.0014.7414.5313.4414.3613.7913.0512.8614.9314.0913.0113.0514.3713.7813.0413.5813.4413.2712.6013.8813.7213.4812.9814.6513.4813.3813.4014.1913.1613.6913.1613.2113.9013.3212.8913.2313.7214.0213.1913.7614.2513.85
4.456.064.205.904.055.053.334.563.564.723.013.643.403.973.063.623.173.772.472.922.323.933.383.352.864.042.892.552.364.121.552.772.613.991.172.202.433.021.662.432.293.281.732.582.283.151.222.722.603.622.063.102.253.701.872.792.123.521.672.301.222.11-0.83
4.456.064.205.904.055.053.334.563.564.723.013.643.403.973.063.623.173.772.472.922.323.933.383.352.864.042.892.552.364.121.552.772.613.991.172.202.433.021.662.432.293.281.732.582.283.151.222.722.603.622.063.102.253.701.872.792.123.521.672.301.222.11-0.83
---------------------------------------------------------------
3.605.433.715.463.534.652.864.123.034.372.823.233.043.522.583.142.643.191.992.421.953.673.053.132.473.772.562.262.023.841.272.652.393.860.952.032.392.891.462.392.133.131.572.432.103.101.062.582.433.542.173.032.073.641.762.671.933.341.401.920.961.93-1.07
2.794.052.824.052.663.432.153.102.263.252.142.422.272.631.972.332.012.361.581.871.422.722.332.691.842.801.890.791.272.390.941.441.552.410.591.341.551.790.901.351.411.920.951.461.311.870.771.541.642.311.402.551.392.411.071.861.232.120.891.480.751.51-0.71
0.290.290.360.360.450.420.470.490.510.490.550.550.550.480.520.530.510.450.530.550.480.560.610.630.700.600.680.660.680.580.620.660.730.670.670.690.780.660.710.740.750.720.690.750.710.720.690.670.740.760.710.730.830.780.720.740.790.780.690.740.720.670.65
10.9611.7411.449.7510.087.727.287.855.806.115.936.657.738.697.3510.5010.287.727.6910.277.448.697.6810.078.808.837.696.705.255.265.285.895.326.315.547.036.535.745.757.536.347.186.388.936.768.098.058.837.368.406.587.457.218.045.717.416.638.817.308.167.188.256.64
0.540.520.670.630.740.640.750.760.830.760.880.870.890.730.850.850.850.740.870.910.820.800.980.911.040.851.000.981.190.921.061.021.200.991.111.051.210.981.171.101.191.071.131.111.161.071.090.981.241.131.141.131.361.171.211.181.391.261.251.181.331.181.13
16817313514412214012011810811810310310112310610510512210398.3910911292.0599.4086.6210690.4691.5475.9397.3684.5288.1175.1291.2380.9185.3274.1892.2376.6981.4875.4284.1679.6281.1577.6283.8082.4191.6572.8379.7579.0579.9466.1676.9574.4976.3464.6371.3172.0576.2667.6676.3479.83
3.304.733.825.223.715.133.184.733.545.533.684.123.834.183.123.983.083.842.953.702.464.633.834.773.415.683.751.682.715.121.892.963.075.151.002.713.113.831.622.702.363.721.652.852.133.911.302.942.845.402.805.813.055.972.314.582.785.491.953.721.612.92-1.65
13.5717.019.3013.297.129.105.668.246.269.996.277.176.967.936.058.016.668.757.309.216.896.195.236.644.887.545.062.323.807.302.803.353.505.801.133.083.324.101.742.902.554.031.803.122.354.341.443.293.206.153.236.773.536.922.705.443.356.722.444.712.053.71-2.12
0.801.191.021.441.191.451.011.521.151.591.171.331.251.251.011.241.021.070.841.030.681.521.431.691.281.661.280.530.871.380.580.951.131.600.390.921.211.180.641.001.051.380.661.090.931.350.531.041.221.760.991.871.141.870.771.380.981.660.611.090.540.84-0.46
2.313.482.913.893.094.222.874.012.383.822.963.322.813.112.403.002.502.821.792.131.404.443.453.982.694.902.931.241.653.751.272.802.284.570.832.402.763.561.422.492.203.581.462.601.903.631.192.642.444.562.294.862.394.822.053.922.104.701.662.821.192.30-1.17
55.6156.7053.9453.2649.9148.1747.3148.1746.5445.9743.8943.2541.5340.2339.1638.2435.9934.4332.8332.9031.2830.1728.7027.8226.5925.5624.5623.5423.1021.9720.5220.1119.8419.1618.6718.4818.0417.8517.4317.9617.9717.8917.1117.0616.6416.0215.6815.8215.3014.6814.0113.5912.8212.9012.1311.7611.2410.6010.1810.179.849.438.99
10.907.606.4316.6411.125.074.302.68-5.67-12.00-7.694.44-3.210.141.1610.0313.0714.112.613.564.705.053.388.136.889.804.16-8.48-8.94-2.74-4.202.64-3.49-0.13-1.264.730.662.510.522.671.162.521.581.761.562.040.361.500.670.25-0.462.510.22-0.071.772.100.802.762.362.652.574.292.22
10.417.226.2616.0010.765.144.060.78-7.26-13.25-8.383.87-3.170.421.6910.4912.8914.102.801.634.234.763.237.656.519.504.02-9.01-9.38-3.03-4.482.34-3.72-0.22-1.334.380.372.340.442.490.962.391.531.321.231.790.240.830.17-0.11-0.631.93-0.15-0.291.671.710.532.582.302.332.324.112.11