NXP Semiconductors Financial Ratios for Analysis 2009-2024 | NXPI

Fifteen years of historical annual and quarterly financial ratios and margins for NXP Semiconductors (NXPI).

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
1.912.122.132.141.821.542.222.221.891.991.751.311.871.221.12
0.530.590.610.450.430.370.300.440.430.830.680.710.730.770.82
1.251.441.560.830.760.690.490.820.804.942.152.722.803.735.07
56.8956.9354.8449.1852.0251.5749.9042.8445.6846.7545.2145.6245.4541.4125.52
27.5828.7523.354.857.2228.8122.71-1.5833.0318.5813.529.458.516.20-26.46
27.5828.7523.354.857.2228.8122.71-1.5833.0318.5813.529.458.516.20-26.46
35.9138.2234.7627.9430.2849.9346.1921.6441.5025.7524.2021.6822.6021.74-3.21
25.2525.4719.710.013.2825.2518.76-6.3524.3611.327.83-0.572.38-8.06-7.08
21.0721.1116.910.602.7423.4723.932.1125.019.547.23-2.649.30-10.36-4.75
0.550.570.530.430.440.440.380.380.230.820.750.680.630.580.41
2.683.194.204.253.573.563.754.881.763.983.563.313.705.035.02
14.8513.7611.9911.2613.3111.8810.539.195.839.528.888.558.7610.057.85
24.5826.5430.4532.4227.4330.7334.6639.7062.6438.3341.0942.7141.6936.3246.47
31.5036.6028.150.872.8221.1216.802.3213.8975.7826.84-4.130.15-38.15-17.77
-147.21-80.62-39.02-2.60-6.95-85.73-189.02-5.15-24.59-32.07-26.482.71-0.1018.125.72
11.5912.199.140.401.3610.499.451.046.078.866.44-0.820.03-6.09-2.16
14.7514.9910.990.481.6013.3311.751.307.9312.818.60-1.190.04-8.70-3.24
34.8429.8325.5532.6334.3136.5139.4533.2633.673.446.245.165.484.864.84
13.4414.7511.168.758.3013.307.086.635.325.903.492.910.701.57-3.26
10.2810.718.267.386.5411.445.495.513.984.602.671.91-0.120.58-3.59

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-30
2.352.212.351.911.921.821.752.122.082.151.852.131.372.271.782.141.641.741.771.821.901.821.421.541.222.982.072.222.041.872.272.222.031.911.571.892.483.232.181.991.731.721.771.751.501.691.391.311.511.871.421.871.691.181.281.221.171.03---
0.500.510.530.530.550.550.560.590.600.610.610.610.550.560.470.450.460.470.440.430.440.440.390.370.330.280.280.300.310.310.340.440.450.430.420.430.800.850.850.830.820.740.730.680.690.710.710.710.700.760.720.730.710.740.750.770.760.89---
1.051.091.111.251.321.371.401.441.511.541.561.561.231.250.890.831.031.030.800.760.910.920.740.690.590.390.470.490.500.510.520.820.870.800.780.804.365.605.504.944.582.852.792.152.572.542.702.722.553.142.832.802.453.343.363.733.569.19---
57.4257.3157.0456.6057.2257.0256.7157.1057.1056.8256.6656.1755.3354.7852.7951.3848.0847.3349.3352.5452.3651.9251.1951.7351.3751.5351.6550.5750.9049.1848.8048.7347.9546.4726.8438.5448.6248.0747.9945.8047.0647.2946.9545.5545.6445.0344.5243.9145.8149.1843.3541.7846.0446.6546.7740.6342.5039.8637.42-100.00
30.4628.6527.3826.5128.8928.4026.4329.5929.0628.4727.8426.5524.8522.0719.1718.471.41-7.983.368.5610.297.082.589.3290.435.986.088.556.832.2775.947.097.05-1.10-21.1863.0824.6422.0520.1120.1720.2618.4614.6915.3113.4514.3110.602.9614.3614.265.620.7510.2811.869.9810.489.466.79-1.38-100.00
30.4628.6527.3826.5128.8928.4026.4329.5929.0628.4727.8426.5524.8522.0719.1718.471.41-7.983.368.5610.297.082.589.3290.435.986.088.556.832.2775.947.097.05-1.10-21.1863.0824.6422.0520.1120.1720.2618.4614.6915.3113.4514.3110.602.9614.3614.265.620.7510.2811.869.9810.489.466.79-1.38-100.00
-------------------------------------------------------------
27.9426.2625.1424.2326.7026.1623.8126.4826.2124.6124.4922.5121.6018.2215.7813.00-3.26-13.26-0.494.526.533.07-1.386.1285.562.883.095.333.64-1.1469.793.162.39-6.43-26.3952.2425.6922.18-5.3211.269.1714.0111.089.2013.6910.44-3.41-10.7511.54-2.01-1.84-16.97-6.1310.1719.32-7.9834.38-30.12-29.22-100.00
22.0921.0420.4420.3722.9221.1619.7121.8021.4220.2320.9519.8118.1415.2913.7512.33-0.97-11.78-1.044.954.811.85-1.0011.4974.442.362.5630.664.522.2359.0221.313.69-0.55-17.9060.5223.7219.92-7.299.697.9911.798.837.4212.419.34-1.29-10.399.83-8.23-2.45-19.5528.407.4917.28-10.9532.95-32.35-31.80-38.81
0.140.130.130.140.140.140.130.140.150.150.150.150.140.130.130.130.110.090.100.120.110.110.100.110.120.100.090.100.100.090.090.100.100.100.090.060.180.180.210.220.240.210.190.200.190.190.170.170.180.170.150.140.150.140.140.140.140.15---
0.620.620.640.700.690.670.680.800.930.981.041.121.091.051.151.181.110.780.830.920.950.930.820.910.930.840.880.980.970.950.991.121.131.081.120.531.041.030.991.101.070.950.890.950.900.880.820.880.940.860.900.880.941.051.071.141.281.30---
3.043.373.553.833.663.112.943.453.403.333.393.292.922.623.083.283.003.783.283.452.882.842.623.032.892.902.872.792.612.412.252.362.132.182.111.532.322.622.512.592.082.022.112.392.152.182.122.192.412.342.261.942.382.392.342.461.962.14---
29.6326.6825.3623.5124.6128.9530.6526.0926.4427.0726.5527.3330.8034.3629.2127.4629.9723.8327.4326.0931.2331.6634.3829.6631.1031.0531.3832.2134.5037.4040.0138.1042.1841.2942.6558.6738.8534.3035.8934.7243.2544.6342.6237.7341.9441.2142.4741.1337.3138.4239.8546.3137.8737.7338.5136.5745.8042.14---
7.487.117.047.859.338.617.849.4810.169.459.859.017.545.294.273.50-0.20-2.31-0.141.271.270.49-0.162.7016.960.480.505.680.950.4910.444.811.000.01-3.378.5932.7635.63-12.2420.8516.6114.199.667.4411.969.68-0.08-7.639.33-6.08-0.89-12.90-7.057.0213.65-10.5827.05-66.00---
-76.82-47.70-39.41-36.67-32.21-24.38-19.42-20.89-19.03-16.14-13.96-12.49-11.10-9.68-10.39-10.410.555.630.33-3.14-4.24-1.440.53-10.97-64.95-25.58-14.55-63.89-5.73-2.39-41.01-10.68-1.86-0.026.25-15.21-33.07-22.615.06-8.82-7.02-10.22-6.97-7.34-10.29-7.330.055.01-7.073.650.578.565.42-3.99-7.535.03-12.3810.97---
3.082.862.762.893.302.962.633.163.273.033.122.922.631.971.881.61-0.09-0.99-0.070.610.560.22-0.081.348.710.290.293.190.520.275.582.160.440.00-1.533.754.593.92-1.272.442.202.741.911.782.552.05-0.02-1.522.02-1.13-0.18-2.65-1.571.272.42-1.694.46-4.82---
3.753.493.333.674.243.843.443.884.043.713.843.523.382.352.261.91-0.11-1.23-0.080.720.710.28-0.101.7111.340.350.363.970.650.346.892.700.550.01-1.964.906.685.43-1.903.532.993.712.572.383.682.77-0.02-2.192.76-1.48-0.25-3.43-2.061.813.37-2.416.48-7.26---
38.3636.6535.7334.8433.0331.6630.6029.8328.3627.5225.7525.5526.1828.4330.9032.6332.4432.4333.1834.3133.6033.4534.8236.5136.5639.8740.1439.4538.3137.9537.4633.2632.2532.6333.5533.675.013.882.923.443.605.255.316.245.845.355.105.165.594.925.505.486.325.675.544.86-----
9.286.233.2913.449.105.312.4214.7510.656.333.2311.168.454.912.588.755.203.321.838.305.502.851.0313.3011.182.951.797.084.943.091.826.634.552.481.215.324.372.961.585.903.702.061.073.492.251.090.482.912.211.470.390.700.840.30-0.011.670.880.27-0.080.000.00
6.974.652.4210.286.613.591.4610.717.504.242.168.266.553.832.057.384.182.541.326.544.211.970.5311.449.832.131.345.493.732.351.355.513.802.020.953.983.372.261.244.602.811.500.872.671.710.760.321.911.401.020.23-0.120.17-0.17-0.220.610.25-0.16-0.29--