Universal Display Financial Ratios for Analysis 2009-2024 | OLED

Fifteen years of historical annual and quarterly financial ratios and margins for Universal Display (OLED).

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
7.726.634.935.614.914.778.139.5812.9713.8114.0812.0018.563.294.84
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76.5179.2679.2380.0781.4078.3683.7086.7867.0378.3780.3094.5693.9197.0997.63
37.6843.3241.1336.7339.0822.9343.5734.4016.8930.6926.0816.439.28-33.48-128.38
37.6843.3241.1336.7339.0822.9343.5734.4016.8930.6926.0816.439.28-33.48-128.38
43.1949.1348.6444.2512.534.9647.4240.1919.1935.0130.6417.375.12-40.43-132.48
42.5343.5041.2438.1341.9325.9944.5534.4917.3031.0626.6017.863.98-65.64-130.71
35.2234.0733.2830.8733.8623.5030.4623.807.6121.9150.5011.605.15-65.21-129.89
0.350.400.380.340.360.270.430.320.340.390.320.220.160.330.20
0.770.700.860.931.180.761.511.524.941.112.730.410.97402-
4.126.655.145.216.705.746.417.967.738.659.379.625.714.214.72
88.5554.8570.9870.0154.4663.6356.9445.8747.2542.1838.9737.9663.8886.6177.32
14.0316.4716.7514.6117.048.5215.769.103.149.3317.312.760.92-34.68-34.39
15.2117.3117.9716.3419.9610.6920.9013.953.7211.4422.193.930.92-34.68-35.12
12.1613.7012.5610.5112.356.3013.327.662.628.5416.002.510.84-21.57-25.59
14.0316.4716.7514.6117.048.5215.769.103.149.3317.312.760.92-34.68-34.39
30.5526.7023.0619.1617.0914.5913.9911.269.989.829.217.567.421.471.62
3.252.674.033.154.132.602.851.732.391.010.970.380.36-0.11-0.40
1.991.783.122.563.492.062.211.572.280.880.870.320.31-0.12-0.41

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
7.186.319.707.726.6910.888.276.637.076.015.384.935.856.115.775.614.855.105.954.914.934.934.964.775.415.615.528.139.7410.5511.559.5811.1713.2117.1912.979.589.0910.3413.8117.6514.1217.1114.0813.1011.8716.3312.0012.9517.7920.5518.5619.3918.4113.083.293.406.395.344.845.265.195.60
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77.8475.8277.6377.2575.7278.0774.7382.1976.7180.0577.9677.9578.0878.4382.6180.9380.0378.1980.0082.1182.2779.6381.9873.8779.2179.2882.8885.3878.1788.9776.6387.8178.6391.1782.9987.0381.6232.7272.5278.5077.5481.3673.8484.3770.2083.2279.3597.3991.2594.6391.3894.2188.9598.7498.9397.7695.3397.4197.6810894.6189.2493.97
41.4635.6138.0440.9034.3340.0134.7749.1542.6439.0441.3738.6140.2038.4847.4346.4741.36-2.0439.6433.9041.8741.1839.1521.7733.5719.4310.3749.9525.6059.0421.7046.72-9.9452.848.5743.1521.25-8.195.6730.4018.4844.9717.5239.2512.9444.03-47.7729.80-48.4743.05-12.3519.1227.25-9.51-28.58-1.95-55.03-22.60-99.47-85.95-73.71-213.46-211.50
41.4635.6138.0440.9034.3340.0134.7749.1542.6439.0441.3738.6140.2038.4847.4346.4741.36-2.0439.6433.9041.8741.1839.1521.7733.5719.4310.3749.9525.6059.0421.7046.72-9.9452.848.5743.1521.25-8.195.6730.4018.4844.9717.5239.2512.9444.03-47.7729.80-48.4743.05-12.3519.1227.25-9.51-28.58-1.95-55.03-22.60-99.47-85.95-73.71-213.46-211.50
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50.3740.9442.6647.7638.1943.7039.5747.7143.6640.2641.5438.6640.2238.7147.5747.1342.460.4441.7336.3544.7443.8642.7025.3236.2922.5613.1850.7927.0059.8222.8747.44-8.2851.019.6643.0821.78-7.416.1930.6919.0045.2418.0539.6613.5344.37-46.4230.69-46.3444.18-9.6820.8929.9632.01-120.65-46.18-101.85-52.52-81.06-82.00-90.82-217.00-196.54
41.3032.9434.2839.5936.3433.7230.3739.0433.1130.2232.9931.9631.9331.0838.3137.8134.361.4133.6825.7837.6436.4935.4926.8029.1119.2613.6827.7121.6045.3218.6533.64-4.9633.866.5628.8117.88-20.264.2123.3713.0231.8510.6311716.8831.16-31.7719.14-43.7336.56-9.6830.7327.5029.44-123.75-49.24-101.85-52.52-70.13-79.32-90.82-217.00-196.54
0.090.090.100.090.090.100.090.110.100.090.100.100.100.100.100.110.100.050.100.090.090.120.090.080.090.070.050.150.080.140.080.120.050.110.050.110.070.110.060.110.070.130.080.110.080.130.040.070.030.080.030.050.060.030.030.120.090.100.050.060.060.030.03
0.200.220.210.200.190.180.190.160.210.160.230.240.260.270.230.290.280.150.300.280.300.400.230.260.230.210.140.470.410.460.780.530.400.350.340.630.532.300.220.330.250.580.680.731.250.950.340.070.120.190.200.281.08--109----6.49-77.40
1.841.271.381.131.151.341.411.822.051.821.431.361.491.301.471.721.180.851.361.681.481.771.681.631.791.581.912.211.432.581.532.981.343.581.422.521.393.341.722.541.493.131.543.161.853.421.423.251.593.131.451.741.851.721.601.491.502.171.771.452.731.681.56
48.8370.6365.1379.5077.9567.1763.9349.3443.8349.3862.7766.2460.3169.1561.3452.3176.3710666.2053.4860.7150.9953.4555.3450.1457.0447.0340.6763.1134.8658.8330.1666.9525.1463.2235.7264.7326.9252.3635.3760.4928.7758.2928.4848.7626.3563.2627.6956.6528.7562.1051.7448.6152.3256.1160.4259.9041.4050.8562.0532.9953.6057.59
4.213.433.834.283.733.713.075.114.413.564.424.174.454.095.435.914.600.104.513.264.705.784.392.793.381.660.934.982.177.761.834.89-0.304.410.413.881.56-2.670.292.930.974.550.9313.531.524.31-1.401.54-1.573.11-0.361.681.781.04-3.87-9.26-14.11-7.95-5.06-6.45-7.55-9.87-7.94
4.503.684.134.644.074.083.215.374.663.774.714.484.824.486.006.605.210.115.203.815.586.995.413.504.302.161.236.602.9710.852.687.49-0.496.580.494.581.87-3.240.363.591.215.671.1817.352.065.97-2.002.19-2.263.11-0.361.681.791.04-3.88-9.26-14.11-8.00-5.13-6.59-7.76-10.20-8.23
3.692.953.383.713.173.222.594.253.492.773.363.133.233.003.944.253.310.073.362.363.484.303.252.062.581.300.754.211.866.671.584.11-0.263.760.353.231.32-2.240.252.680.914.190.8612.511.393.91-1.291.40-1.442.84-0.331.531.640.95-3.46-5.76-8.92-5.45-3.84-4.80-5.71-7.57-6.22
4.213.433.834.283.733.713.075.114.413.564.424.174.454.095.435.914.600.104.513.264.705.784.392.793.381.660.934.982.177.761.834.89-0.304.410.413.881.56-2.670.292.930.974.550.9313.531.524.31-1.401.54-1.573.11-0.361.681.781.04-3.87-9.26-14.11-7.95-5.06-6.45-7.55-9.87-7.94
33.4332.1831.3030.5529.1928.2827.4526.7025.3724.4023.7023.0621.7320.7919.9719.1618.4617.6317.8117.0916.5715.8215.1114.5914.2813.7613.6113.9913.2312.9112.0211.2610.2610.239.789.989.519.299.769.829.609.699.239.217.907.737.357.567.507.607.347.427.296.986.771.471.331.461.571.621.691.781.93
4.592.921.523.252.471.211.002.672.621.811.114.032.841.250.623.151.600.680.124.132.931.780.732.602.021.070.832.851.521.210.041.730.860.770.002.391.731.621.021.010.400.54-0.160.970.480.33-0.240.380.160.20-0.040.360.170.040.04-0.11-0.13-0.07-0.01-0.40-0.32-0.24-0.12
3.972.581.361.991.380.630.811.781.961.370.883.122.210.810.412.561.200.430.023.492.391.350.442.061.580.780.642.211.021.000.021.570.770.72-0.012.281.631.550.970.880.310.47-0.180.870.390.28-0.250.320.110.15-0.080.310.120.010.03-0.12-0.14-0.08-0.01-0.41-0.33-0.25-0.13