ON Semiconductor Financial Ratios for Analysis 2009-2024 | ON

Fifteen years of historical annual and quarterly financial ratios and margins for ON Semiconductor (ON).

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
2.712.782.451.901.662.162.081.911.531.742.081.651.671.911.89
0.250.330.390.450.460.450.490.620.340.370.330.320.360.350.42
0.430.520.670.981.090.871.051.960.850.720.620.730.810.640.93
47.0648.9740.2732.6535.7738.0836.7233.2934.1334.3133.3932.6929.3141.3235.09
30.7628.3419.106.647.8414.4112.306.327.477.247.51-0.703.2916.188.06
30.7628.3419.106.647.8414.4112.306.327.477.247.51-0.703.2916.188.06
38.2839.7528.1219.1218.9223.4121.5216.0017.7816.0915.179.5010.0324.1917.03
30.7328.3717.183.365.0112.849.884.626.296.076.11-2.661.1013.214.01
26.4822.8714.984.463.8410.6714.634.665.906.005.40-3.360.3412.563.45
0.620.700.700.610.650.770.770.560.900.830.840.870.890.790.73
2.072.632.922.832.882.973.222.533.072.853.043.353.823.764.25
8.829.898.337.777.838.577.906.208.207.577.268.097.537.856.78
41.3736.9243.8346.9546.6342.6046.1958.8444.5248.2050.2945.1148.4846.4853.83
28.0230.6721.966.646.4319.7229.0310.0012.8111.6610.08-6.681.0021.106.30
36.9044.5946.5716.5819.9137.1664.7411720.1820.7713.77-9.791.5632.7711.93
16.5415.8910.502.732.548.3011.302.665.405.034.66-2.790.3810.032.62
21.0920.5213.433.633.4510.8214.773.768.427.316.72-4.530.6413.683.65
18.2914.3710.658.648.087.726.594.403.963.803.463.103.313.182.35
4.435.874.022.111.672.922.551.381.101.090.730.611.191.240.65
0.993.702.941.220.401.841.660.880.490.630.400.060.510.900.51

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
3.073.012.872.712.442.392.222.783.022.792.792.452.522.221.841.902.112.352.321.661.542.422.312.162.361.541.532.081.972.032.151.911.871.521.601.531.461.461.741.741.792.032.112.081.871.851.851.651.741.691.681.671.741.771.961.911.911.812.131.891.891.732.08
0.230.240.240.250.250.270.280.330.350.360.380.390.410.430.430.450.510.550.560.460.470.520.450.450.450.390.410.490.550.580.600.620.640.630.330.340.350.340.370.370.370.310.330.330.310.320.330.320.340.340.350.360.380.390.420.350.330.350.430.420.440.460.50
0.390.400.410.430.460.500.540.520.570.590.640.670.750.820.920.981.231.451.461.091.121.110.860.870.850.890.961.051.321.481.631.962.072.010.810.850.890.850.710.720.710.550.600.620.600.630.670.730.690.690.770.810.810.810.840.640.600.630.860.930.971.041.10
45.3745.1845.8346.6747.2647.4346.8248.5148.2749.7449.4245.0841.3838.3335.1834.4133.4930.8431.5134.6534.3937.0337.0537.9038.7038.1237.5637.5037.6736.7735.0230.7834.6035.0833.7133.3134.1234.5734.5032.1333.7036.7135.1333.9334.8333.6830.9430.1132.8134.6832.9431.1529.0829.3827.8441.0241.0441.8041.4639.1537.1732.9229.57
25.2822.3928.2030.3331.5032.2128.8333.4819.3628.0133.2826.0222.9116.908.5011.629.033.551.469.91-3.1811.7512.9414.8215.6713.5413.4812.1612.7311.5112.745.274.918.587.156.607.687.707.851.696.8111.4610.017.389.417.405.70-19.916.153.615.863.97-0.756.283.7613.9517.9317.4015.3016.8610.513.26-1.21
25.2822.3928.2030.3331.5032.2128.8333.4819.3628.0133.2826.0222.9116.908.5011.629.033.551.469.91-3.1811.7512.9414.8215.6713.5413.4812.1612.7311.5112.745.274.918.587.156.607.687.707.851.696.8111.4610.017.389.417.405.70-19.916.153.615.863.97-0.756.283.7613.9517.9317.4015.3016.8610.513.26-1.21
---------------------------------------------------------------
25.8023.1728.8930.2731.9832.5427.8636.2918.5527.0532.2925.2521.3713.296.578.335.93-0.01-1.715.90-6.129.3610.9812.5514.0113.2811.398.7812.1010.708.001.449.183.815.104.846.286.717.260.435.6610.418.795.747.976.703.89-21.362.742.074.45-0.76-3.534.234.2511.1515.4814.2311.8313.686.87-0.76-6.94
22.8019.4924.3227.8926.7427.5523.5828.7514.2521.8827.2923.0717.7811.026.076.1512.19-0.12-1.104.03-4.397.558.2311.0210.8310.6710.1338.477.827.025.448.791.062.864.416.445.125.766.33-0.074.8612.427.883.947.246.933.42-21.291.720.933.79-1.15-5.503.794.0810.5314.6213.4911.4513.686.32-0.71-8.94
0.130.130.140.150.160.160.160.180.200.190.190.190.190.190.170.170.140.130.140.170.160.160.180.200.210.200.190.190.200.200.220.180.140.140.210.220.230.220.230.230.210.220.220.220.220.210.200.200.200.200.190.200.220.220.220.200.220.230.220.210.210.190.17
0.430.430.470.510.550.560.570.670.720.670.660.740.770.790.740.760.680.650.700.740.730.670.710.760.790.750.740.790.840.840.920.850.570.760.710.750.790.780.760.800.760.760.750.780.800.820.810.820.760.740.790.830.900.850.820.951.011.061.081.121.121.040.89
1.651.962.132.162.282.222.222.502.561.832.142.282.422.502.172.141.811.821.961.991.931.891.972.192.102.081.981.962.001.922.122.001.411.801.911.971.791.801.922.071.711.731.691.871.711.691.801.901.751.691.751.681.671.571.511.971.911.841.841.911.791.651.97
54.6946.0242.2041.7239.5440.5840.4636.0435.1949.1342.1439.4637.2036.0641.5242.0749.7449.5045.9245.2646.6747.6345.6941.0842.7943.2045.5345.8345.0146.8442.4844.9563.9049.9747.1645.6750.3650.0846.9743.4852.7751.9553.1348.0652.7453.3050.0047.3451.5353.1451.4253.5954.0257.2159.5845.7847.0948.9448.8947.2450.3854.4845.72
4.684.055.577.227.778.247.159.745.498.4410.589.267.494.842.472.524.68-0.03-0.421.71-1.853.123.545.205.225.054.7618.964.874.453.946.050.601.502.173.372.963.173.430.012.445.803.631.893.523.321.65-10.320.870.531.89-0.50-3.212.212.404.416.796.645.866.813.31-0.25-3.95
5.975.207.239.5110.3811.3210.1614.158.4214.5320.3719.6414.8410.675.846.3012.54-0.08-1.355.30-6.2610.646.529.799.9810.159.8042.2816.6019.4222.9470.61-42.572.193.295.314.935.315.940.024.458.044.902.584.874.682.38-15.121.290.802.87-0.77-5.013.413.856.8511.2511.8011.2712.896.62-0.55-8.96
2.892.483.374.264.394.523.775.042.814.235.204.433.472.141.051.041.74-0.01-0.150.68-0.701.211.512.192.262.141.937.381.591.381.191.610.160.420.941.421.181.311.490.011.052.781.700.871.631.500.72-4.310.370.220.76-0.19-1.220.850.902.103.283.132.502.831.35-0.10-1.52
3.603.104.245.445.796.035.126.513.585.406.595.664.402.741.401.382.31-0.01-0.190.92-0.981.501.952.852.873.052.799.652.211.891.582.270.220.551.452.221.912.102.170.011.544.002.441.262.442.261.10-7.000.570.351.24-0.32-1.981.361.392.864.534.343.333.951.85-0.14-1.98
20.2119.5218.9418.2917.4316.2314.9814.3713.1312.4911.5510.659.628.848.698.648.387.937.908.087.908.047.827.727.567.266.906.595.295.034.754.404.214.154.053.963.833.853.783.803.813.723.493.463.363.263.143.103.413.393.383.313.393.543.403.183.012.782.532.352.172.062.02
3.071.991.144.433.031.780.915.874.242.011.074.022.621.590.492.111.160.780.401.671.470.860.332.921.961.110.512.552.031.270.491.380.840.520.281.100.750.420.191.090.720.510.170.730.440.310.190.610.310.280.151.190.850.570.281.240.890.610.250.650.400.210.07
1.831.120.630.990.480.160.203.702.771.150.762.941.961.190.321.220.530.280.090.400.440.12-0.071.841.080.530.271.661.540.990.370.880.460.230.110.490.290.130.060.630.360.300.060.400.160.140.120.06-0.120.030.040.510.280.200.080.900.560.400.160.510.290.120.02