Onto Innovation Financial Ratios for Analysis 2009-2024 | ONTO

Fifteen years of historical annual and quarterly financial ratios and margins for Onto Innovation (ONTO).

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
8.697.076.146.097.487.805.455.153.944.133.906.164.945.184.06
-----------0.020.030.050.11
-----------0.020.040.060.12
51.5153.6454.3950.0444.1454.1652.7651.6147.8645.5543.4345.8953.0753.9147.09
14.2323.5519.834.79-1.6518.6623.2413.162.65-7.00-15.043.0019.8921.97-17.42
14.2323.5519.834.79-1.6518.6623.2413.162.65-7.00-15.043.0019.8921.97-17.42
22.4729.9828.2218.868.7420.9925.5716.917.50-1.13-8.957.4422.0624.31-9.47
16.2524.0319.734.83-0.2019.4823.4413.182.97-6.98-16.332.5319.3821.64-22.02
14.8522.2218.045.580.6216.4712.9019.911.55-18.70-9.802.4412.4729.75-21.26
0.430.560.480.380.210.650.820.770.800.750.550.700.860.860.52
1.211.441.481.450.971.302.222.591.932.451.972.362.001.941.24
3.604.164.453.732.474.264.085.604.956.374.598.557.854.223.33
10187.6581.9997.8914885.5889.3665.1373.7057.2879.5142.6946.4786.41110
6.9813.999.982.450.1512.4612.5418.061.55-17.33-6.822.0713.6632.75-15.27
9.6721.1017.094.850.3313.5913.1718.781.65-18.89-7.532.3115.6233.93-16.36
6.3412.448.632.110.1310.7910.6315.301.23-13.94-5.381.7210.7325.44-11.06
6.9813.999.982.450.1512.4612.5418.061.55-17.33-6.822.0313.2431.03-13.65
35.3832.7928.9325.9425.1914.5610.659.727.737.548.819.289.067.664.96
3.492.753.522.140.601.362.481.820.06-0.03-0.101.012.301.20-0.31
3.092.383.282.060.381.062.091.66-0.01-0.27-0.350.801.171.09-0.35

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
9.339.068.699.008.647.787.076.626.155.596.145.966.095.976.096.966.536.667.485.585.345.247.804.925.085.115.455.675.354.875.154.563.633.963.943.794.004.154.135.535.835.113.904.554.595.976.166.104.984.974.945.885.685.845.184.685.244.714.063.063.254.53
---------------------------------------------0.020.020.020.030.030.030.030.040.050.050.060.090.100.110.140.140.14
--------------------------------------------0.020.020.020.020.030.030.040.040.050.050.060.070.100.110.120.210.220.16
52.9251.6949.3351.5752.6952.7154.1854.6151.5554.2954.8754.5254.5353.4448.5754.4653.0544.7632.8450.0751.8852.5823.6856.9757.4457.7456.0654.1052.1847.9652.0751.7850.9751.5748.7448.6447.8446.4143.6942.0747.7046.8247.4640.4741.9142.7139.4850.4246.5645.1745.7452.5155.7356.2050.8254.5055.0955.2950.6753.9741.3828.30
20.1518.6812.9016.4113.0114.5824.1723.3322.4124.3422.0921.5018.5916.249.487.345.88-3.75-19.388.418.8112.49-17.2618.6323.4624.9847.7313.2116.539.2915.1515.4413.157.85-2.442.775.164.45-9.59-39.101.553.912.80-18.55-17.82-39.11-21.608.238.087.40-1.1720.1627.1627.4618.7925.6225.3616.002.535.77-44.60-89.87
20.1518.6812.9016.4113.0114.5824.1723.3322.4124.3422.0921.5018.5916.249.487.345.88-3.75-19.388.418.8112.49-17.2618.6323.4624.9847.7313.2116.539.2915.1515.4413.157.85-2.442.775.164.45-9.59-39.101.553.912.80-18.55-17.82-39.11-21.608.238.087.40-1.1720.1627.1627.4618.7925.6225.3616.002.535.77-44.60-89.87
--------------------------------------------------------------
23.6322.2415.4618.6814.6116.1725.8823.5422.3424.4122.1821.4718.5915.719.367.065.50-2.86-18.6010.989.9514.44-9.6518.9223.2225.3048.0813.2716.939.2215.5315.6912.358.10-2.343.354.445.70-9.16-39.591.204.231.87-19.69-20.20-39.77-21.047.427.556.69-1.5921.1326.0026.1518.3024.9225.0916.28-1.545.76-50.47-105.88
21.8520.4713.8517.3213.5814.5926.1420.5420.1222.1020.7118.1718.1214.2412.846.405.50-3.15-14.7210.428.9812.44-2.0115.1019.9519.9018.0810.1712.869.0245.0513.4310.817.30-4.251.792.765.07-11.68-105.641.223.091.20-11.66-13.21-22.74-12.054.338.473.07-1.1713.0817.2216.9156.6422.8622.7515.94-1.076.09-47.98-105.69
0.120.120.110.110.100.110.140.140.150.140.140.130.130.110.110.090.100.100.080.160.160.160.060.210.260.260.240.180.210.200.210.220.210.190.180.190.210.220.180.120.190.200.180.160.140.100.120.160.190.200.170.220.260.260.210.280.300.240.180.220.130.09
0.360.340.340.290.260.280.360.370.440.420.420.410.420.390.420.310.370.480.460.450.440.450.210.540.670.640.600.450.610.690.690.650.540.430.430.470.590.710.600.430.660.680.590.600.480.310.440.490.600.600.460.520.590.590.510.640.660.470.400.370.250.22
1.020.990.970.991.020.951.051.081.091.171.271.121.111.191.040.960.980.940.971.101.191.350.411.521.621.391.201.371.371.231.501.431.031.071.131.221.091.291.521.041.441.591.471.701.071.241.421.461.321.431.551.291.481.301.041.291.451.431.141.230.970.98
88.3391.1993.1791.0188.6794.7385.7883.3782.4277.0870.6880.6681.2975.4386.5993.5191.7295.9892.3181.4775.5066.8822059.1655.4864.5575.2765.5265.6173.4760.0363.1387.3184.3079.7774.0382.2569.8059.2186.4462.7056.5761.2952.8483.8572.3963.5961.6568.2162.9058.2269.7960.8869.4686.8669.5761.8962.9378.8173.3492.4591.83
2.892.631.752.121.561.794.153.333.383.623.282.652.641.871.570.650.61-0.36-1.401.951.682.36-0.153.936.356.285.152.103.132.1110.933.642.961.79-0.970.440.731.41-2.58-15.090.270.750.27-2.23-2.24-2.71-1.690.862.080.79-0.253.695.655.6415.298.669.115.24-0.261.96-8.96-12.88
3.853.572.422.992.262.646.265.135.365.975.614.754.943.653.111.351.30-0.79-3.032.312.002.83-0.164.146.706.635.402.203.252.1911.373.823.121.90-1.030.470.781.51-2.82-16.510.300.820.30-2.48-2.48-3.02-1.890.952.330.90-0.293.785.805.8115.859.049.585.57-0.282.16-9.97-13.99
2.642.401.591.931.421.613.692.922.933.102.832.272.271.601.360.570.52-0.31-1.231.661.411.98-0.133.255.285.254.361.792.651.769.262.972.291.42-0.770.340.581.13-2.08-12.630.230.630.21-1.81-1.81-2.25-1.410.711.650.62-0.202.934.424.4311.886.516.843.86-0.191.31-6.12-9.66
2.892.631.752.121.561.794.153.333.383.623.282.652.641.871.570.650.61-0.36-1.401.951.682.36-0.153.936.356.285.152.103.132.1110.933.642.961.79-0.970.440.731.41-2.58-15.090.270.750.27-2.23-2.24-2.66-1.660.842.020.77-0.253.575.405.3714.498.128.294.72-0.241.69-7.68-11.13
37.1236.2135.3834.5633.8333.2932.7931.6930.8029.7128.9327.8726.9926.4025.9425.3525.0224.9525.1913.5213.2513.0614.5612.1411.5710.9110.6510.7410.4110.069.728.708.267.957.737.777.677.587.547.869.038.938.818.748.818.919.289.519.359.189.068.998.658.217.666.425.815.244.964.304.184.48
2.461.153.492.231.661.022.751.751.110.913.522.541.541.032.141.480.960.180.600.980.39-0.061.363.412.411.342.480.590.400.121.821.350.530.020.060.10-0.29-0.24-0.03-0.40-0.19-0.19-0.10-0.17-0.73-0.371.010.540.09-0.122.301.511.090.451.201.070.590.21-0.31-0.52-0.70-0.35
2.081.013.091.831.410.862.381.550.970.863.282.311.350.952.061.410.900.160.380.820.28-0.111.063.212.261.242.090.430.260.121.661.220.430.00-0.010.04-0.34-0.26-0.27-0.51-0.35-0.29-0.35-0.32-0.82-0.410.800.38-0.02-0.161.171.421.020.421.091.000.580.19-0.35-0.55-0.71-0.36