O'Reilly Automotive Financial Ratios for Analysis 2009-2024 | ORLY

Fifteen years of historical annual and quarterly financial ratios and margins for O'Reilly Automotive (ORLY).

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
0.730.710.770.860.860.910.930.960.991.091.171.201.651.871.83
1.451.321.020.970.910.910.820.540.410.410.420.340.220.100.20
-3.20-4.12-57.6229.409.799.664.561.160.710.690.710.520.280.110.29
51.2651.2352.6752.4453.1552.8552.5852.4752.2551.4050.6750.1049.0148.5648.00
20.1520.5021.8920.8518.9219.0319.2219.7719.0017.6016.6015.8114.9713.2111.09
20.1520.5021.8920.8518.9219.0319.2219.7719.0017.6016.6015.8114.9713.2111.09
22.7723.0224.3823.6021.6321.7921.8622.3421.6720.3319.3818.7017.8716.3414.31
19.0019.4220.8719.5317.6417.7618.2419.0518.3316.9415.9315.2314.0912.7710.25
14.8415.0816.2415.1013.7013.8912.6312.0811.6910.7810.089.478.777.776.34
1.141.141.141.000.951.191.191.191.191.101.101.081.051.071.01
1.651.611.711.511.381.411.411.471.451.371.381.361.491.371.32
30.6730.6534.5635.1334.4835.3030.6930.7634.0933.8433.5634.1228.4129.3928.35
11.9011.9110.5610.3910.5910.3411.8911.8710.7110.7810.8810.7012.8512.4212.88
-134.92-204.82-3,258.941,24935037517463.7747.4838.5534.0927.7817.8513.0711.45
-88.99-111.69-228.88-236.55-257.85-292.00-833.6112377.3361.6655.3943.3924.1617.0115.84
16.9117.2118.4715.1112.9816.6014.9714.4013.9511.9111.0510.199.238.316.43
61.2565.6257.5641.1032.4435.1231.2229.5327.7922.8419.9318.2813.9411.769.12
-29.44-17.01-0.991.975.254.477.7517.5220.0719.8718.5618.6622.3722.7619.54
49.7448.4646.0738.0921.9621.0015.6815.6213.2511.238.1710.158.174.962.07
33.5340.0239.8532.0513.9814.9310.5310.759.207.204.637.745.792.40-0.91

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
0.700.700.710.730.690.690.710.710.700.750.730.770.760.820.790.860.980.950.910.860.810.850.840.910.910.920.920.930.930.920.910.961.061.021.120.991.021.031.111.091.081.161.221.171.221.241.171.201.311.371.571.651.681.751.871.871.671.721.781.831.791.811.78
1.371.421.361.451.531.501.491.321.381.311.091.021.040.951.000.970.850.880.980.910.960.960.900.910.860.890.880.820.830.750.580.540.500.530.490.410.410.410.390.410.410.400.390.420.410.410.350.340.330.230.220.220.220.140.140.100.100.140.180.200.210.240.25
-3.72-3.41-3.80-3.20-2.90-2.99-3.03-4.12-3.63-4.22-11.66-57.62-27.1617.57-591.1129.406.527.0141.089.7922.2826.159.299.666.378.457.534.564.723.001.391.160.991.120.970.710.700.710.650.690.710.660.650.710.690.700.530.520.490.310.280.280.280.160.160.110.140.200.250.290.270.320.33
51.5850.7551.1651.3451.4051.2850.9850.8750.9451.3451.8252.7052.2552.7053.0852.0452.3952.9652.3353.3553.3552.8353.0753.3253.0052.4752.6252.9152.5852.3952.4653.0852.6851.7852.3652.7352.3652.0251.8951.7051.5951.4850.8050.5450.8850.8450.3950.4250.2949.9049.8049.9349.1248.5848.4448.5848.6348.7048.3148.5248.5248.2546.63
20.5520.2118.9218.7621.3520.9819.3318.7221.1721.7520.3120.5321.6922.9622.3618.8922.6023.8217.1017.7820.1119.2318.4518.4919.5419.5118.5218.3919.7419.9718.7019.4220.1619.5319.9718.6019.9618.9518.4217.1818.3218.2216.6215.7817.3817.2815.8414.9816.4415.5916.1814.8715.7015.0314.2112.5313.9613.1213.1610.6911.8611.969.74
20.5520.2118.9218.7621.3520.9819.3318.7221.1721.7520.3120.5321.6922.9622.3618.8922.6023.8217.1017.7820.1119.2318.4518.4919.5419.5118.5218.3919.7419.9718.7019.4220.1619.5319.9718.6019.9618.9518.4217.1818.3218.2216.6215.7817.3817.2815.8414.9816.4415.5916.1814.8715.7015.0314.2112.5313.9613.1213.1610.6911.8611.969.74
---------------------------------------------------------------
19.4319.0017.6117.5220.1419.8918.2717.7320.0620.6319.2119.5720.7121.9721.2217.6721.4022.6615.3316.4818.8217.9517.1816.9818.3518.3217.3217.2018.7819.0517.8718.6219.4518.7819.3517.9419.2718.2917.7516.4417.7117.5815.9115.0416.6816.6815.1814.2915.8615.0415.6814.2015.3114.6712.0212.9213.3412.4112.389.8811.0711.148.78
15.2514.5813.7614.4215.4615.4213.9414.5015.4115.7114.6215.7716.0616.8916.2313.8916.4417.2012.1313.0914.6713.6613.3212.9714.7514.3813.3613.8012.1312.3512.2911.7212.5411.8412.1811.2112.8011.4711.1910.3011.5611.1310.069.4010.7910.339.748.929.959.359.648.849.679.047.418.078.177.217.616.136.936.835.40
0.300.300.280.280.310.310.290.290.310.300.280.280.300.290.260.240.260.260.220.230.260.250.240.290.310.320.300.290.310.310.300.290.300.300.280.290.310.310.280.270.290.280.270.270.280.280.270.260.270.270.270.250.280.280.260.260.280.280.260.250.270.270.27
0.430.440.400.400.440.430.400.410.450.450.410.420.460.450.400.370.430.410.330.340.370.370.350.340.370.380.350.340.370.370.360.350.380.380.370.350.380.380.360.330.360.360.350.340.360.360.340.320.360.370.380.350.390.370.360.330.370.370.350.320.350.370.38
7.856.896.897.437.557.937.817.758.028.098.158.538.848.978.128.569.629.368.138.438.887.627.608.577.627.677.547.497.828.638.087.517.728.218.498.348.648.138.218.278.548.508.168.188.066.647.748.227.197.327.176.837.627.257.027.137.247.036.846.867.046.837.16
11.4713.0613.0612.1111.9111.3611.5211.6111.2211.1311.0410.5510.1810.0311.0810.519.369.6111.0710.6710.1311.8111.8410.5011.8211.7311.9312.0211.5110.4311.1411.9811.6510.9610.6010.7910.4211.0710.9610.8810.5410.5811.0311.0011.1613.5511.6310.9612.5212.3012.5513.1811.8112.4112.8112.6112.4312.8113.1613.1112.7813.1812.56
-46.24-39.34-39.34-31.77-36.91-38.55-31.81-49.83-48.57-52.08-146.79-781.32-396.62269-7,189.3928074.3490.2527681.7723524486.2584.9373.4791.7171.9446.2946.2032.5318.6215.1214.6515.2513.1611.1413.3011.859.939.0010.989.718.047.759.168.837.456.307.055.595.144.325.244.243.213.303.793.403.482.683.363.452.66
-27.31-24.11-22.79-20.95-24.47-24.85-20.53-27.17-28.06-29.00-39.82-54.87-54.78-88.24-56.59-53.05-320.53-187.28-37.49-60.23-60.95-53.29-73.60-66.22-125.91-87.37-83.47-222.27-163.9834341.5929.2324.3527.6321.5918.1521.3919.2515.3514.4017.7915.1112.3612.5914.6014.2011.759.8410.527.826.935.857.115.554.194.295.004.554.743.704.704.943.82
4.574.333.853.984.804.733.984.194.784.784.104.434.744.904.233.394.224.532.703.033.773.473.193.764.644.553.983.993.793.853.683.423.703.583.443.273.933.503.142.783.353.162.702.513.022.892.672.312.722.562.562.242.752.491.952.102.322.032.011.501.861.871.44
16.9716.3314.0414.4219.4519.3315.6515.9618.5016.1913.7713.8015.1614.4813.149.2210.9111.276.567.5810.119.008.387.979.979.708.438.328.078.147.797.007.357.216.686.527.836.946.015.336.435.854.884.535.435.214.874.144.754.294.023.384.093.662.782.973.432.922.872.132.652.622.00
-24.88-27.19-23.59-29.44-29.53-26.94-26.62-17.01-19.20-17.37-4.98-0.99-2.083.15-0.101.979.687.951.475.252.191.894.764.476.204.755.157.757.209.8815.5817.5220.0717.8120.0520.0720.2819.7821.1519.8719.3020.2320.3518.5618.9118.4218.6618.6619.4621.4122.7922.3722.0423.1922.9822.7622.0721.1320.3119.5418.9618.2017.47
41.5728.0011.8449.7441.5526.9111.4448.4636.8521.1910.2746.0737.0524.3812.5438.0931.5020.836.0721.9619.3510.805.5621.0016.4810.605.1115.6812.357.784.0315.6212.638.525.1113.2510.556.843.9311.239.346.093.208.176.533.922.0010.158.575.443.218.176.224.022.064.964.182.521.222.072.081.110.64
29.1820.097.7233.5329.2819.517.9040.0230.9317.838.7739.8532.2321.2711.2432.0526.7817.634.3313.9813.177.073.6514.9312.227.923.7610.538.425.302.8510.758.956.274.069.207.635.033.067.206.354.292.434.633.822.351.357.746.794.262.635.794.432.941.402.402.241.240.58-0.91-0.18-0.56-0.47