Palo Alto Networks Financial Ratios for Analysis 2010-2024 | PANW

Fifteen years of historical annual and quarterly financial ratios and margins for Palo Alto Networks (PANW).

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
202420232022202120202019201820172016201520142013201220112010
0.890.780.770.911.911.781.971.652.091.042.752.573.131.15-
---0.720.740.470.540.410.36-0.50----
0.191.1417.515.082.800.901.650.690.561.001.00----
74.3572.2968.7670.0570.6872.1271.6372.8673.1672.9073.3272.2972.3572.7967.95
8.525.62-3.43-7.15-5.25-1.87-4.58-9.45-11.41-10.75-35.99-4.701.53-8.77-42.35
8.525.62-3.43-7.15-5.25-1.87-4.58-9.45-11.41-10.75-35.99-4.701.53-8.77-42.35
17.5915.779.6510.6911.6412.977.531.63-6.39-4.89-32.20-1.713.93-6.93-40.04
12.318.22-3.77-10.93-6.80-2.57-4.63-10.26-12.50-13.13-37.14-4.711.10-10.16-43.21
32.116.38-4.85-11.72-7.83-2.82-5.37-11.57-13.98-14.15-37.86-7.38--10.56-43.32
0.400.480.450.420.380.440.380.510.480.470.400.680.631.30-
---------------
2.402.422.443.433.294.984.874.063.954.374.414.535.594.00-
15215115010611173.3174.9789.8692.3383.5382.6980.5965.3091.34-
49.8625.15-127.14-78.63-24.23-5.16-10.53-26.72-21.53-26.91-48.34-10.740.3217.53-
178-29.449.1419.3824.97176-24.60-43.46-28.03-48.33-85.28-10.790.3217.53-
12.893.03-2.18-4.87-2.95-1.24-2.05-5.90-6.74-6.68-15.32-4.990.18-13.74-
49.8625.15-127.14-21.67-6.38-2.72-4.83-15.81-13.81-26.91-24.21-10.740.3217.53-
15.905.670.702.173.815.464.132.773.301.921.961.271.13-1.21-
9.208.116.715.203.563.723.773.202.521.440.400.561.320.75-0.08
8.767.696.064.802.833.263.372.602.241.300.230.451.070.45-0.12

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312010-07-31
0.890.840.830.860.780.740.640.700.770.740.660.680.911.380.981.631.911.291.781.781.781.861.872.101.971.141.191.171.651.801.891.332.091.171.100.961.041.102.082.592.751.192.112.422.572.602.522.773.13-----
------------0.720.760.610.810.740.660.480.490.470.490.570.520.54---0.410.390.37-0.36-----0.480.490.50-------------
0.190.260.420.901.142.995.057.2417.5110.8931.197.085.083.203.044.182.801.980.910.950.901.081.451.301.650.750.850.800.690.640.590.590.560.760.840.911.001.060.920.961.00-------------
73.8074.1274.7374.8374.0572.4171.8370.4668.2568.2369.2269.4970.5769.2269.7570.6369.4470.2971.4671.8073.0271.8071.5172.0371.9871.8370.7871.8472.4871.3573.2174.5874.6372.5671.8673.3573.8372.5072.7172.2372.7573.6573.4173.6373.0872.6671.3871.8571.5071.6472.6374.02--
10.898.902.7111.4612.984.572.410.970.99-3.43-5.61-6.63-4.95-10.28-8.73-4.70-1.87-6.50-6.48-6.71-1.23-2.570.93-4.892.60-7.98-4.12-10.66-2.65-11.37-12.87-12.31-5.66-15.18-14.97-10.77-0.28-15.67-17.68-12.38-14.25-96.70-26.34-5.47-6.12-6.37-2.24-3.64-5.63-0.062.2512.08--
10.898.902.7111.4612.984.572.410.970.99-3.43-5.61-6.63-4.95-10.28-8.73-4.70-1.87-6.50-6.48-6.71-1.23-2.570.93-4.892.60-7.98-4.12-10.66-2.65-11.37-12.87-12.31-5.66-15.18-14.97-10.77-0.28-15.67-17.68-12.38-14.25-96.70-26.34-5.47-6.12-6.37-2.24-3.64-5.63-0.062.2512.08--
------------------------------------------------------
14.5712.666.8615.0516.207.615.102.201.12-3.79-6.14-7.31-8.39-14.01-12.78-8.70-5.09-7.80-7.48-7.06-1.70-2.900.28-6.372.57-7.61-4.40-10.96-3.30-12.32-13.68-13.19-6.49-16.57-15.95-11.98-2.43-18.10-20.07-15.03-18.47-96.43-26.47-5.16-6.12-6.39-2.18-3.73-5.70-0.061.2611.27--
16.3414.0588.4510.3411.666.265.091.280.21-5.28-7.10-8.31-9.78-13.51-13.99-9.75-6.20-8.60-9.02-7.72-2.58-2.78-0.37-5.841.06-7.12-4.69-12.59-4.89-14.10-14.34-14.29-7.83-18.54-17.12-13.43-4.33-19.60-19.75-15.65-18.01-97.27-28.32-6.13-14.09-7.19-2.71-4.09-6.081.21----
0.110.110.110.130.130.120.130.120.130.120.130.120.120.110.110.110.100.130.110.110.120.120.120.110.110.150.150.140.150.130.130.130.140.140.140.140.140.130.130.120.120.170.200.200.190.190.200.190.19-----
------------------------------------------------------
0.650.870.841.010.681.191.301.260.691.121.381.540.981.401.521.400.921.301.511.551.381.781.711.721.411.571.491.431.161.191.091.151.151.291.321.511.341.561.611.651.321.311.641.401.291.111.411.521.66-----
13710410789.0813175.5069.5071.2713180.5265.0858.5991.5664.2659.2364.2798.2169.2359.5458.2065.0550.4752.5252.4563.8357.3660.2362.9277.3875.8982.2378.3378.3069.6568.4159.4867.3357.8455.9154.4068.4268.5554.9264.2070.0481.2963.9759.0454.31-----
6.926.2440.098.9513.028.7511.553.941.57-21.68-79.37-19.97-18.80-14.55-13.72-12.34-5.35-10.04-4.58-3.93-1.31-1.39-0.24-3.060.60-5.59-4.04-9.50-3.24-7.49-6.96-6.64-3.51-9.73-9.67-7.34-2.52-10.10-8.33-6.10-6.85-53.95-14.04-2.71-5.81-2.76-1.07-1.49-2.01-----
24.7640.57321-18.55-15.24-5.30-3.31-0.77-0.112.613.063.864.636.466.825.735.515.1638.1535.4644.64-10.52-0.99-8.901.41-77.39-7.40-16.82-5.27-11.76-9.08-8.73-4.57-14.27-15.06-12.12-4.53-18.00-13.66-10.35-12.09-218.81-14.04-2.71-5.84-2.76-1.07-1.49-2.01-----
1.791.559.551.311.570.760.640.160.03-0.66-0.90-0.99-1.16-1.52-1.50-1.06-0.65-1.15-1.03-0.87-0.32-0.32-0.05-0.660.12-1.03-0.71-1.81-0.72-1.87-1.91-1.89-1.10-2.56-2.47-1.91-0.63-2.57-2.57-1.95-2.17-16.65-5.80-1.23-2.70-1.35-0.53-0.79-1.13-----
6.926.2440.098.9513.028.7511.553.941.57-21.68-79.37-19.97-5.18-3.46-5.34-2.38-1.41-3.37-2.40-2.01-0.69-0.70-0.11-1.450.28-5.59-4.04-9.50-1.92-4.57-4.38-6.64-2.25-9.73-9.67-7.34-2.52-10.10-4.33-3.12-3.43-53.95-14.04-2.71-5.81-2.76-1.07-1.49-2.01-----
15.9013.8213.506.925.674.032.411.680.701.130.401.752.173.413.562.623.812.575.385.185.465.053.814.414.132.592.302.412.772.953.153.113.302.452.242.111.921.812.092.041.961.181.281.331.271.241.181.151.13-----
9.207.746.204.368.116.865.823.656.714.923.642.015.204.053.131.873.562.421.800.783.722.911.870.903.772.761.901.003.202.301.540.762.521.791.160.571.440.970.630.310.400.510.370.180.560.350.280.121.000.780.920.410.000.00
8.767.436.004.267.696.545.593.546.064.413.251.894.803.742.911.762.831.791.480.613.262.631.670.773.372.441.690.892.601.891.290.682.241.581.020.501.300.880.580.290.230.370.250.110.450.270.230.100.810.630.790.36--