Patterson Financial Ratios for Analysis 2009-2024 | PDCO

Fifteen years of historical annual and quarterly financial ratios and margins for Patterson (PDCO).

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
2024202320222021202020192018201720162015201420132012201120102009
1.331.641.651.481.441.831.952.002.112.722.613.042.653.353.252.80
0.250.290.320.340.410.330.390.420.410.320.330.340.350.250.270.31
0.640.480.500.660.700.510.690.770.730.480.490.520.620.340.360.46
21.0121.2219.8320.3521.8121.3621.9423.2724.5627.1228.4132.7432.8833.5033.6533.72
3.854.262.423.56-10.422.474.025.156.467.798.199.7510.1311.0110.9711.19
3.854.262.423.56-10.422.474.025.156.467.798.199.7510.1311.0110.9711.19
5.195.563.684.903.543.965.567.308.088.939.3811.0111.3212.2212.1912.17
3.704.174.103.38-10.751.913.284.495.607.017.298.839.3310.4210.4710.33
2.833.213.132.64-10.721.503.683.063.475.715.605.786.026.606.566.45
2.272.252.372.152.021.711.571.591.531.331.251.361.291.331.341.45
6.636.416.636.395.295.765.476.035.636.985.886.797.426.767.447.60
12.0013.5614.5313.1613.189.586.616.326.766.675.908.127.617.347.156.50
30.4126.9325.1127.7327.6938.1155.2257.7453.9854.7261.8644.9747.9949.7151.0556.17
18.5218.4719.3516.08-70.465.6013.7512.4612.8811.8911.6415.0815.4814.4414.7216.83
28.4528.2931.0628.46-153.4026.4778.3911216016.5342.4056.2160.3941.9248.7091.46
6.407.187.365.64-21.712.545.794.955.276.115.987.847.778.798.769.36
13.9413.1613.1710.68-41.383.768.437.267.548.057.809.9210.1310.8110.7911.67
11.1711.6110.789.968.7215.5415.4314.4514.5514.6614.1613.2112.5112.8911.689.72
-8.43-7.72-9.96-7.56-2.590.521.921.701.602.641.932.882.902.212.231.05
-9.15-8.37-10.35-7.82-3.03-0.131.461.210.792.031.592.672.631.901.980.77

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.301.331.431.561.631.641.571.601.631.651.581.511.511.481.441.541.491.441.411.591.811.831.801.761.791.951.801.942.012.001.891.942.022.111.872.092.602.722.642.722.482.612.272.352.743.042.822.952.722.653.712.923.373.353.602.943.443.253.253.232.752.802.49
0.260.250.320.300.290.290.290.320.320.320.320.330.330.340.340.400.410.410.290.310.320.330.330.340.340.390.390.420.420.420.420.420.420.410.430.430.530.320.330.330.330.330.330.330.340.340.350.350.350.350.390.270.260.250.250.260.260.270.280.280.290.310.32
0.810.640.810.620.510.480.600.640.620.500.600.620.640.660.750.780.850.700.460.450.490.510.530.560.590.690.810.800.850.770.880.850.810.730.910.831.140.480.500.500.490.490.590.600.620.520.570.570.620.620.630.390.340.340.340.350.350.360.380.400.430.460.52
20.2821.5521.7220.5120.2422.6521.4220.1820.4921.2521.0819.7917.2019.4920.9220.6320.3722.8621.4121.2521.8321.7521.4421.0121.2320.6921.4322.7922.9323.2223.6022.4923.8025.0224.2623.8225.2227.8427.3826.5126.6921.8628.7728.9831.9933.6032.7932.3632.1333.5132.3532.7932.8434.3934.0632.5632.9735.4533.6632.7132.7634.5133.18
1.905.104.333.442.426.114.743.702.294.443.813.81-2.452.393.984.753.04-47.763.01-1.281.263.253.252.930.342.953.645.184.366.653.335.634.917.326.836.015.448.618.077.377.036.518.937.539.2410.839.788.989.2910.9810.059.729.6811.7811.2410.5110.4812.3311.4310.379.7311.8611.29
1.905.104.333.442.426.114.743.702.294.443.813.81-2.452.393.984.753.04-47.763.01-1.281.263.253.252.930.342.953.645.184.366.653.335.634.917.326.836.015.448.618.077.377.036.518.937.539.2410.839.788.989.2910.9810.059.729.6811.7811.2410.5110.4812.3311.4310.379.7311.8611.29
---------------------------------------------------------------
1.165.063.833.232.585.764.334.352.045.034.713.892.762.293.904.542.67-49.202.03-1.903.002.532.692.68-0.412.162.934.433.615.942.595.034.326.736.134.844.447.927.246.586.245.378.126.788.209.978.938.008.2910.049.158.999.0711.1410.469.9510.0911.8610.919.919.1711.0410.46
0.893.892.952.421.984.363.373.331.613.903.572.932.111.843.143.481.96-47.311.60-2.342.261.952.242.06-0.331.497.922.902.374.271.763.232.924.514.032.552.606.235.705.505.368.935.274.215.216.595.865.255.356.645.935.715.747.106.726.226.357.606.836.055.716.926.51
0.540.590.550.570.550.600.540.560.550.600.560.570.590.570.540.560.470.470.410.410.400.440.420.420.410.400.370.390.370.410.390.400.380.410.390.400.270.350.330.340.320.220.360.340.320.360.350.330.330.340.340.360.340.340.330.340.350.340.350.360.350.370.39
1.451.731.401.531.381.671.341.481.381.641.451.591.741.711.461.621.421.221.321.421.281.481.301.401.251.421.231.341.291.561.291.381.271.511.301.411.191.831.351.441.331.121.711.601.541.781.751.771.901.951.811.661.641.731.681.891.691.821.801.861.771.891.90
3.493.153.343.373.863.613.793.584.113.663.423.424.323.483.403.163.353.093.232.442.642.472.552.462.571.691.591.631.551.631.721.721.851.822.001.891.831.771.621.661.661.031.941.812.202.152.172.132.152.012.092.062.001.901.961.561.871.801.741.621.631.641.86
25.8228.5926.9826.7123.3424.9623.7725.1621.8824.5626.3326.3020.8225.8926.4628.4926.9029.1427.8936.8734.0536.4635.2636.6035.0653.1356.5155.1558.0655.1152.1852.2148.5849.3244.9047.5849.1750.9855.4254.0854.1087.7046.3549.6340.9641.8041.4242.3341.8744.6843.1043.7844.9547.3745.9257.6948.1850.1351.7255.5755.1854.9548.45
1.436.684.903.782.806.694.885.152.366.085.424.743.452.965.206.032.83-72.781.56-2.291.981.872.111.97-0.311.437.452.942.234.402.003.252.744.554.203.121.343.533.192.862.611.793.922.923.294.563.973.363.484.523.933.493.174.023.573.553.634.294.073.743.584.554.71
2.2310.267.775.804.2510.257.648.023.779.768.838.016.095.239.5911.785.90-158.456.93-10.778.598.8410.4110.49-1.788.1644.1827.5520.0639.4720.0440.2635.7456.6422949613.994.9111.2110.109.496.5314.8511.5812.0116.9916.3413.6713.7217.6315.9812.719.4411.6610.4911.0911.6914.1814.6715.3217.4124.7233.41
0.472.311.621.381.082.601.831.860.882.311.981.651.231.041.701.930.91-22.420.65-0.970.890.850.940.86-0.140.602.971.140.881.750.771.271.111.861.611.230.481.821.621.471.320.921.921.431.662.372.031.741.762.271.992.041.932.442.212.092.202.552.412.192.002.532.52
1.075.033.352.651.994.773.463.511.604.143.693.202.301.963.413.631.68-42.751.12-1.571.341.261.411.31-0.210.884.551.711.292.561.161.891.602.662.391.770.632.392.131.911.751.202.611.942.163.002.582.192.272.962.412.542.363.012.672.632.683.142.942.682.523.153.21
10.8111.1710.7911.2111.6011.6111.2810.7410.6010.7810.7010.3810.089.969.679.258.888.7215.3715.2415.7515.5415.4815.3315.2615.4315.4614.4214.4714.4514.2714.3614.3114.5513.7513.7114.6614.6614.0914.1914.0814.1614.0113.6613.2613.2112.7212.4912.3812.5112.1712.6712.9512.8912.6312.2311.9811.6811.2310.7710.309.729.19
-3.21-8.43-7.78-5.10-2.63-7.72-7.43-5.33-3.09-9.96-8.46-5.48-3.19-7.56-6.24-4.39-2.40-2.59-1.78-0.16-0.480.520.822.152.221.920.430.83-0.491.70-0.13-0.58-0.761.60-0.90-0.530.052.641.590.990.691.931.470.910.212.881.741.280.562.902.131.050.572.211.61-0.120.192.231.280.470.391.050.61
-3.37-9.15-8.33-5.45-2.81-8.37-7.87-5.61-3.24-10.35-8.73-5.64-3.27-7.82-6.46-4.54-2.46-3.03-2.12-0.40-0.57-0.130.451.912.111.460.130.65-0.561.21-0.53-0.88-0.910.79-1.49-0.95-0.122.031.150.700.531.591.240.810.152.671.601.190.532.631.900.850.491.901.37-0.290.111.981.140.360.330.770.42