Plexus Financial Ratios for Analysis 2009-2024 | PLXS

Fifteen years of historical annual and quarterly financial ratios and margins for Plexus (PLXS).

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
1.511.471.401.711.771.782.061.782.202.302.252.292.292.222.042.35
0.060.140.150.150.160.180.170.020.170.230.250.270.290.330.150.20
0.190.360.420.250.340.330.200.310.290.310.340.370.420.510.200.28
9.569.379.119.609.229.228.9610.128.909.039.489.579.539.6210.289.57
4.234.654.685.234.524.494.125.143.894.354.234.344.524.534.953.28
4.234.654.685.234.524.494.125.143.894.354.234.344.524.534.953.28
6.206.316.327.046.206.145.806.935.756.186.266.566.656.626.945.41
3.273.824.154.763.993.983.744.823.424.003.923.813.964.134.492.81
2.823.303.634.123.473.430.454.432.993.553.673.692.694.004.452.87
1.261.271.121.371.481.581.491.281.451.571.481.541.631.711.561.58
2.732.442.163.134.034.103.293.474.134.244.094.994.564.423.674.53
6.366.365.176.487.036.487.286.926.136.907.347.307.147.866.478.37
57.3557.3570.6556.3151.9056.3250.1552.7759.5352.9049.7450.0251.1446.4656.4243.63
8.4411.4512.6213.5112.0212.551.4210.928.3411.2011.1611.769.5715.9713.748.78
8.4411.4512.6213.5112.0212.551.4210.928.3411.2011.1611.769.5715.9713.748.78
3.554.194.075.645.135.430.675.674.335.585.425.684.406.846.944.53
7.909.9010.7711.4310.0810.321.1810.656.948.578.368.596.8310.7611.717.01
48.8544.2139.5936.6633.7029.8428.9330.6627.4025.1423.2120.8118.4916.1816.1313.34
15.645.90-0.924.897.033.711.974.973.752.232.555.954.434.08-0.194.29
12.232.20-4.502.935.360.790.143.882.971.220.752.882.742.31-1.772.86

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
1.511.471.511.521.471.441.451.441.401.431.471.581.711.811.881.841.771.721.771.791.781.781.831.972.062.111.851.901.781.822.312.272.202.162.532.502.302.282.272.432.252.202.292.302.292.222.182.372.292.252.232.352.222.342.092.152.042.112.072.152.352.442.32
0.060.070.130.130.140.140.140.140.150.150.150.150.150.160.160.160.160.170.170.170.180.180.180.170.170.170.030.030.020.030.160.170.170.170.230.230.230.240.240.250.250.260.260.260.270.280.280.280.290.290.300.310.330.320.140.140.150.160.170.190.200.210.22
0.190.280.350.350.360.420.410.450.420.410.390.320.250.240.240.330.340.350.330.280.330.380.320.220.200.210.230.220.310.300.290.280.290.290.300.310.310.320.330.340.340.350.350.360.370.390.390.410.420.430.450.490.510.510.190.180.200.220.240.270.280.310.32
10.279.839.118.979.459.179.629.259.539.548.618.569.369.0910.339.559.779.678.019.299.608.888.959.469.519.347.589.389.939.8910.5610.139.429.368.618.128.868.829.189.249.409.449.489.659.609.709.339.649.469.439.539.759.359.679.769.7110.1410.3610.2810.359.629.149.21
5.134.083.054.605.212.765.325.245.545.054.033.735.024.475.755.645.525.352.244.684.634.304.204.834.794.472.484.665.074.765.395.343.624.633.773.494.274.284.524.334.754.543.414.084.714.404.164.054.604.484.494.494.094.454.654.925.225.044.764.703.763.201.40
5.134.083.054.605.212.765.325.245.545.054.033.735.024.475.755.645.525.352.244.684.634.304.204.834.794.472.484.665.074.765.395.343.624.633.773.494.274.284.524.334.754.543.414.084.714.404.164.054.604.484.494.494.094.454.654.925.225.044.764.703.763.201.40
---------------------------------------------------------------
4.323.151.963.554.531.704.464.525.074.413.523.284.684.045.275.014.974.861.844.024.133.723.644.464.454.072.114.294.634.425.364.893.344.303.162.814.003.994.113.924.364.383.103.714.304.013.573.333.994.183.903.713.534.064.334.564.724.644.344.193.292.710.85
3.922.621.682.973.931.553.813.864.493.823.022.873.953.394.744.364.134.181.683.644.553.103.142.909.433.651.76-14.544.334.134.854.442.923.912.712.343.573.553.623.473.973.963.323.314.314.063.223.130.123.873.483.373.403.944.204.424.794.544.224.153.832.431.29
0.330.300.300.300.310.300.320.320.330.310.300.300.340.350.390.370.400.370.370.400.400.400.390.390.400.380.370.350.340.330.330.360.370.380.370.370.400.400.390.430.410.390.370.360.390.400.380.380.420.430.420.410.410.430.470.440.430.440.420.390.380.390.39
0.720.600.580.570.590.570.590.600.630.570.590.630.790.851.020.981.080.950.921.051.040.960.900.870.880.870.920.920.920.850.891.011.051.051.001.031.071.041.061.121.151.091.091.101.271.171.041.001.181.131.051.051.071.041.030.981.011.031.021.041.101.101.05
1.691.491.501.501.551.451.621.491.521.601.561.391.621.741.731.711.891.651.661.851.661.741.771.791.951.921.752.021.831.951.891.851.571.781.901.711.741.911.901.752.061.891.851.781.861.711.661.831.841.951.942.001.891.862.031.781.791.952.031.842.031.841.94
53.3260.3160.0960.1058.1562.2855.5960.3859.0856.2757.8364.8855.4751.8751.9652.5347.5154.5154.2848.7554.2451.7050.7650.3746.0846.9851.5644.4949.1146.2747.7348.7157.4550.5947.3452.5751.7747.0347.2851.3043.7847.6048.6450.6248.4152.7354.0949.2748.9146.2046.3344.9147.5048.4844.2850.6750.4146.0944.4248.9144.2548.8346.44
3.111.991.292.313.321.333.453.674.603.542.582.243.242.714.123.593.863.791.453.414.262.882.832.467.903.001.34-10.552.832.583.053.042.082.921.931.702.832.852.922.913.393.232.512.453.503.412.692.500.113.693.243.073.283.853.783.684.083.933.543.252.851.811.02
3.111.991.292.313.321.333.453.674.603.542.582.243.242.714.123.593.863.791.453.414.262.912.852.487.903.001.34-10.552.832.583.053.042.082.921.931.702.832.852.922.913.393.232.512.453.503.412.692.500.113.693.243.073.283.853.783.684.083.933.543.252.851.811.02
1.310.790.500.881.210.461.211.241.491.170.900.861.351.191.871.591.651.570.621.471.841.231.241.133.761.400.64-5.141.471.371.621.601.081.481.000.871.411.411.421.481.641.551.241.201.691.611.231.190.051.671.451.381.401.681.981.942.062.001.761.621.470.940.51
2.911.851.122.002.871.152.983.153.933.022.191.902.742.293.473.033.243.161.202.833.502.372.332.036.592.491.30-10.262.762.512.552.531.732.421.481.302.172.172.212.192.542.401.871.802.562.471.941.800.082.622.282.112.212.603.253.173.483.302.932.642.281.420.79
48.8546.4145.8646.0644.2143.0742.7741.6639.5938.1937.3537.2936.6635.9635.3835.0133.7032.3430.5831.0929.8429.1928.9529.2128.9327.2727.6527.7930.6629.5228.5027.6427.4026.7826.1925.5725.1424.7924.0723.6223.2122.5021.7521.3720.8120.0919.5019.0718.4918.2517.5916.8016.1816.1116.6216.8016.1315.3714.6013.8613.3412.8812.55
15.647.793.04-0.115.902.712.03-1.72-0.92-0.92-0.16-3.104.894.523.030.237.033.111.522.493.710.23-1.10-1.031.971.230.082.064.973.533.042.303.753.592.700.622.231.611.19-2.622.551.660.570.115.953.401.810.244.433.282.300.854.081.691.19-0.51-0.19-0.650.12-0.264.292.752.09
12.235.311.19-1.132.20-0.140.27-2.54-4.50-3.93-2.42-4.262.933.342.24-0.315.361.750.522.040.79-2.20-2.84-1.800.14-0.30-0.761.573.882.832.632.102.972.892.200.281.220.840.70-2.900.750.06-0.31-0.522.880.970.28-0.492.742.091.390.222.310.580.59-0.83-1.77-1.79-0.64-0.562.861.691.33