Pure Storage Financial Ratios for Analysis 2014-2024 | PSTG

Fifteen years of historical annual and quarterly financial ratios and margins for Pure Storage (PSTG).

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
20242023202220212020201920182017201620152014
1.831.412.302.513.083.342.602.864.274.225.62
0.07-0.510.500.360.38-----
0.080.611.041.010.570.61-----
71.4068.9267.5268.2268.9766.3565.4865.8761.8755.5543.54
1.893.03-4.51-15.50-11.64-12.45-16.34-29.94-47.73-103.46-182.83
1.893.03-4.51-15.50-11.64-12.45-16.34-29.94-47.73-103.46-182.83
6.336.800.75-9.61-4.53-5.69-10.31-23.14-40.41-94.63-172.46
3.203.33-5.89-16.04-11.85-13.04-15.22-29.72-48.19-104.27-183.16
2.172.65-6.57-16.75-12.23-13.12-15.60-29.97-48.54-105.03-183.84
0.770.780.700.600.700.690.910.820.510.490.23
18.9717.0618.1911.4513.2410.2410.2610.748.133.593.06
4.274.504.023.653.583.594.224.373.492.962.88
85.3981.1990.7499.8810210286.5583.44105124127
4.837.76-18.99-37.61-24.21-24.18-27.83-46.30-37.9461.1167.67
7.0013.77-43.03-89.66-27.37-25.24-28.08-46.95-38.42-77.70-53.49
1.682.06-4.57-10.00-8.50-9.04-14.22-24.62-24.55-51.43-42.46
4.477.76-9.30-18.73-15.38-15.02-27.83-46.30-37.94-75.06-53.49
3.983.102.582.693.143.032.602.342.966.695.16
2.042.261.430.700.750.710.34-0.07-0.10-5.15-2.77
1.451.801.080.350.400.280.04-0.47-0.57-6.66-3.28

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-01-31
1.992.001.831.821.701.691.411.361.331.302.302.472.462.662.512.642.983.123.083.313.213.353.343.644.034.342.602.562.712.992.863.173.454.034.275.17-----
0.060.070.070.080.090.10----0.510.520.520.520.500.500.400.390.360.380.390.380.380.390.400.41---------------
0.070.070.080.090.100.110.610.680.750.791.041.071.111.071.011.020.660.640.570.600.630.610.610.630.680.68---------------
70.7171.4871.9872.4670.6670.1469.2868.9868.5868.7367.1566.6068.4468.3067.8067.3468.0569.9670.7770.1867.7066.2366.4866.8366.7564.9865.3065.4765.9765.2166.9064.8065.1766.4365.3461.1458.5059.99-58.32-
3.26-6.027.279.73-0.90-12.197.971.352.22-0.744.20-3.21-6.83-18.45-9.31-15.88-15.88-23.12-0.14-6.60-16.38-29.82-5.91-7.30-17.87-24.17-5.54-10.65-27.09-31.86-7.93-39.69-36.44-46.20-28.58-42.31-74.90-65.15--80.94-
3.26-6.027.279.73-0.90-12.197.971.352.22-0.744.20-3.21-6.83-18.45-9.31-15.88-15.88-23.12-0.14-6.60-16.38-29.82-5.91-7.30-17.87-24.17-5.54-10.65-27.09-31.86-7.93-39.69-36.44-46.20-28.58-42.31-74.90-65.15--80.94-
-----------------------------------------
5.80-3.998.9610.410.07-10.1910.030.932.31-1.732.79-4.63-8.32-19.60-9.80-17.07-15.48-24.05-0.33-6.59-16.54-30.38-5.93-8.08-19.18-24.57-4.05-10.24-25.63-30.77-7.72-39.79-36.42-45.28-29.08-42.44-75.34-66.10--81.78-
4.67-5.058.299.23-1.03-11.449.19-0.121.69-1.862.11-5.11-9.11-20.40-10.40-18.08-16.09-24.68-0.95-7.00-16.66-30.71-6.10-7.56-19.46-25.12-4.39-10.59-26.00-31.30-8.11-40.02-36.49-45.58-29.48-43.01-75.40-66.31--82.13-
0.200.190.220.230.220.200.230.210.210.220.230.200.180.150.180.150.170.160.210.200.190.160.210.210.190.160.300.290.250.210.270.230.190.160.170.16-----
5.144.865.194.554.253.404.963.513.894.705.984.273.322.653.463.113.552.813.733.213.572.403.172.442.462.333.422.582.271.613.373.452.512.142.522.00-----
1.831.641.191.201.311.511.321.551.611.791.311.591.391.261.091.091.101.051.071.181.121.051.111.221.271.311.401.371.331.381.411.211.381.441.191.17-----
49.0854.9675.4675.0768.6459.7668.0457.9955.9450.1868.8656.6464.9371.4282.5182.8981.7585.5983.9076.0780.0785.9180.7373.7970.6368.9064.3565.4967.4665.1163.6274.5065.3662.4975.6876.82-----
2.45-2.555.156.13-0.72-7.447.91-0.091.43-1.591.98-3.97-6.49-11.77-6.97-10.10-8.71-11.97-0.56-3.85-8.95-13.49-3.49-4.01-9.33-10.18-2.59-6.40-13.11-12.28-4.05-16.50-11.58-11.78-7.86-9.68-----
3.35-3.567.479.38-1.22-13.5014.04-0.183.19-3.724.49-9.62-16.74-29.61-16.62-25.33-9.91-13.65-0.63-4.41-10.36-15.43-3.64-4.20-9.39-10.26-2.62-6.48-13.29-12.45-4.11-16.74-11.75-11.93-7.96-9.80-----
0.94-0.971.792.10-0.23-2.282.10-0.020.36-0.410.48-1.01-1.63-3.12-1.85-2.80-2.80-4.02-0.20-1.37-3.12-4.85-1.31-1.56-3.65-4.08-1.33-3.05-6.56-6.55-2.15-9.23-6.91-7.40-5.09-6.91-----
2.30-2.384.785.64-0.66-6.707.91-0.091.43-1.590.97-1.91-3.08-5.70-3.47-5.00-5.25-7.30-0.36-2.40-5.50-8.36-2.17-2.46-5.56-6.06-2.59-6.40-13.11-12.28-4.05-16.50-11.58-11.78-7.86-9.68-----
4.444.233.983.633.162.963.102.782.552.452.582.502.452.532.692.702.792.873.142.992.882.943.032.912.742.752.602.132.112.242.342.392.622.792.963.07-----
1.300.692.041.310.890.572.261.771.210.741.430.950.510.080.700.440.320.130.750.470.220.030.710.360.120.080.340.06-0.07-0.07-0.07-0.27-0.020.04-0.10-0.67-1.32-0.430.00-3.880.00
0.990.541.450.850.540.401.801.451.030.631.080.660.31-0.020.350.170.140.040.400.180.01-0.070.280.05-0.07-0.020.04-0.14-0.21-0.13-0.47-0.59-0.26-0.09-0.57-1.06-1.97-0.64--4.97-