QuidelOrtho Financial Ratios for Analysis 2009-2024 | QDEL

Fifteen years of historical annual and quarterly financial ratios and margins for QuidelOrtho (QDEL).

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
1.571.564.453.391.771.212.586.717.817.543.273.323.173.554.28
0.310.330.00--0.110.620.420.400.370.020.050.210.410.05
0.480.530.00-0.020.251.750.720.680.580.020.050.260.710.05
49.8559.2875.2681.6259.9860.4556.2258.3160.2259.7262.2360.6560.3654.5766.39
4.6425.8353.3463.8117.3318.373.44-2.321.40-5.002.736.228.66-13.4931.99
4.6425.8353.3463.8117.3318.373.44-2.321.40-5.002.736.228.66-13.4931.99
19.8934.5256.4466.7428.1129.9017.6212.6616.2110.7416.9621.2519.89-2.6135.86
-0.9722.5353.0062.6014.4312.14-2.89-8.45-4.74-5.961.944.897.24-15.3731.74
-0.3416.8041.4648.7613.6314.20-2.94-7.21-3.10-3.844.163.194.77-9.9420.02
0.350.370.700.890.590.650.300.490.480.410.650.640.570.530.99
2.602.542.112.683.693.071.813.072.963.002.423.954.392.913.67
9.887.204.493.345.668.904.147.6710.665.345.934.7810.835.1916.91
36.9350.7381.2310964.4841.0188.1147.6134.2468.3161.6076.3333.7170.2721.59
-0.2011.1236.5060.8013.0317.43-3.60-6.88-2.78-2.893.302.504.12-10.0226.00
2.40-82.3947.1492.7997.63-85.792.60-15.49-5.73-5.789.157.3018.8385.6527.86
-0.126.2028.9743.308.019.20-0.87-3.56-1.50-1.582.722.062.74-5.2519.77
-0.147.4536.4960.8013.0315.49-1.35-4.00-1.66-1.833.232.373.27-5.8624.73
75.0574.3246.2731.5113.3710.816.586.106.567.126.575.975.573.954.36
4.1915.4218.7914.443.123.200.820.361.081.040.730.581.43-0.362.40
1.0612.9711.9612.952.492.460.300.000.580.710.140.221.28-0.582.18

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.441.551.571.591.661.651.561.661.734.294.453.874.393.503.392.701.622.101.771.461.411.331.211.261.101.362.586.287.198.416.718.238.607.467.816.917.617.907.542.883.673.423.273.333.904.013.324.484.984.443.172.746.425.533.553.243.814.114.284.687.898.08
0.410.400.310.310.320.320.330.340.34-0.00---------0.030.070.110.180.180.290.620.410.420.400.420.430.430.420.400.400.390.360.370.020.020.020.020.020.020.020.050.120.120.120.210.210.210.210.410.420.420.410.050.040.050.05
0.810.730.480.500.500.520.530.560.56-0.00----0.010.070.020.020.040.060.190.250.350.360.691.750.700.710.680.720.750.760.730.680.670.630.570.580.020.020.020.020.030.030.030.050.130.140.140.260.270.270.270.710.720.720.690.050.050.070.06
43.3346.7151.3349.4844.5853.0251.8251.9955.0274.0377.4073.6461.1680.4587.6180.5873.7365.8462.3259.9754.6761.4561.9559.3255.9062.8351.4658.3449.2065.8151.5764.0755.7561.7553.3363.7755.9965.7867.1959.2949.5056.6264.5654.3953.9868.4767.3754.9354.6160.9960.1854.7154.4166.3756.4454.6351.1055.4871.4068.5359.1250.12
-18.45-247.265.403.53-4.0411.779.987.2512.9961.9359.1555.2813.1959.7376.2564.6941.4729.5623.0416.355.3721.0520.7714.390.3930.213.38-4.98-28.8226.0911.204.31-23.05-6.885.082.59-27.9114.0819.93-24.57-31.71-4.320.77-17.28-23.4127.7327.74-3.70-14.641.245.57-3.76-18.5530.12-1.88-11.87-30.09-13.4447.7243.204.48-27.15
-18.45-247.265.403.53-4.0411.779.987.2512.9961.9359.1555.2813.1959.7376.2564.6941.4729.5623.0416.355.3721.0520.7714.390.3930.213.38-4.98-28.8226.0911.204.31-23.05-6.885.082.59-27.9114.0819.93-24.57-31.71-4.320.77-17.28-23.4127.7327.74-3.70-14.641.245.57-3.76-18.5530.12-1.88-11.87-30.09-13.4447.7243.204.48-27.15
--------------------------------------------------------------
-25.57-253.01-1.24-2.08-9.687.094.743.996.9961.9258.9355.2212.2959.1076.0662.1339.7527.9521.3613.860.5217.9617.149.21-8.5622.87-4.63-10.46-36.0822.265.25-1.79-30.52-12.22-0.62-4.01-36.609.3918.66-25.11-32.89-5.09-0.17-18.35-24.6127.4125.70-4.63-15.560.213.57-5.10-20.1629.10-3.99-14.10-32.49-14.2547.3643.024.23-27.18
-23.19-239.940.94-1.71-8.005.773.502.453.1547.8845.7442.3110.8247.4558.1048.7933.5323.0420.1312.791.1716.7924.509.22-2.9820.08-4.43-10.86-30.9519.39-3.69-1.16-20.03-6.85-0.72-1.63-25.376.4710.98-14.00-21.94-3.242.15-13.00-5.9119.9516.16-2.05-10.120.132.32-3.36-13.3019.21-1.34-20.77-9.86-8.8730.1926.612.58-16.58
0.100.110.090.090.080.100.100.090.070.320.260.240.100.180.430.380.210.180.170.150.130.160.160.150.140.200.120.120.100.180.140.130.110.130.130.110.080.140.140.150.120.170.190.130.110.240.220.140.130.160.140.120.110.230.150.130.110.120.400.370.210.13
0.600.650.630.680.680.750.800.700.501.440.720.680.310.420.880.970.571.020.990.820.760.860.750.750.761.080.830.910.851.120.980.760.750.780.930.690.650.920.860.710.680.810.670.560.550.941.140.880.820.911.071.010.821.350.780.660.610.621.271.370.850.67
2.362.622.452.252.703.081.911.881.621.761.681.523.825.351.631.351.821.711.611.632.422.142.261.762.311.831.711.221.933.522.111.882.411.902.851.512.243.301.881.681.832.801.741.712.194.391.661.912.392.602.621.902.422.431.451.541.881.686.852.212.802.77
38.0834.3936.7640.0633.3829.2347.1447.8455.6451.1753.4259.2423.5516.8355.3566.7649.5352.6455.8955.2537.1242.1139.8351.2439.0049.0952.5273.5246.6525.5842.5947.7737.3347.3031.5959.6440.1227.2447.8753.4449.2632.1651.7152.7041.1920.4854.3647.1037.6734.5834.3347.2537.1937.0761.9358.4147.9353.7113.1340.7632.1732.46
-4.65-51.580.14-0.26-1.060.980.610.400.3919.8715.1013.201.3511.9535.2827.3511.066.655.473.030.255.397.632.79-0.8310.27-2.24-2.52-5.576.49-0.97-0.29-4.06-1.74-0.17-0.35-3.881.592.90-2.65-3.14-0.670.51-2.00-0.805.664.37-0.36-1.700.030.52-0.61-2.026.24-0.38-5.27-2.13-2.0815.9012.650.63-2.62
37.39543-1.672.8110.55-8.51-4.55-2.44-2.2324.1619.5018.111.9817.1853.8460.4948.2431.7041.0037.9110.76-55.90-37.56-8.291.96-16.781.62-5.52-12.9912.87-2.19-0.68-9.94-4.18-0.36-0.73-7.913.035.81-6.43-8.10-1.751.41-6.25-2.5613.5612.77-1.31-6.800.122.36-3.17-6.0618.933.2442.1025.3340.7417.0313.660.70-2.87
-2.21-25.450.08-0.15-0.620.560.340.220.2215.5211.9910.241.068.4925.1318.596.954.163.361.870.152.744.031.36-0.403.92-0.54-1.34-2.973.53-0.50-0.15-2.12-0.91-0.09-0.18-2.080.881.59-2.15-2.67-0.560.42-1.64-0.664.813.61-0.29-1.340.020.34-0.41-1.444.35-0.20-2.75-1.12-1.0812.099.970.54-2.24
-2.75-30.750.10-0.18-0.730.660.410.260.2619.8715.1013.201.3511.9535.2827.3511.066.655.473.030.245.036.782.29-0.687.34-0.84-1.49-3.263.86-0.57-0.17-2.32-1.01-0.10-0.21-2.381.011.84-2.60-3.07-0.660.50-1.96-0.785.524.16-0.32-1.500.020.41-0.48-1.584.91-0.22-3.06-1.24-1.2315.1212.090.60-2.48
47.3049.5275.0574.3574.8975.0274.3272.6673.4357.7146.2739.2133.8935.0231.5120.2014.5814.4113.3712.8312.3111.5710.819.889.468.846.586.446.366.636.106.035.966.146.566.576.797.297.126.326.416.586.576.416.486.475.975.615.555.595.575.495.475.533.953.904.064.204.363.923.343.46
-1.47-0.014.192.992.372.8215.4210.6113.7211.8118.7911.409.6113.4514.444.372.751.413.122.011.770.773.202.171.660.850.820.490.720.870.36-0.15-0.08-0.231.080.600.670.891.040.510.500.650.730.710.871.000.580.180.160.111.431.041.040.80-0.36-0.48-0.49-0.492.400.920.400.31
-2.98-1.001.060.580.611.8312.979.4312.8011.2811.965.275.9911.6512.953.542.441.272.491.571.490.652.461.641.304.230.300.110.480.760.00-0.39-0.24-0.290.580.240.460.810.710.260.310.530.140.210.520.910.22-0.030.040.081.280.940.970.77-0.58-0.66-0.58-0.532.180.820.340.29