Skyworks Solutions Financial Ratios for Analysis 2009-2024 | SWKS

Fifteen years of historical annual and quarterly financial ratios and margins for Skyworks Solutions (SWKS).

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
3.332.634.355.175.975.816.799.524.134.805.974.833.303.873.01
0.140.240.30------0.02---0.020.04
0.210.400.42------0.02--0.020.060.11
44.1647.4849.1848.0647.4950.4350.4450.6347.7144.6342.7842.5343.7242.6239.65
23.5727.8431.5726.5828.1934.1134.3434.0131.4024.6719.2616.2920.8118.648.93
23.5727.8431.5726.5828.1934.1134.3434.0131.4024.6719.2616.2920.8118.648.93
36.5240.4940.1337.4339.2041.8441.3241.5537.4130.0225.0322.8426.3123.8015.93
22.6126.9231.2926.5728.4634.4434.4336.5031.4124.6719.2216.2520.7118.208.69
20.5923.2529.3324.2825.2823.7427.6730.2624.5019.9715.5212.8815.9712.8111.83
0.570.620.590.660.700.800.800.850.880.770.770.730.750.690.59
2.382.382.932.162.913.913.673.836.364.694.473.874.034.925.63
5.525.016.769.367.265.908.037.896.067.226.125.277.976.126.98
66.1072.7954.0238.9950.2961.8845.4546.2360.2750.5959.6269.2545.7759.6752.32
16.1623.3228.2919.5720.7122.4224.8528.1025.2718.0713.2410.6014.0810.438.57
36.6269.0210527.9030.2233.2332.4338.2635.3628.4922.5019.9826.3716.7715.63
11.6614.3717.4415.9617.6419.0222.0925.8121.4615.3911.929.4511.998.787.02
13.8917.8119.8919.5720.7122.4224.8528.1025.2717.7813.2410.6014.0810.248.26
38.1434.1432.0525.1524.2323.0922.2019.1516.6013.3811.189.918.637.306.42
11.588.7210.617.097.846.887.805.615.094.012.601.491.921.221.29
10.275.736.794.805.554.586.184.622.892.931.961.001.390.731.06

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
5.755.195.023.333.832.912.792.632.373.984.204.357.825.215.075.175.836.137.045.975.566.396.185.817.348.838.366.798.028.657.259.525.996.555.754.135.705.624.784.805.916.947.125.976.045.935.784.833.463.104.033.302.914.945.223.873.583.783.233.012.742.66
0.140.140.140.140.190.210.230.240.240.300.290.300.23--------------------------0.02--0.02-----------0.020.020.020.030.040.040.040.05
0.160.160.160.210.250.350.390.400.410.420.410.420.30--------------------------0.02--0.02-------0.010.020.020.020.020.060.060.080.100.110.150.15
40.2140.1842.1639.2343.3345.7447.9747.5347.3247.7447.3246.8250.0449.3650.4447.9745.3449.0349.5849.0740.7449.3849.9149.9450.5050.2251.0350.6750.3649.9550.7450.8050.3350.3750.9449.5248.5346.2146.3145.1245.0144.1643.9443.8443.1641.5642.4542.1842.4941.7643.6543.3943.8743.3244.3243.4642.9541.9541.8440.5640.2437.50
14.4018.0921.5020.8421.5423.7027.6127.5826.4327.5029.5224.9830.4431.9837.7927.9620.0226.0430.9528.2720.8129.3233.0133.7334.2531.6836.4635.1333.8433.0235.2134.9431.7433.2535.6633.7931.9528.8530.6427.5825.3021.3322.9622.1219.3316.1619.0917.7715.9412.0119.0419.3120.2820.9223.0820.8819.4216.0917.3514.4411.26-2.16
14.4018.0921.5020.8421.5423.7027.6127.5826.4327.5029.5224.9830.4431.9837.7927.9620.0226.0430.9528.2720.8129.3233.0133.7334.2531.6836.4635.1333.8433.0235.2134.9431.7433.2535.6633.7931.9528.8530.6427.5825.3021.3322.9622.1219.3316.1619.0917.7715.9412.0119.0419.3120.2820.9223.0820.8819.4216.0917.3514.4411.26-2.16
--------------------------------------------------------------
14.7318.4420.9520.2020.7322.5326.3826.4625.4826.5128.8724.1130.1132.0437.8127.8019.5426.5031.1028.2821.1129.7833.3134.0534.7532.0036.6635.3134.0633.0435.1234.8531.4232.9145.1233.6332.0228.9330.7327.5925.3021.3122.9622.2019.3815.8319.1317.7515.9611.9018.9619.3720.1520.7422.9020.6719.1315.4816.6413.6310.19-3.27
13.3517.5219.2520.0918.2820.1923.2821.4821.6922.9026.4824.8830.2627.7433.7325.8117.6023.6428.6925.4518.7926.4129.3128.3132.0430.226.6928.5727.3326.4128.2029.5424.6126.8538.3426.0225.6021.8524.2324.3518.9815.9918.7117.6515.0714.5114.6614.6212.679.3214.5115.9614.4815.3518.1614.9412.6111.6511.4325.579.80-3.28
0.110.130.150.140.130.130.150.160.140.160.180.150.150.200.280.190.150.150.180.170.160.170.210.210.190.190.230.220.210.200.220.220.190.200.240.240.230.230.250.240.220.190.210.200.200.190.210.200.190.180.210.210.200.190.210.200.190.170.180.170.150.14
0.660.750.750.660.490.500.540.610.590.750.950.790.690.801.040.620.580.600.750.690.780.740.991.030.880.971.120.980.930.961.070.970.851.151.651.661.531.481.581.461.621.241.261.171.071.101.141.051.071.081.251.151.061.221.311.421.331.321.461.581.281.18
1.491.701.821.411.471.681.741.291.571.671.951.731.962.352.192.672.132.082.101.781.381.491.851.541.912.492.292.172.272.312.482.011.321.441.761.642.122.753.322.262.332.221.891.631.541.811.801.421.581.721.982.261.911.771.671.791.782.212.061.981.701.54
60.3752.9449.3963.8261.0653.4651.7369.9857.3653.7846.1251.9245.9938.3341.1233.7342.2843.1942.8750.6165.4560.3948.5658.5347.1436.1839.2541.5639.7038.9736.2644.8868.2562.5351.2354.9742.4132.7227.0739.7938.5540.4747.5855.2358.5949.6650.0263.6057.1252.1945.4939.8147.0550.7153.9650.3450.5940.7143.7745.3852.9358.34
1.912.883.714.023.334.065.575.535.055.897.506.166.756.9011.545.933.104.376.025.113.515.247.066.977.026.781.806.926.325.937.046.975.265.8710.207.266.825.817.206.914.663.364.274.013.283.093.423.232.741.983.433.993.363.384.313.552.852.352.445.261.85-0.58
3.925.988.019.128.0510.4215.4716.3616.9621.1526.2122.948.949.3316.028.454.436.328.627.465.157.7510.4810.339.128.832.399.038.337.919.539.497.177.8513.7210.159.728.5210.8910.897.225.346.986.815.825.506.296.095.524.226.217.476.755.116.685.724.824.064.339.603.72-1.19
1.472.212.812.912.312.633.463.413.073.594.643.804.515.679.404.832.563.645.054.352.984.496.015.915.995.821.536.155.715.406.346.404.685.269.046.165.895.036.125.884.143.033.883.612.962.783.092.882.361.692.983.402.852.983.772.992.401.982.014.311.49-0.47
1.652.493.203.462.713.224.274.223.834.155.324.335.216.9011.545.933.104.376.025.113.515.247.056.977.026.781.806.926.325.937.046.975.265.8710.207.266.825.817.206.794.663.364.184.013.283.093.423.232.741.983.433.993.363.384.243.492.792.262.365.071.76-0.55
39.6839.6538.8738.1436.9236.0134.8834.1432.9532.0932.4332.0530.3028.5426.7725.1525.0324.7325.0324.2323.8923.6323.2023.0922.7222.3521.3822.2021.2220.5519.8119.1518.7418.6318.1816.6015.9314.9914.2013.3812.6312.1011.7211.1810.6610.4710.139.919.469.088.858.638.237.947.637.306.876.706.556.426.015.86
8.366.664.8111.589.327.414.838.727.365.933.5010.618.236.602.907.095.573.972.327.845.484.243.096.885.764.311.957.805.573.872.655.613.342.591.775.093.892.761.974.012.961.940.832.601.791.440.761.491.221.020.411.921.270.820.341.220.810.620.301.290.850.60
7.906.354.6810.278.446.734.435.735.254.572.926.795.985.042.194.804.122.961.675.553.672.952.364.584.063.671.796.184.403.312.384.622.431.981.372.892.461.881.522.932.311.640.751.961.341.170.621.000.890.850.371.390.820.480.170.730.490.430.211.060.700.49