LendingTree Financial Ratios for Analysis 2009-2024 | TREE

Fifteen years of historical annual and quarterly financial ratios and margins for LendingTree (TREE).

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
2.605.021.362.650.820.892.972.114.553.102.212.251.061.401.46
0.810.800.520.630.400.420.45--------
4.263.921.441.680.841.090.81-------0.65
94.2494.1494.7894.0193.8295.2497.2196.4296.3195.2895.3094.4592.4391.4365.51
-6.04-3.330.73-0.734.587.355.3613.5611.22-0.58-0.80-3.68-111.88-55.21-11.22
-6.04-3.330.73-0.734.587.355.3613.5611.22-0.58-0.80-3.68-111.88-55.21-11.22
4.152.099.599.2011.8313.1810.0515.2312.481.441.822.08-101.06-47.79-5.90
-18.58-5.587.69-4.672.805.724.1613.4211.15-0.58-0.81-4.82-112.56-55.98-11.46
-18.20-19.086.29-5.301.6112.622.527.1518.905.592.8360.21-108.95-30.34-11.29
0.840.820.850.771.170.850.891.190.861.200.910.540.160.210.74
---------------
12.2411.8611.2510.139.758.4011.569.298.5112.3010.846.749.9816.8131.72
29.8330.7832.4536.0437.4343.4631.5839.2942.8929.6933.6854.1436.5821.7111.51
-98.61-90.3916.33-6.199.8131.586.5913.4821.28-0.51-0.77-2.71-109.32-26.13-20.24
39.7469.48-126.3012.27-19.79-52.6019.3430.2122.65-0.60-0.93-3.29-162.19-46.78-47.86
-15.25-15.675.63-1.904.1612.202.809.6517.35-0.35-0.44-1.57-15.00-9.41-8.39
-18.84-18.407.90-2.315.9218.313.6413.4821.28-0.51-0.77-2.71-109.32-26.13-20.24
9.5216.2334.2127.7930.8627.0324.6219.6319.468.467.737.534.129.4511.09
5.223.369.588.5610.758.797.575.032.970.810.93-0.44-2.55-2.871.25
4.252.467.025.3211.037.746.982.532.390.470.68-0.69-3.11-3.340.89

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
1.823.712.603.763.312.855.024.484.011.181.361.321.232.472.652.290.660.640.820.730.670.630.893.333.593.332.973.863.871.762.114.254.003.714.552.672.983.073.102.102.022.002.212.202.182.252.252.252.021.141.061.151.101.241.401.351.451.461.461.701.671.68
0.760.830.810.860.720.730.800.800.700.620.520.520.530.610.630.630.400.390.400.400.410.420.420.400.410.420.450.440.44---------------------------------
3.314.914.266.122.602.723.923.952.332.151.441.481.491.571.681.670.990.940.840.891.001.251.090.660.700.730.810.780.78------------------------1.04-1.190.810.730.650.480.630.50
96.0094.9193.9595.1294.9093.1493.3094.0794.4494.5094.4194.9594.8494.9193.9094.0092.7094.9793.4494.3194.1493.2793.1894.5096.7296.8596.8497.4497.2797.2996.5996.4196.3396.3396.2196.5196.3996.1294.9194.8995.5095.8495.8795.3694.7995.1793.8894.7295.2793.9994.3492.3692.1991.3488.8691.1592.6073.7365.3863.1565.0268.24
4.564.28-0.16-21.903.62-6.49-3.64-7.81-1.49-1.04-3.112.493.91-0.70-1.66-7.32-4.097.333.5410.044.42-0.691.2010.309.848.48-0.1110.185.875.1913.2914.9613.4912.5110.5311.1412.2911.233.901.346.17-14.572.640.59-5.47-0.8818.303.46-16.26-39.89-43.47-28.70-218.35-113.10-84.53-48.91-42.65-9.31-44.54-14.672.055.56
4.564.28-0.16-21.903.62-6.49-3.64-7.81-1.49-1.04-3.112.493.91-0.70-1.66-7.32-4.097.333.5410.044.42-0.691.2010.309.848.48-0.1110.185.875.1913.2914.9613.4912.5110.5311.1412.2911.233.901.346.17-14.572.640.59-5.47-0.8818.303.46-16.26-39.89-43.47-28.70-218.35-113.10-84.53-48.91-42.65-9.31-44.54-14.672.055.56
--------------------------------------------------------------
4.490.949.76-97.950.066.91-5.61-9.58-3.96-3.6923.30-1.480.2610.25-5.94-14.86-6.785.621.788.482.62-2.74-0.799.058.226.85-2.078.415.175.0713.1814.8213.3412.3610.3911.1312.1711.233.901.346.17-14.572.640.58-5.49-0.9017.151.97-17.07-40.80-44.44-29.54-218.79-113.67-85.18-49.30-43.75-9.67-44.88-14.951.855.37
3.690.619.47-95.67-0.066.71-5.15-66.72-3.07-3.8218.56-1.502.446.98-3.71-11.19-16.145.090.731.374.39-0.20-1.6313.0623.1117.41-4.805.324.795.187.267.008.336.0240.918.728.5610.1835.650.92-0.59-16.01-0.55-0.5718.92-9.689.6918.8115210711.08102-203.80-283.75-104.6511.96-5.29-13.74-43.86-14.591.225.52
0.260.180.170.180.180.190.170.200.190.220.200.230.210.220.190.180.170.280.270.320.280.260.230.270.260.260.230.250.230.380.310.340.350.350.260.400.360.340.310.290.290.270.240.250.240.200.170.150.100.050.030.040.070.060.040.050.050.160.160.180.200.20
--------------------------------------------------------------
1.952.652.442.412.412.402.432.472.272.482.642.262.182.222.472.282.392.372.252.211.992.192.232.482.302.803.012.672.932.532.442.482.262.582.622.772.692.603.222.993.182.992.832.422.102.072.082.242.292.341.952.412.422.023.341.952.146.267.006.2510.148.85
46.1333.9736.8137.3137.3537.5537.0036.4539.6736.3334.0339.8541.3640.6136.3739.4937.6138.0140.0240.8145.1841.0640.4436.2839.1832.2029.8833.6530.7635.6036.9336.3439.8334.9434.3232.4733.4934.6327.9330.1028.3230.0631.7637.2342.7743.4143.1840.2439.2938.3946.1937.3937.1544.5726.9446.1742.1114.3912.8614.408.8710.17
5.320.7710.25-144.68-0.055.83-5.00-76.85-2.29-3.1810.81-1.022.334.88-2.23-6.87-2.124.480.366.283.470.160.077.5312.9110.87-2.213.352.713.233.473.274.233.3113.306.556.115.302.190.703.42-7.351.510.36-2.32-0.333.020.29-2.01-5.44-11.22-5.76-54.96-25.27-8.21-6.43-6.13-4.25-17.35-5.250.502.19
-2.74-0.34-4.1344.820.05-5.483.8557.125.726.89-83.635.21-9.28-13.614.4112.405.12-11.54-0.74-10.82-5.08-0.19-0.1224.8431.8425.70-6.499.747.226.727.773.584.653.5614.167.527.106.192.580.874.21-8.971.810.44-2.78-0.413.660.34-2.41-7.20-16.64-22.38-1,596.69-135.21-14.69-15.33-15.52-10.62-41.02-10.930.934.47
0.970.111.58-16.78-0.011.29-0.87-13.11-0.59-0.843.73-0.340.771.55-0.68-2.06-0.791.870.152.501.320.060.033.816.325.07-0.941.491.212.232.482.633.372.5710.854.224.163.641.510.391.84-3.910.860.21-1.31-0.191.750.18-1.08-1.13-1.54-1.15-9.77-7.30-2.95-2.24-2.39-1.71-7.19-2.580.241.09
1.260.131.96-20.38-0.011.57-1.02-15.56-0.69-1.205.23-0.491.111.90-0.83-2.57-1.272.740.223.762.060.090.044.547.586.28-1.221.881.523.233.473.274.233.3113.306.556.115.302.190.703.42-7.351.510.36-2.32-0.333.020.29-2.01-5.44-11.22-5.76-54.96-25.27-8.21-6.43-6.13-4.25-17.35-5.250.502.19
10.939.959.527.8918.6417.8916.2316.1527.4126.7034.2132.3431.5730.0627.7927.5231.0232.4230.8629.9528.8327.3527.0329.0827.2626.5624.6225.3024.6620.2819.6318.9018.0617.5619.469.779.148.928.467.006.937.027.737.787.817.267.538.157.695.334.125.364.145.799.4510.4610.3610.2811.0912.9513.6814.47
0.060.435.223.592.191.023.362.061.260.789.586.703.980.638.567.386.772.0710.757.584.551.648.794.351.081.197.574.733.541.285.033.051.170.812.972.491.230.440.810.080.180.020.930.290.10-0.49-0.44-0.38-0.62-0.45-2.55-1.89-1.36-0.96-2.86-2.69-1.98-1.291.252.25-0.721.15
-0.350.224.252.831.810.832.461.360.770.517.024.402.26-0.125.325.826.071.7711.038.195.511.297.743.580.600.966.984.293.281.132.532.420.660.642.392.151.010.340.47-0.170.01-0.070.680.11-0.01-0.55-0.69-0.56-0.75-0.51-3.11-2.39-1.73-1.17-3.32-3.03-2.25-1.420.892.05-0.851.09