Ulta Beauty Financial Ratios for Analysis 2009-2024 | ULTA

Fifteen years of historical annual and quarterly financial ratios and margins for Ulta Beauty (ULTA).

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
1.711.611.461.871.812.322.642.903.473.503.763.573.522.482.082.36
---------------0.26
---------------0.43
39.0939.6239.0331.6836.2435.8735.6335.9935.2835.0735.2535.3034.7333.2730.8030.58
14.9716.0515.033.8512.1812.7213.3513.4912.9012.6612.2712.6111.058.175.574.27
14.9716.0515.033.8512.1812.7213.3513.4912.9012.6612.2712.6111.058.175.574.27
17.1518.4218.148.6916.1816.8817.6417.8217.1116.7316.2516.5815.3212.6410.669.01
15.1316.1015.013.7612.2512.7913.3713.5112.9312.6912.2712.6011.018.125.393.91
11.5212.1711.422.869.549.809.448.448.157.937.607.776.774.883.222.33
1.961.901.811.211.522.102.021.901.761.631.671.741.861.992.211.91
3.923.843.513.603.653.553.453.293.333.623.783.984.744.444.093.53
53.9051.1936.9331.8653.0949.3359.0154.7760.3861.8156.7653.4867.9165.2690.7359.37
6.777.139.8811.466.877.406.196.666.055.916.436.825.375.594.026.15
56.6463.3964.218.7937.1136.1831.2926.4322.0020.4520.2221.9320.5717.6513.4510.31
56.9263.7964.738.8537.3936.4831.2926.4322.1820.6120.2221.9320.5717.6513.4510.31
22.6223.1320.693.4514.5120.6419.0916.0614.3412.9712.6613.5312.569.727.114.44
56.6463.3964.218.7937.1136.1831.2926.4322.1820.6120.2221.9320.5717.6513.457.59
47.1738.9129.3535.5433.6131.0729.1724.9522.7119.4415.6212.299.406.695.034.24
29.7728.6419.3214.3318.9515.8912.5810.095.856.135.083.713.492.882.921.28
20.9922.6116.1811.6413.8210.585.464.151.192.281.580.781.461.301.77-0.60

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.761.761.711.521.691.641.611.621.631.581.461.741.811.681.871.822.642.491.811.671.801.932.322.062.412.422.642.302.792.862.902.352.802.703.473.033.553.453.503.333.763.613.763.273.643.343.572.783.652.613.522.592.982.932.481.852.292.312.081.672.152.592.36
----------------0.310.31-----------------------------------------0.080.140.260.26
----------------0.450.46-----------------------------------------0.140.250.400.43
38.3339.2537.7239.8639.2840.0437.5841.1740.4140.1137.6439.5640.5638.8835.0735.1526.7925.8834.9937.0536.3637.0034.8736.6835.9836.3233.9836.7436.3936.2034.4837.7535.9936.3634.6236.8634.9534.9233.3837.7835.3234.4633.8237.4435.2935.0034.2236.6834.8036.0534.0736.1234.0334.9533.0835.0632.3032.6531.9532.2728.7829.5930.80
12.9014.7114.5513.1515.4816.7813.8715.4717.0418.6613.7614.2416.8915.7510.206.531.04-8.6512.489.9712.4813.6313.2410.8513.0213.5913.1312.1213.9414.3314.1912.3513.4513.7113.3612.1613.5112.3913.1212.6213.3411.3313.1511.7812.1211.6213.6712.1211.9312.1212.5710.7110.0510.1210.357.166.927.298.655.173.743.336.27
12.9014.7114.5513.1515.4816.7813.8715.4717.0418.6613.7614.2416.8915.7510.206.531.04-8.6512.489.9712.4813.6313.2410.8513.0213.5913.1312.1213.9414.3314.1912.3513.4513.7113.3612.1613.5112.3913.1212.6213.3411.3313.1511.7812.1211.6213.6712.1211.9312.1212.5710.7110.0510.1210.357.166.927.298.655.173.743.336.27
---------------------------------------------------------------
13.0814.9614.6413.2515.6617.0614.0115.5117.0418.6413.7514.2216.8715.7310.186.440.83-8.7612.5010.0312.5813.7513.3010.9313.1013.6813.1512.1413.9814.3514.1912.3613.4713.7413.3812.1913.5412.4313.1412.6513.3711.3613.1611.7812.1311.6213.6712.1211.9112.1112.5610.6610.0110.0710.317.096.857.258.535.023.513.086.01
9.9011.4911.1010.0211.8613.1710.5611.7412.8714.1310.6010.7912.7511.887.804.820.66-6.699.667.719.6811.0310.108.419.9710.6510.747.808.859.758.877.748.428.578.507.808.467.718.337.938.287.008.147.347.477.188.507.557.277.357.956.486.066.046.364.194.064.275.102.982.101.833.60
0.440.480.620.440.480.490.600.440.460.470.570.380.400.380.430.320.220.210.470.340.350.370.670.470.480.510.670.470.480.490.620.440.460.480.570.410.410.420.530.390.410.420.540.400.430.440.600.410.460.450.610.440.480.500.650.480.540.560.720.460.500.470.60
0.790.871.270.640.850.901.260.650.820.891.140.630.810.881.220.700.660.651.160.660.810.881.140.670.780.861.170.630.720.801.100.620.740.811.090.650.810.851.200.650.880.881.250.660.840.861.380.690.990.911.570.741.010.981.450.730.970.951.300.700.930.821.11
12.7113.4017.0912.2714.5013.8416.1811.6812.7312.1711.6811.7912.7412.5611.3911.399.5913.2316.5514.9015.5415.8415.6015.2414.3615.3919.4316.1819.0820.8917.8317.2219.0919.8419.5117.8819.3719.9319.9815.1017.4426.7118.4513.1919.3919.4718.2813.8014.9221.2322.2719.6019.7924.6921.2516.6428.1839.7729.4121.2920.8321.6918.69
7.086.725.277.346.216.505.567.717.077.407.717.637.067.177.907.909.386.805.446.045.795.685.775.906.275.854.635.564.724.315.055.234.714.544.615.034.654.524.515.965.163.374.886.824.644.624.926.526.034.244.044.594.553.654.245.413.192.263.064.234.324.154.82
10.7613.6117.3012.3014.6317.2017.3914.2816.7118.9818.8510.8413.3512.488.584.030.45-4.4811.717.028.779.9011.797.158.189.2211.736.486.987.819.056.036.476.977.415.175.525.146.944.985.404.717.054.895.225.208.205.405.475.967.925.105.005.187.484.063.984.406.913.132.221.965.02
10.8113.6817.3912.3714.7117.3017.5014.3716.8319.1219.0010.9113.4412.578.634.060.46-4.5111.807.088.849.9811.897.218.189.2211.736.486.987.819.056.036.476.977.475.175.525.147.004.985.404.717.054.895.225.208.205.405.475.967.925.105.005.187.484.063.984.406.913.132.221.965.02
4.405.566.914.465.726.466.355.155.986.616.074.075.064.533.371.540.15-1.424.582.633.424.036.733.944.835.447.163.694.234.745.493.433.904.154.833.173.513.224.403.083.422.944.412.963.233.145.063.093.373.304.842.882.933.044.122.002.182.413.651.361.050.862.16
10.7613.6117.3012.3014.6317.2017.3914.2816.7118.9818.8510.8413.3512.488.584.030.31-3.0711.717.028.779.9011.797.158.189.2211.736.486.987.819.056.036.476.977.475.175.525.147.004.985.404.717.054.895.225.208.205.405.475.967.925.105.005.187.484.063.984.406.912.871.911.453.69
49.6448.0947.1741.6941.5940.4238.9137.6734.4633.5529.3536.6834.5333.4935.5432.9231.4431.1533.6132.2531.8233.1431.0730.8730.2729.5529.1726.4626.5326.4524.9523.3022.3121.0722.7121.5520.9920.3019.4418.4217.4916.4815.6214.4513.4612.6112.2911.0910.129.309.408.497.817.366.695.895.575.305.034.654.484.354.24
7.533.2929.777.278.606.0428.6411.1510.428.1119.327.597.305.8814.334.580.28-0.4318.959.657.654.6115.899.036.434.5512.585.343.532.8110.095.153.502.645.852.321.951.066.132.262.061.145.081.551.310.663.711.200.560.203.491.220.960.072.881.150.660.162.921.941.180.311.28
3.621.4120.990.954.493.8722.617.198.106.7616.185.616.255.2611.642.52-1.08-1.1713.825.485.073.3910.584.764.083.335.46-0.140.431.584.150.671.121.781.19-1.29-0.180.182.28-0.410.610.541.58-1.19-0.210.010.78-1.03-0.55-0.191.46-0.320.13-0.241.30-0.070.120.041.771.100.680.10-0.60