Veeco Instruments Financial Ratios for Analysis 2009-2024 | VECO

Fifteen years of historical annual and quarterly financial ratios and margins for Veeco Instruments (VECO).

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
3.242.592.904.004.033.252.663.493.343.304.796.634.512.673.28
0.290.310.340.440.440.400.250.000.000.000.000.000.000.000.22
0.410.480.520.790.800.660.330.000.000.000.000.000.000.140.28
42.7740.7341.5442.7837.7235.7437.0540.1337.1534.3331.0941.6948.4448.2940.48
10.499.339.724.97-9.44-76.65-15.11-36.23-4.87-20.16-21.657.2128.2132.582.70
10.499.339.724.97-9.44-76.65-15.11-36.23-4.87-20.16-21.657.2128.2132.582.70
14.2413.3014.1911.73-1.24-67.43-4.58-26.383.48-13.91-16.0910.3529.6634.068.04
-4.257.894.40-1.86-18.59-80.03-18.71-35.94-4.75-19.94-21.477.4027.7931.870.28
-4.5625.844.46-1.85-18.78-75.10-10.80-36.79-6.70-17.04-12.745.9913.0738.86-5.52
0.540.570.650.510.510.600.340.440.540.420.350.551.050.810.47
1.601.852.001.781.962.232.492.583.874.203.835.034.454.443.01
6.475.205.325.689.188.114.815.729.636.5413.938.1710.306.184.18
56.4270.1768.5964.2939.7544.9875.8663.8437.8955.8226.2144.6835.4359.0287.35
-4.5228.895.95-2.05-21.02-92.99-6.12-20.52-4.47-9.06-5.423.2725.0536.35-0.49
-7.3444.8811.74-4.66-60.08-241.85-31.51-28.96-6.83-14.41-7.363.6128.0639.96-0.62
-2.4714.802.90-0.93-9.62-45.19-3.70-16.09-3.59-7.20-4.462.8320.3524.14-0.29
-3.2120.063.90-1.15-11.67-56.14-4.61-20.49-4.47-9.04-5.403.2624.9736.22-0.39
11.9311.198.648.217.649.1217.4514.6517.6318.3119.6720.6319.6218.909.21
1.151.651.260.89-0.16-0.800.79-0.610.401.070.022.872.814.571.81
0.631.280.510.75-0.39-1.070.24-0.900.050.91-0.102.231.344.321.61

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.543.523.053.242.692.512.412.592.502.842.582.903.493.563.784.003.904.223.894.033.423.293.323.253.152.942.802.662.613.256.193.493.443.643.293.343.432.732.933.304.724.955.514.797.316.016.256.635.845.274.844.513.893.553.072.672.772.863.343.282.482.952.96
0.250.260.270.290.300.310.300.310.370.380.390.340.430.440.440.440.450.450.450.440.420.420.410.400.330.320.250.250.240.240.290.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.160.180.200.220.340.340.33
0.370.390.400.410.430.450.440.480.620.650.680.520.760.770.790.790.810.800.800.800.740.710.690.660.490.470.340.330.320.310.400.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.120.140.190.220.250.280.510.520.48
42.8642.8643.2245.2243.3441.7740.4040.9140.6939.1942.2041.8542.0441.1141.0740.9143.8542.4744.4239.7338.7537.0934.9435.6336.5935.1135.7439.6339.0831.9436.5139.0339.1441.7340.9636.4038.5537.3435.7333.3534.8832.2537.1821.3730.5135.5536.5036.2437.5944.8646.6543.3546.6251.1151.4252.6049.5844.6342.1153.5740.9033.8632.43
13.179.5112.6313.9012.558.476.398.7110.227.8210.5611.5210.939.067.047.636.230.414.37-6.06-6.76-11.46-14.23-140.42-3.06-165.56-7.21-10.73-16.59-26.63-5.87-5.29-80.39-41.48-19.58-9.354.67-3.06-16.09-56.86-18.74-16.5820.51-48.41-10.00-6.99-31.76-5.915.6211.0714.9716.8027.5731.3334.2440.3235.4327.0518.6850.313.36-17.50-30.00
13.179.5112.6313.9012.558.476.398.7110.227.8210.5611.5210.939.067.047.636.230.414.37-6.06-6.76-11.46-14.23-140.42-3.06-165.56-7.21-10.73-16.59-26.63-5.87-5.29-80.39-41.48-19.58-9.354.67-3.06-16.09-56.86-18.74-16.5820.51-48.41-10.00-6.99-31.76-5.915.6211.0714.9716.8027.5731.3334.2440.3235.4327.0518.6850.313.36-17.50-30.00
---------------------------------------------------------------
13.349.7113.0413.9012.69-51.995.877.698.876.218.774.466.264.562.09-0.510.71-8.37-0.29-28.71-10.73-15.76-18.46-144.96-6.83-168.37-10.13-14.13-20.27-30.44-9.40-5.03-80.09-41.23-19.23-9.214.79-2.97-15.93-56.59-18.41-16.5020.69-48.43-9.81-6.75-31.45-5.665.7611.3115.1216.9627.6630.1533.6139.8634.8426.2517.3647.861.14-19.86-32.72
12.168.7912.8211.4114.14-52.786.5381.348.756.6610.155.365.994.341.87-0.070.52-8.42-0.54-29.04-10.80-15.91-18.65-146.18-7.06-150.61-9.98-6.07-18.36-18.551.74-5.18-81.42-42.58-19.91-9.193.77-6.38-19.43-50.11-14.97-15.9921.09-30.17-6.07-4.19-16.30-8.478.868.6511.7310.5813.387.2520.6766.2431.1023.6719.3325.781.70-20.38-33.26
0.150.140.140.140.140.130.130.140.170.180.170.170.150.150.140.150.130.110.130.140.130.110.110.110.120.150.120.100.090.080.090.120.110.090.090.120.150.140.100.120.100.100.100.080.110.100.070.110.140.140.150.200.290.240.220.260.290.270.200.120.180.190.16
0.440.410.410.400.400.390.410.440.540.570.500.520.510.530.500.560.440.420.450.510.490.440.440.410.540.700.780.700.690.640.930.730.600.480.600.871.241.301.111.231.301.331.100.961.200.980.581.141.110.830.720.961.121.141.021.301.731.460.920.600.590.610.48
1.401.901.641.691.451.241.281.241.201.291.571.401.731.351.531.741.401.471.242.481.501.661.331.481.401.181.471.411.141.041.841.601.691.811.392.153.011.581.531.891.521.631.793.072.632.181.441.692.201.441.552.022.332.072.711.982.141.571.501.081.162.241.66
64.4547.2854.9553.3162.1172.4670.4172.6974.8669.6357.2464.4951.9766.6158.8951.8164.4161.4072.5636.3160.0854.2467.8060.7564.4876.2961.4263.7179.2086.9048.9856.2353.1349.8064.7141.8329.9356.9158.8347.6259.3855.1850.2529.2934.2241.3262.5153.2140.9162.7058.1144.6238.6843.5033.2345.5142.0957.2160.0083.6177.4340.2254.29
2.942.093.183.223.81-13.931.4922.313.412.293.301.872.071.500.60-0.030.15-2.10-0.15-8.78-2.92-3.79-4.39-33.05-1.55-40.01-1.91-1.01-2.81-2.390.25-0.81-11.66-4.84-2.25-1.370.73-1.16-2.64-7.70-1.76-1.902.36-2.83-0.76-0.51-1.25-1.070.941.382.113.10---14.52---9.420.02-7.71-10.24
4.453.255.075.236.41-24.422.7334.666.464.607.013.704.153.141.33-0.060.35-5.20-0.41-25.08-8.07-10.37-11.84-85.95-4.93-122.99-9.62-5.20-15.48-12.230.33-1.14-16.57-7.53-3.46-2.091.11-1.82-4.18-12.25-2.35-2.533.14-3.85-0.83-0.56-1.39-1.181.041.532.353.478.077.487.6715.9620.0112.896.9911.860.03-15.15-19.26
1.721.211.771.761.97-6.950.7511.431.511.051.450.910.900.650.26-0.010.07-0.96-0.07-4.02-1.36-1.78-2.09-16.06-0.85-21.84-1.16-0.61-1.69-1.520.15-0.63-9.10-3.92-1.80-1.100.58-0.87-2.03-6.12-1.46-1.592.01-2.33-0.66-0.44-1.08-0.920.811.161.742.525.635.034.999.659.936.193.355.590.01-3.96-5.41
2.201.552.332.282.67-9.621.0415.492.161.432.031.231.170.840.34-0.010.08-1.17-0.08-4.87-1.68-2.21-2.60-19.95-1.04-27.15-1.43-0.76-2.12-1.830.18-0.81-11.65-4.84-2.25-1.370.73-1.16-2.63-7.69-1.76-1.892.35-2.82-0.75-0.51-1.25-1.060.941.382.103.097.136.627.0214.4714.618.694.437.360.01-5.06-6.90
13.1512.5912.1511.9311.4410.8711.3311.198.588.187.888.648.658.428.228.218.027.977.637.648.238.398.679.1212.1012.1917.0017.4517.5117.9716.3914.6514.7016.3017.3417.6317.8417.6617.9318.3119.6919.9320.3019.6720.3120.3920.4320.6320.7820.3720.1119.62---18.90---9.21---
0.570.280.151.150.540.480.231.651.160.470.381.260.940.380.200.890.560.36-0.05-0.16-0.48-0.17-0.48-0.80-0.84-1.21-0.250.790.33-0.220.16-0.61-0.62-0.80-0.480.400.530.300.111.07-0.17-0.43-0.460.020.120.350.272.872.701.551.072.811.501.751.764.574.452.510.991.810.670.260.07
0.390.170.090.630.250.270.121.280.820.210.210.510.360.220.160.750.490.32-0.07-0.39-0.66-0.31-0.52-1.07-0.96-1.29-0.300.24-0.05-0.460.05-0.90-0.88-1.03-0.580.050.330.150.020.91-0.25-0.36-0.46-0.10-0.090.200.232.232.121.120.851.340.311.021.544.324.262.370.961.610.550.15-0.01