Viavi Solutions Financial Ratios for Analysis 2009-2024 | VIAV

Fifteen years of historical annual and quarterly financial ratios and margins for Viavi Solutions (VIAV).

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
3.552.752.721.493.923.232.097.295.353.683.452.962.003.123.063.57
0.480.480.480.230.460.440.430.540.460.340.31--0.210.230.21
0.931.051.020.890.850.801.131.180.850.510.45-0.280.270.290.27
57.5757.7559.8559.5958.5557.6355.7759.5060.6559.5156.9441.4242.4444.0940.1137.92
2.087.4514.3111.8610.395.960.220.87-9.30-8.67-6.00-1.480.024.07-3.97-70.12
2.087.4514.3111.8610.395.960.220.87-9.30-8.67-6.00-1.480.024.07-3.97-70.12
8.7014.1120.3720.5920.0517.9013.9312.4311.8410.8411.118.1510.7713.7610.524.35
1.165.495.0410.9110.063.48-4.0822.36-5.06-12.05-9.26-2.80-0.852.96-4.19-70.79
-2.582.311.205.634.310.48-5.5519.90-10.95-10.08-1.923.40-3.344.02-4.53-70.87
0.580.600.710.610.640.620.430.380.540.390.390.980.890.910.800.77
4.404.034.715.115.654.664.206.796.946.582.606.745.485.826.505.50
4.694.784.954.674.834.764.016.696.115.743.136.145.445.345.026.36
77.7576.2973.6878.0975.6576.7691.1154.5959.7763.6111759.4967.1468.4272.7457.37
-3.793.692.318.846.891.07-6.6120.17-7.31-11.93-6.284.91-2.517.39-6.57-96.97
-13.5414.416.7424.1626.945.86-29.7226.27-10.56-17.40-10.046.36-3.3010.89-12.30-150.13
-1.491.380.853.442.760.43-2.407.51-3.00-5.92-3.173.32-1.404.03-3.50-54.33
-1.961.931.206.833.730.60-3.769.23-3.96-7.90-4.334.91-2.515.82-5.08-76.51
3.073.112.973.353.123.173.243.452.974.695.164.904.484.674.114.31
0.520.500.751.030.580.600.290.400.270.350.750.780.520.880.540.50
0.450.300.480.830.440.430.130.260.15-0.060.330.560.210.380.360.26

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
3.553.813.092.952.752.432.772.852.724.024.144.561.493.953.974.233.923.823.653.243.233.192.992.392.091.582.182.207.296.875.205.345.355.264.464.093.684.043.523.453.453.734.284.492.962.342.302.142.003.493.413.463.123.112.933.003.063.683.503.553.573.91
0.480.470.470.480.480.480.470.490.480.500.490.480.230.430.430.450.460.470.440.450.440.440.440.440.430.330.320.320.540.550.460.440.460.410.430.430.340.330.330.320.310.300.300.30-----0.220.220.210.210.210.220.230.230.220.220.220.210.26
0.930.901.001.081.051.161.001.061.021.000.980.930.890.760.760.800.850.880.770.830.800.790.800.991.131.041.061.051.181.240.840.780.850.700.740.760.510.500.480.460.450.420.420.42-0.150.190.240.280.280.280.270.270.270.290.290.290.290.290.280.270.36
57.7856.0658.1558.2555.3956.9058.7059.5759.9859.2460.5159.6758.8359.9960.0559.5057.9957.3060.4158.1758.5157.8858.0056.0151.0256.3858.1359.0458.5359.6960.3959.3560.7359.5761.0961.1759.6559.7958.7959.8712.7844.1945.7843.1742.1838.3244.0141.0141.8441.6142.6343.6744.2843.9945.1542.7740.9139.6940.3039.3237.0836.33
-2.26-4.848.806.454.48-0.858.0516.0514.3212.9315.6614.3510.5211.8314.1010.9916.243.5514.346.909.602.9810.72-0.45-4.640.183.363.512.82-7.763.244.79-43.643.273.96-1.26-8.64-10.92-9.36-5.7619.15-2.784.421.54-4.41-5.263.470.020.12-1.590.221.305.682.787.100.20-0.79-3.19-3.79-9.23-22.00-36.83
-2.26-4.848.806.454.48-0.858.0516.0514.3212.9315.6614.3510.5211.8314.1010.9916.243.5514.346.909.602.9810.72-0.45-4.640.183.363.512.82-7.763.244.79-43.643.273.96-1.26-8.64-10.92-9.36-5.7619.15-2.784.421.54-4.41-5.263.470.020.12-1.590.221.305.682.787.100.20-0.79-3.19-3.79-9.23-22.00-36.83
--------------------------------------------------------------
-3.77-6.347.197.422.43-3.796.6414.4412.179.0711.72-12.6110.0710.3513.279.9420.742.3412.085.047.530.308.57-3.58-7.90-3.48-0.93-2.935.7415.4626.6339.71-32.9817.560.90-5.57-11.42-14.60-12.90-9.2921.68-4.472.640.19-5.10-6.511.72-1.520.90-3.25-1.15-0.054.321.436.08-0.490.90-3.91-5.16-10.07-23.32-36.15
-8.61-10.004.203.95-0.04-6.212.9510.514.926.0910.99-16.771.065.679.106.9217.63-12.808.932.274.31-1.814.24-5.70-11.20-4.89-0.54-3.983.6513.2723.8337.00-30.3015.341.72-30.08-18.24-6.21-11.09-4.516.91-0.361.970.0721.96-6.910.95-2.76-5.12-4.31-2.49-1.392.078.504.980.020.38-3.58-5.69-10.71-23.28-36.44
0.150.140.140.140.140.130.160.180.180.170.160.150.160.160.160.160.150.140.170.170.160.150.170.140.130.110.100.100.090.090.120.120.130.120.130.130.100.100.100.09-0.160.180.190.190.250.230.240.230.230.210.210.220.230.240.260.230.230.200.210.180.160.17
1.101.050.930.911.010.850.981.131.221.131.091.281.351.341.361.321.341.261.351.261.171.171.481.321.380.921.111.141.661.691.731.821.711.701.571.541.650.550.610.56-2.091.581.771.761.671.631.341.401.451.231.261.251.461.551.791.691.841.621.681.351.191.11
1.181.161.221.301.141.131.271.261.291.171.221.341.211.151.191.291.131.091.251.291.221.191.241.201.191.161.471.581.591.371.261.271.511.451.281.461.440.700.710.73-1.241.461.481.461.541.371.541.531.421.341.421.471.341.361.401.351.441.361.441.451.351.35
76.1177.5673.8769.3178.9479.9470.7771.4670.0376.8273.8566.9574.2577.9375.4269.5879.5082.6972.1569.8673.8575.7172.8275.1275.4777.4561.3057.1456.5365.4871.6570.7959.6062.0370.5061.5962.36129126124-72.5061.8260.6861.4558.3865.5558.4458.9563.4166.9763.2261.3666.9266.3164.4766.8362.5866.1162.5262.1466.4566.62
-3.18-3.491.471.45-0.01-2.261.225.032.462.704.47-6.380.432.123.412.616.61-4.853.660.961.72-0.662.17-2.16-3.97-1.41-0.15-0.990.693.376.9410.33-9.363.450.13-2.11-2.91-3.20-3.31-2.21-6.92-0.120.710.027.88-2.650.31-0.940.13-1.51-0.72-0.341.543.722.470.010.19-1.24-2.15-3.36-6.71-11.08
-11.39-11.784.765.67-0.06-9.255.0515.387.187.3111.03-14.181.185.539.598.5125.84-22.9413.974.879.39-3.4813.26-10.07-17.86-7.18-0.20-1.390.894.469.5514.16-13.515.540.22-3.82-4.25-4.87-5.13-3.47-11.06-0.190.910.0310.21-3.630.39-1.220.18-2.07-1.01-0.492.275.734.110.020.35-1.90-3.41-5.48-10.39-18.00
-1.25-1.410.580.54-0.01-0.800.461.850.901.021.71-2.530.170.891.431.082.65-1.841.510.380.69-0.270.86-0.81-1.44-0.53-0.06-0.390.261.212.864.42-3.841.580.06-0.89-1.45-1.63-1.64-1.11-3.50-0.060.380.015.33-1.590.18-0.540.07-0.84-0.40-0.190.842.021.290.010.10-0.69-1.18-1.86-3.76-5.96
-1.65-1.840.790.75-0.01-1.180.642.581.281.362.26-3.300.331.201.931.453.58-2.582.070.530.96-0.371.20-1.20-2.26-0.95-0.10-0.680.311.503.765.80-5.072.030.07-1.20-1.93-2.14-2.24-1.51-4.77-0.080.500.027.88-2.650.31-0.940.13-1.18-0.57-0.271.212.931.910.010.14-0.96-1.67-2.63-5.29-8.15
3.073.163.263.043.113.073.062.862.973.113.333.583.353.553.503.293.122.973.323.083.173.183.113.113.243.363.323.363.453.403.073.272.973.603.333.144.694.784.885.035.165.375.335.244.904.454.554.454.484.644.634.654.674.574.294.154.114.134.144.204.314.20
0.520.400.320.220.500.400.320.120.750.440.310.231.030.750.570.280.580.470.290.130.600.480.300.120.290.210.150.050.400.250.160.060.270.15-0.010.000.350.150.250.180.750.540.360.120.780.550.430.190.520.350.300.100.880.630.420.160.540.330.260.080.500.42
0.450.350.270.200.300.220.190.050.480.230.180.170.830.650.500.240.440.390.250.110.430.330.210.080.130.100.100.010.260.130.070.020.150.04-0.09-0.06-0.06-0.150.050.070.330.250.170.070.560.410.290.110.210.120.130.010.380.270.200.060.360.220.190.050.260.20