VeriSign Financial Ratios for Analysis 2009-2024 | VRSN

Fifteen years of historical annual and quarterly financial ratios and margins for VeriSign (VRSN).

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
0.830.931.181.231.321.391.571.211.311.030.892.362.203.341.93
8.567.923.404.486.014.473.4133.817.49-5.172.301.011.150.460.49
-1.13-1.14-1.42-1.29-1.20-1.29-1.91-1.56-1.75-1.54-3.24-74.83-7.830.860.96
86.7985.9185.5585.7685.3584.1983.4182.6481.8081.3580.6280.8178.5976.9872.94
67.0166.1965.2965.1565.4563.1660.7460.1157.2055.8854.7352.3542.6734.1325.97
67.0166.1965.2965.1565.4563.1660.7460.1157.2055.8854.7352.3542.6734.1325.97
68.1168.9468.8768.8269.2165.6463.7565.8963.9963.2662.0358.6349.8844.0739.97
65.4061.7758.9259.3061.6160.0451.4150.8846.0347.8547.3347.2425.0814.0120.22
54.7647.2959.1164.4149.7147.9439.2538.5835.4235.1756.4136.6318.5112239.87
0.850.820.670.720.660.630.400.490.450.530.360.420.420.280.25
---------------
--------83.8275.1170.8076.1251.5545.769.76
--------4.354.865.164.807.087.9837.41
-51.71-43.13-62.26-58.62-41.09-42.04-36.28-36.70-35.05-40.21-128.54-3,351.57-157.2610.3515.30
-45.97-38.29-53.83-51.33-36.28-36.80-31.37-31.52-33.36-37.96-114.36-505.23-97.6111.2732.00
46.7538.8739.5646.1233.0330.4315.5518.8715.9218.6920.4615.157.462.873.71
39129914920420614687.551,204228-247.9316745.4023.025.577.81
-15.61-14.84-11.41-12.25-12.77-11.54-12.91-11.65-9.73-7.46-3.17-0.06-0.553.923.27
8.257.707.196.336.345.695.665.385.044.273.723.282.011.202.05
7.817.446.725.966.005.395.265.174.733.993.302.960.860.751.48

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
0.470.640.810.830.860.870.920.930.961.001.161.181.211.191.221.231.231.231.241.321.351.391.401.391.351.331.551.571.571.211.211.211.211.321.311.310.980.991.011.030.820.870.880.891.061.180.952.360.952.282.292.202.132.343.193.344.342.252.051.931.991.901.84
-3.65-71.3711.558.5611.4610.469.197.927.305.393.563.404.864.864.634.484.444.604.726.015.334.954.704.474.664.433.253.413.2335.4324.8033.8118.3211.359.677.496.075.144.14-5.176026.402.572.302.931.581.641.011.361.091.111.151.401.010.520.460.320.550.480.490.420.440.48
-0.94-0.99-1.09-1.13-1.10-1.11-1.12-1.14-1.16-1.23-1.39-1.42-1.26-1.26-1.28-1.29-1.29-1.28-1.27-1.20-1.23-1.25-1.27-1.29-1.27-1.29-1.96-1.91-1.96-1.55-1.57-1.56-1.59-1.66-1.68-1.75-1.80-1.87-1.99-1.54-1.84-2.16-3.00-3.24-2.76-4.95-18.04-74.83-26.42-11.79-9.71-7.83-3.52-139.181.070.860.461.210.910.960.730.790.91
88.0287.8387.2287.2587.0886.4886.3186.3285.9985.9385.3885.5185.7085.4985.4885.6485.8486.1385.4285.0485.5985.6185.1584.2784.2284.3483.9183.8683.8183.4982.4482.8582.6882.9882.0682.0382.2381.6381.2981.4581.6081.6380.7081.0480.9080.5280.0281.7481.4579.9979.9579.3778.8378.5877.4978.6076.9376.2775.9874.7673.1172.1575.20
68.9568.7767.3767.3867.5866.8566.2266.5066.3567.0664.8065.2766.2064.6665.0263.8465.0165.7866.0063.9466.6765.8565.3563.0963.7763.8261.9559.7161.9260.6360.7358.9560.7861.5359.1658.0658.1256.7455.8155.5754.7057.1656.1053.0054.4655.1956.3658.8051.9249.9648.0945.6145.1643.2236.0937.7434.7530.2733.4829.9021.7427.8529.52
68.9568.7767.3767.3867.5866.8566.2266.5066.3567.0664.8065.2766.2064.6665.0263.8465.0165.7866.0063.9466.6765.8565.3563.0963.7763.8261.9559.7161.9260.6360.7358.9560.7861.5359.1658.0658.1256.7455.8155.5754.7057.1656.1053.0054.4655.1956.3658.8051.9249.9648.0945.6145.1643.2236.0937.7434.7530.2733.4829.9021.7427.8529.52
---------------------------------------------------------------
66.7966.8866.0966.1466.0665.1964.1662.9262.4562.1559.4759.7760.6057.0458.1957.0858.1660.9661.0659.5762.7362.1961.9576.0858.3154.5150.9348.0751.1455.4051.1249.5551.8652.0550.0545.9945.8847.1045.1547.0843.7250.5750.1347.4143.9149.4848.5957.0445.5043.1042.4837.9740.99-12.4632.60-26.0930.4025.4429.0522.9115.9621.0627.81
51.5451.3650.5169.7750.0949.7349.0448.6247.4947.5445.4097.0046.8444.8446.4849.1153.7948.5010747.7649.9048.1753.0459.2645.0342.4444.8634.8039.2942.6640.3336.8739.7939.5238.1237.2434.7935.4334.1425.5837.3340.0137.9511933.2036.3135.7445.8934.8531.9833.0626.4329.91-5.5922.46-22.6545620.9831.7857.9934.1922.6025.64
0.270.260.220.220.220.220.210.210.200.200.180.170.180.190.180.180.180.170.180.170.160.160.160.160.160.160.100.100.100.120.120.120.130.120.120.120.100.100.100.130.120.110.100.090.100.090.110.110.110.110.110.110.120.110.080.070.060.070.060.060.060.060.10
---------------------------------------------------------------
--------------------------------18.2418.9917.4121.5718.0618.2117.6319.035.284.863.4118.0216.4417.6617.3620.0619.8316.9215.1813.6013.2813.0811.4512.0210.2410.372.762.512.141.993.14
--------------------------------4.934.745.174.174.984.945.104.7317.0318.5426.404.995.475.105.184.494.545.325.936.626.786.887.867.498.798.6832.6035.7942.0445.1228.67
-10.59-10.94-11.87-16.74-11.54-11.48-11.21-11.49-10.99-11.50-12.26-26.19-11.05-10.42-10.71-11.32-12.33-10.89-23.71-9.95-10.60-10.35-11.56-13.15-9.83-9.29-10.87-8.16-9.34-10.23-9.80-8.79-9.79-10.04-9.70-9.48-8.96-9.35-9.31-7.41-12.71-15.83-20.63-68.98-16.38-31.72-215.96-1,084.23-288.65-115.67-92.67-51.45-35.151837.76-4.683.625.584.745.242.672.357.55
-9.59-9.87-10.59-14.88-10.30-10.23-9.98-10.20-9.74-10.12-10.62-22.64-9.70-9.14-9.39-9.91-10.80-9.54-20.80-8.79-9.33-9.09-10.13-11.51-8.61-8.13-9.37-7.05-8.05-8.79-8.40-7.55-8.37-9.60-9.26-9.03-8.53-8.88-8.82-6.99-11.88-14.62-18.51-61.36-14.81-26.62-92.20-163.44-96.42-60.92-52.94-31.93-26.5313.098.62-5.103.796.329.2510.964.474.2915.63
13.7713.2111.2315.1311.1211.0710.1710.369.729.497.9816.648.638.488.448.909.698.3819.058.008.167.818.479.527.316.714.623.503.955.255.034.524.984.894.624.313.593.623.383.444.314.313.6210.983.473.444.084.903.873.533.512.443.54-0.431.81-1.301.541.111.201.270.800.661.95
-49.29-792.0312512712110991.7879.5369.1850.4231.4262.8542.6040.2638.8739.3442.4139.2588.1449.8645.9440.8542.8245.6035.9231.8624.4819.6920.8235223328817010484.0961.5745.4438.7529.21-45.697,64085.5132.2989.4931.5818.2513914.6910510.7210.647.5313.96-1.323.75-2.522.472.532.482.671.541.313.96
-19.72-18.53-16.34-15.61-15.95-15.65-15.28-14.84-14.51-13.50-11.70-11.41-12.74-12.66-12.45-12.25-12.13-12.18-12.18-12.77-12.34-12.02-11.78-11.54-11.56-11.30-12.73-12.91-12.44-12.01-11.66-11.65-11.13-10.52-10.18-9.73-9.22-8.72-8.14-7.46-6.14-5.02-3.47-3.17-3.59-1.90-0.26-0.06-0.17-0.38-0.45-0.55-1.05-0.033.243.927.252.723.473.274.073.753.25
6.904.222.558.256.313.892.477.705.733.241.887.195.373.031.756.334.663.421.546.344.732.951.565.693.922.370.735.664.062.651.195.383.822.431.145.043.512.310.994.273.121.860.953.722.821.880.933.282.201.490.682.011.290.620.531.200.961.370.552.071.150.630.20
6.714.092.517.815.913.772.417.445.553.121.826.725.022.811.695.964.343.231.456.004.462.781.485.393.682.220.675.263.732.501.115.173.662.321.084.733.302.140.893.992.901.730.883.302.501.640.832.961.961.330.600.860.900.440.430.750.571.140.441.490.810.420.09