Vishay Intertechnology Financial Ratios for Analysis 2009-2024 | VSH

Fifteen years of historical annual and quarterly financial ratios and margins for Vishay Intertechnology (VSH).

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
3.322.922.903.023.272.773.904.084.124.274.414.354.163.403.45
0.270.200.210.200.250.260.300.220.210.200.160.190.200.220.17
0.370.240.260.250.340.360.430.280.270.240.190.240.250.290.22
28.6430.2827.4023.2625.1529.2827.0524.7623.5724.5223.9323.6227.7629.6319.01
14.2917.6014.448.389.8415.9912.468.504.257.588.348.4813.3615.34-1.92
14.2917.6014.448.389.8415.9912.468.504.257.588.348.4813.3615.34-1.92
19.7122.2919.5915.5516.5321.6718.9315.6514.8314.9415.6716.1820.3722.309.28
13.7416.9713.416.338.4813.7310.754.073.256.707.447.6212.7614.88-1.94
9.5212.269.204.916.1411.39-0.782.11-4.724.725.195.509.2113.18-2.80
0.800.900.910.790.860.980.750.750.730.760.730.740.870.920.75
3.753.944.394.284.634.474.414.574.184.434.174.184.494.483.80
7.978.408.177.398.137.647.648.468.449.188.659.039.578.247.18
45.7843.4344.6649.4044.8947.7547.7543.1643.2439.7542.1940.4338.1344.2750.82
14.7921.0017.117.8411.0825.03-1.373.14-6.626.446.597.5914.9224.07-3.71
16.8924.3119.759.1412.9129.58-1.603.67-7.777.867.268.4616.0526.05-4.13
7.6811.148.443.925.2811.16-0.571.60-3.423.603.824.108.0212.15-2.08
10.7816.8713.576.278.2918.42-0.952.45-5.225.185.526.1111.9618.68-3.07
15.1514.1412.0610.9210.309.609.9510.7611.0312.4212.7511.3610.239.088.15
2.613.373.142.172.041.672.531.971.671.931.931.842.232.871.56
0.271.111.651.320.970.541.371.110.680.930.950.951.242.111.32

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
2.983.023.323.403.163.082.922.942.943.062.903.062.993.033.023.213.223.523.273.523.413.092.773.713.894.343.904.334.324.294.084.154.184.314.124.294.274.294.274.254.524.504.414.404.344.554.354.194.454.384.163.923.753.643.402.942.943.113.453.353.483.10
0.270.270.270.280.220.210.200.190.200.200.210.210.210.220.200.200.230.270.250.250.260.250.260.310.350.300.300.280.200.220.220.170.170.190.210.190.190.210.200.230.170.160.160.170.190.190.190.190.230.190.200.200.200.210.220.130.140.150.170.180.190.18
0.380.370.370.380.290.260.240.240.250.250.260.260.270.290.250.250.290.380.340.330.350.340.360.460.550.430.430.380.250.290.280.210.200.240.270.240.240.260.240.290.200.190.190.200.240.240.240.240.290.230.250.260.260.270.290.190.210.220.220.230.240.24
21.9722.8325.5527.8428.8632.0029.1331.3130.2530.3527.2827.7427.9926.5422.8323.7022.4624.0322.2123.8925.4828.3428.3130.2629.8628.6426.3428.0527.0326.7424.1726.0024.7724.0622.5823.2123.9624.4423.5024.8225.5624.1223.4423.7623.9024.6720.5023.3225.1025.3822.7926.2629.8930.8830.7131.4530.0126.0822.5719.8717.1215.13
5.125.729.9113.4915.0918.2015.8219.8017.4717.1314.4315.1815.3112.728.999.617.017.743.978.1211.6014.4615.4217.6816.2014.5211.2914.0713.2211.178.839.678.377.115.44-4.317.488.017.077.129.027.077.638.828.688.234.057.7612.399.356.0911.8116.2717.5817.5118.8514.4410.175.712.14-10.15-8.53
5.125.729.9113.4915.0918.2015.8219.8017.4717.1314.4315.1815.3112.728.999.617.017.743.978.1211.6014.4615.4217.6816.2014.5211.2914.0713.2211.178.839.678.377.115.44-4.317.488.017.077.129.027.077.638.828.688.234.057.7612.399.356.0911.8116.2717.5817.5118.8514.4410.175.712.14-10.15-8.53
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4.895.9310.2711.3114.9618.0014.9919.5917.1315.9613.5114.3114.3111.407.007.145.115.901.857.0310.3513.4112.9416.2412.8212.849.9512.7111.778.34-7.328.567.866.744.39-5.886.547.536.246.088.156.296.727.957.847.263.147.1911.098.725.5911.2615.6216.9216.5917.8114.959.805.721.70-11.95-6.31
3.174.146.567.6810.6512.838.5115.1513.0212.134.3311.9011.389.345.635.234.244.442.294.786.4910.1313.209.9713.558.70-26.389.508.746.07-8.636.165.614.91-24.79-4.934.455.174.784.235.554.284.875.435.245.223.953.897.766.285.617.9211.5710.8321.3812.9310.937.094.690.44-12.79-6.48
0.180.180.190.200.210.210.220.260.240.240.240.240.240.240.210.210.190.200.200.200.220.230.250.230.220.200.190.200.200.190.180.190.190.180.180.180.180.180.190.190.190.190.190.190.190.180.180.190.200.180.180.200.220.220.230.250.250.230.220.190.170.17
0.860.860.900.960.960.900.981.030.950.991.141.101.161.191.151.111.001.031.101.081.101.111.161.091.111.111.151.111.121.111.121.071.071.021.020.961.021.051.101.071.041.011.091.021.021.001.031.031.010.911.021.031.041.041.121.121.091.071.080.940.810.76
1.751.811.841.931.971.962.062.172.012.042.132.152.051.981.971.872.041.881.861.871.871.901.951.971.921.901.982.061.971.952.062.002.001.992.041.992.012.062.252.102.102.052.252.152.032.072.152.061.971.912.032.152.062.052.081.981.951.972.141.731.611.64
51.5449.5948.9046.6745.7345.8843.7941.4244.7944.0942.3241.8743.8045.3445.6848.1844.1847.8348.4548.0148.0447.3446.0545.5746.8047.2845.4443.7345.7846.1643.6744.9045.0645.2744.1345.3144.8243.7240.0242.8642.8244.0140.0341.8344.3143.4141.9043.7045.7547.1444.2341.9143.7643.9243.2045.4146.1245.6342.1652.1455.8154.89
1.091.442.363.084.315.223.577.406.135.722.115.625.634.572.402.191.661.860.952.033.005.217.415.357.454.13-12.394.033.272.28-3.092.141.981.67-8.45-1.541.461.741.591.481.871.371.611.831.881.781.301.382.912.041.943.075.014.649.855.814.932.961.890.17-4.01-1.95
1.301.682.703.534.936.004.138.386.996.562.436.436.495.322.792.561.932.171.112.373.506.138.766.288.844.83-14.554.663.752.64-3.612.482.301.96-9.93-1.791.772.121.941.822.061.501.782.032.111.991.451.543.272.292.093.305.364.9810.676.295.413.272.100.19-4.51-2.20
0.580.741.231.562.282.761.893.883.162.901.042.842.792.231.201.110.820.880.450.991.422.383.312.333.041.75-5.131.941.731.17-1.581.161.080.89-4.36-0.870.820.960.890.801.080.800.941.041.020.970.700.751.521.131.041.632.612.424.973.262.771.661.060.09-2.21-1.09
0.801.051.722.233.344.132.875.964.904.571.674.454.423.541.921.741.291.350.711.532.223.895.463.674.812.88-8.642.922.611.77-2.411.771.651.35-6.67-1.241.181.371.281.151.551.151.351.531.511.441.051.112.251.651.552.443.993.677.655.084.272.511.560.14-3.26-1.59
15.9515.9415.1515.4915.9315.3714.1413.4112.8912.6112.0611.9311.4610.8310.9210.6410.3610.1610.3010.3010.3310.059.6010.119.6110.519.9511.1311.7911.0810.7611.7111.4411.3911.0312.0912.2912.0612.4212.3613.0112.8612.7512.1811.6811.3911.3611.3911.0110.6210.2310.5210.479.849.089.418.368.258.158.057.857.99
0.400.582.612.571.690.923.372.220.750.233.142.131.200.392.171.300.860.242.041.460.940.551.670.710.240.292.531.570.830.281.971.420.640.141.671.040.610.091.931.270.640.201.931.180.620.161.841.240.590.142.231.761.020.562.871.760.920.351.560.960.370.29
-0.430.200.271.260.860.601.111.020.09-0.021.651.330.790.201.320.820.530.070.970.770.460.300.54-0.06-0.190.121.371.040.520.181.110.890.300.010.680.470.29-0.040.930.700.310.080.950.600.330.030.950.710.340.051.241.220.760.462.111.350.670.261.320.830.270.23