Verizon Financial Ratios for Analysis 2009-2024 | VZ

Fifteen years of historical annual and quarterly financial ratios and margins for Verizon (VZ).

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
0.690.750.781.380.840.910.910.870.641.052.620.791.010.730.75
0.590.600.630.640.620.610.720.810.850.890.480.360.370.340.40
1.611.631.811.861.771.662.624.506.158.280.980.610.640.610.74
59.0356.7957.8660.0958.5057.5857.9058.1760.0760.7162.7660.0558.6258.5758.65
17.0822.2724.2922.4523.0417.0221.7623.2225.1215.4226.5211.3611.6213.7414.82
17.0822.2724.2922.4523.0417.0221.7623.2225.1215.4226.5211.3611.6213.7414.82
30.2334.7636.4135.4835.6930.3235.2135.8637.2928.4340.2925.5726.4929.1430.16
12.6820.6622.0218.6817.2415.0016.3416.6621.4612.0224.298.549.4511.9012.54
8.6715.5316.5113.8814.6111.8723.8810.4213.587.579.540.762.172.394.54
0.350.360.360.410.450.490.490.520.540.550.440.510.480.480.48
26.6824.7618.4328.5138.4941.5551.3243.8441.9843.3144.0143.0548.8039.0431.26
5.345.585.605.365.195.215.367.199.789.089.699.219.429.058.57
68.3465.3765.1468.0570.3970.0168.0450.7437.3240.1937.6639.6238.7740.3542.57
12.8923.5227.1926.4931.4929.3268.3656.6210387.4224.6812.3411.8711.7613.79
-12.63-22.31-21.60-28.77-29.93-21.73-36.74-13.78-18.08-12.86-218.74-47.38-61.52-73.49-67.60
3.185.736.175.806.786.0611.885.577.535.148.594.694.434.645.11
5.229.339.989.5312.1011.3419.3010.5115.189.6312.727.937.497.738.33
22.3122.0219.8216.7415.1913.2410.955.904.383.2933.3429.9230.3130.7429.67
8.898.839.5310.088.638.315.955.319.547.6913.5111.0010.4911.7811.05
4.443.344.645.694.304.281.731.135.193.387.735.354.775.975.11

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
0.660.630.710.690.680.730.750.750.750.760.760.780.970.891.021.381.070.960.990.840.890.870.870.910.970.960.980.911.071.041.020.870.850.610.710.640.630.700.801.050.920.860.922.622.430.750.800.790.961.031.031.010.800.820.910.730.740.660.800.750.810.810.62
0.570.560.590.590.580.590.600.600.600.610.620.630.650.660.670.640.620.620.630.620.630.640.650.610.650.670.680.720.800.810.820.810.820.820.840.850.880.890.910.890.860.870.890.480.500.320.320.360.330.340.350.370.350.350.360.340.360.370.390.400.400.420.41
1.541.531.581.611.491.581.621.631.671.711.801.811.922.022.181.861.741.761.911.771.821.961.981.662.012.142.272.624.134.394.664.504.854.815.476.157.728.8310.548.286.086.877.930.981.100.570.600.610.570.580.580.640.630.600.690.610.630.680.730.740.740.780.86
60.2861.9760.9756.7859.6960.8458.9755.2957.3657.3257.2355.9858.9057.7858.8657.2860.9061.4161.1055.0559.3160.3359.5755.4059.1257.6758.2854.1859.0959.1359.5951.6460.4759.9760.8057.0659.8761.3762.1856.6161.2161.6163.6961.4963.8062.9662.8456.5062.1161.8459.9257.4859.1759.4858.4059.8059.7154.3760.4252.7759.6760.9861.24
17.7823.8422.801.7122.4222.1523.0420.5023.0522.3523.2322.3327.0524.1823.6420.7024.3424.1820.8119.0924.8724.4823.991.8623.5420.5523.1316.0822.0326.2323.3531.5821.1414.9224.6928.4522.7224.2724.89-6.4421.8124.4123.2338.8323.5422.0121.15-10.5518.9019.7918.39-3.9116.6517.7716.5024.2912.771.5316.5010.6314.6216.4517.65
17.7823.8422.801.7122.4222.1523.0420.5023.0522.3523.2322.3327.0524.1823.6420.7024.3424.1820.8119.0924.8724.4823.991.8623.5420.5523.1316.0822.0326.2323.3531.5821.1414.9224.6928.4522.7224.2724.89-6.4421.8124.4123.2338.8323.5422.0121.15-10.5518.9019.7918.39-3.9116.6517.7716.5024.2912.771.5316.5010.6314.6216.4517.65
---------------------------------------------------------------
12.9118.4018.42-5.1718.5718.7519.7525.0019.0420.2918.1318.0425.4423.1721.5418.0218.5520.3217.9610.6721.0516.5621.133.9920.4717.1619.058.6417.3822.8117.3821.4918.025.5521.0325.0419.2020.5720.85-11.7117.9120.7922.5634.6421.8420.7719.44-15.7616.9717.7916.40-6.3414.6815.6414.3822.7310.86-0.4914.648.6312.6914.0414.85
9.9214.0013.95-7.7014.2814.2614.9218.6614.3115.3913.6513.5419.4717.1815.9613.2313.8115.4413.1514.6515.7912.3015.665.6615.1012.7914.3154.9811.4114.2811.5713.9011.702.3013.4015.7412.1813.1313.19-6.7211.7013.3912.8116.317.377.546.63-14.085.496.395.97-7.114.945.845.3310.002.49-4.451.652.184.315.526.19
0.090.090.090.090.090.090.090.090.090.090.090.090.090.100.100.110.110.100.110.120.120.110.110.130.120.120.120.130.120.120.120.130.130.130.130.140.140.130.140.140.140.140.140.110.110.130.130.130.130.130.130.120.120.120.120.120.120.120.120.120.120.120.12
5.256.776.207.386.006.735.676.604.663.963.924.915.8710.0310.388.258.479.117.5310.998.7010.909.1711.4510.5012.3710.3215.0510.1711.1910.0913.019.2813.1311.0411.7510.0910.8311.2412.4910.1611.2612.7011.739.1910.6113.7012.168.9912.7310.6512.869.898.799.029.3810.5712.409.578.974.313.784.70
1.281.281.301.401.411.411.441.441.451.411.421.431.481.591.461.451.391.341.331.371.331.291.311.371.361.391.411.451.471.551.771.852.092.302.582.552.532.402.522.372.382.432.542.502.502.442.492.392.412.462.512.412.402.402.452.242.212.222.252.152.182.212.22
70.0870.2769.0964.2763.7264.0262.5062.5762.2163.6863.3463.0060.6956.6661.6362.0564.5367.0267.7565.8167.6269.9568.5465.9066.2864.5664.0062.2761.1558.2550.9048.7443.1539.1934.9335.3635.5737.5535.7337.9437.8537.0735.4336.0436.0036.9136.1437.6737.3336.5535.8037.2737.5637.5336.7740.1740.6940.5340.0341.7741.2340.7840.58
3.494.824.93-2.744.934.945.337.245.666.085.535.698.357.927.406.816.777.556.958.308.857.038.983.779.037.938.9142.0313.1316.7314.1919.1417.054.0122.0430.9028.6833.8140.32-15.7121.1227.0043.228.306.185.965.54-2.254.634.744.42-0.254.053.973.675.353.190.652.742.793.413.823.98
-3.69-5.10-5.022.69-5.09-5.04-5.22-6.87-5.01-5.25-4.58-4.52-6.61-5.90-5.12-7.40-7.06-7.34-6.64-7.89-7.85-5.78-7.27-2.80-6.59-5.35-5.80-22.59-3.77-4.44-3.58-4.66-3.78-0.84-4.42-5.42-3.96-4.07-4.152.31-4.33-4.82-6.70-73.53-34.20-27.68-26.958.64-28.92-35.47-27.741.28-23.39-30.38-27.58-33.43-16.92-3.30-13.98-13.66-17.54-17.26-15.93
0.891.241.24-0.681.271.251.331.761.341.441.291.291.851.701.561.491.521.651.461.791.871.441.820.781.911.611.767.301.471.771.441.881.560.361.812.261.721.811.84-0.921.681.932.702.892.022.332.15-0.861.861.901.75-0.091.551.611.432.111.220.241.021.031.281.401.42
1.512.102.04-1.112.092.032.142.872.272.382.092.092.952.702.422.452.552.842.553.193.292.513.181.463.112.612.8311.862.603.132.583.553.000.733.584.553.493.563.62-1.733.023.504.934.283.084.033.75-1.453.093.132.85-0.162.652.602.363.522.040.411.671.682.032.222.36
23.2023.1722.7422.3123.5722.9522.4122.0221.1420.8020.2819.8218.9618.1417.5616.7416.0815.4914.9015.1914.5814.0113.8913.2413.5712.9712.6710.956.976.566.145.905.395.094.934.383.573.172.643.294.333.863.3433.3431.5430.4630.6129.9232.4631.7431.1230.3130.9132.0531.4130.7429.9429.8829.9529.6729.7829.1628.36
6.273.931.688.896.834.281.978.836.714.201.629.537.524.932.3410.087.845.692.138.636.463.831.718.316.343.971.625.954.032.280.345.314.343.161.849.546.974.632.477.695.573.562.0813.519.885.972.6211.008.645.342.0910.497.584.511.7811.788.875.952.5011.058.144.982.33
3.422.010.644.443.471.890.553.342.951.710.244.644.182.831.265.694.423.310.864.303.481.900.684.283.432.080.511.731.270.56-0.411.131.551.381.015.193.902.631.583.382.531.520.877.735.773.321.375.354.692.740.844.773.161.370.245.974.723.251.295.113.762.131.03