Wayfair Financial Ratios for Analysis 2012-2024 | W

Fifteen years of historical annual and quarterly financial ratios and margins for Wayfair (W).

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
202320222021202020192018201720162015201420132012
0.850.931.361.410.851.101.100.861.242.091.121.43
8.035.342.131.812.841.561.130.27----
-1.14-1.23-1.89-2.23-1.54-2.79-8.600.36----
30.5527.9628.4129.0723.5223.4123.7023.9024.0323.5924.4824.15
-6.77-11.33-0.692.55-10.19-6.98-4.99-5.80-3.62-11.20-1.75-3.56
-6.77-11.33-0.692.55-10.19-6.98-4.99-5.80-3.62-11.20-1.75-3.56
-3.23-8.231.715.51-7.41-4.83-3.02-4.16-2.17-9.54-0.32-2.01
-6.07-10.80-0.951.45-10.76-7.41-5.17-5.73-3.44-11.22-1.69-3.49
-6.15-10.89-0.961.31-10.79-7.44-5.18-5.75-3.44-11.39-4.47-5.53
3.463.413.003.103.093.593.894.443.242.374.673.67
11197.8014219311311212813985.8950.9146.2257.64
85.7444.9260.6512991.5313412417722722211938.12
4.268.136.022.843.992.722.932.061.611.653.069.57
27.2652.208.09-15.52104152506-244.85-31.93-48.478.1213.96
27.2652.208.09-15.52104151476-258.64-32.42-49.52-37.94-34.63
-21.24-37.18-2.874.05-33.36-26.66-20.16-25.52-11.15-26.66-7.91-12.87
-191.69-226.75-9.1412.61-192.39-85.26-66.62-179.50-31.93-48.47-31.05-32.39
-22.91-23.48-15.44-11.97-10.09-3.64-0.550.922.883.671.111.45
3.06-6.363.9414.31-2.140.950.390.741.610.080.830.10
1.76-8.112.9712.43-5.10-0.83-0.77-0.401.08-0.550.67-0.10

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302012-12-31
0.830.780.850.890.900.840.931.021.111.221.361.461.411.451.411.371.260.860.851.170.790.911.100.760.891.001.101.190.700.760.860.880.991.091.241.381.511.682.091.241.46-----
10.2311.468.036.436.327.985.344.153.362.662.132.012.021.921.812.041.663.892.841.914.872.771.562.431.681.431.130.990.870.530.270.210.16-------------
-1.11-1.10-1.14-1.18-1.19-1.14-1.23-1.32-1.42-1.60-1.89-1.99-1.98-2.08-2.23-1.96-2.53-1.35-1.54-2.10-1.26-1.57-2.79-1.70-2.47-3.30-8.601366.931.140.360.260.18-------------
30.1930.0130.3131.1531.0629.6028.8029.0127.2826.8327.0928.2929.2528.8429.0029.8830.6924.8522.7823.4223.8824.1924.0923.0323.2623.0623.0823.3924.0024.6524.2323.4123.9623.9623.7523.8024.5724.2324.0823.5123.1723.40-24.71--
-1.12-8.61-5.52-5.16-4.48-12.51-10.64-13.10-11.33-10.36-6.03-2.243.790.7514.77-5.736.97-11.25-12.06-11.26-7.31-9.96-6.44-8.52-5.76-7.34-4.71-6.17-3.34-5.85-4.44-7.15-6.19-5.63-2.16-3.14-3.96-6.42-17.74-7.10-7.88-10.10--1.55--
-1.12-8.61-5.52-5.16-4.48-12.51-10.64-13.10-11.33-10.36-6.03-2.243.790.7514.77-5.736.97-11.25-12.06-11.26-7.31-9.96-6.44-8.52-5.76-7.34-4.71-6.17-3.34-5.85-4.44-7.15-6.19-5.63-2.16-3.14-3.96-6.42-17.74-7.10-7.88-10.10--1.55--
----------------------------------------------
-1.28-8.98-5.49-5.47-1.39-12.73-11.03-9.93-11.48-10.62-6.37-2.373.500.461.184.486.37-12.21-12.99-11.80-7.73-10.27-7.09-8.87-6.07-7.66-5.07-6.36-3.44-5.86-4.46-7.08-6.09-5.47-2.09-2.62-3.92-6.38-17.73-7.16-7.91-10.05--1.28--
-1.35-9.09-5.59-5.54-1.45-12.80-11.32-9.96-11.51-10.66-6.21-2.503.400.520.654.516.36-12.27-13.05-11.80-7.76-10.30-7.14-8.90-6.09-7.67-5.06-6.38-3.46-5.88-4.46-7.07-6.13-5.51-2.09-2.61-3.93-6.39-14.22-8.59-9.47-12.62--3.25--
0.910.840.900.880.940.860.870.780.800.700.710.700.820.730.800.840.980.850.860.771.070.921.071.311.291.151.191.051.491.291.291.261.191.121.070.990.900.800.741.291.07-----
27.9023.5828.9325.6628.3923.5324.5319.5724.3727.3834.3633.5945.5541.5250.1249.6369.6430.9531.7125.7339.1133.7833.1236.7541.3631.2739.4749.3158.4050.0840.2134.3934.4031.9928.3520.0717.4016.0715.6712.1811.46-----
19.3624.1522.2422.3024.7715.3311.408.5510.6611.0914.3918.7529.8032.4933.3735.0236.1821.1325.4130.4630.3232.1039.8041.5947.5343.9237.9243.5447.0044.1451.5151.6255.5663.0574.6861.1169.6153.3368.6963.2644.45-----
4.653.734.054.043.635.877.8910.528.448.126.254.803.022.772.702.572.494.263.542.952.972.802.262.161.892.052.372.071.912.041.751.741.621.431.211.471.291.691.311.422.02-----
1.528.786.436.021.7112.9313.7611.9017.6216.7512.485.10-8.50-1.22-2.00-11.86-34.7824.4035.0239.8630.0541.8243.4948.6051.5384.73151-2,523.26-325.59-155.06-55.37-55.15-29.78-20.10-6.39-6.08-7.25-9.60-23.757.888.42-----
1.528.786.436.021.7112.9313.7611.9017.6216.7512.485.10-8.50-1.22-2.00-11.72-34.0124.0335.0238.7730.0341.7643.1648.1850.7782.6414121,412-469.96-173.90-58.49-57.50-30.40-20.45-6.49-6.17-7.41-9.82-24.26-28.96-21.91-----
-1.22-7.65-5.01-4.85-1.36-11.05-9.80-7.75-9.22-7.50-4.42-1.752.800.380.523.806.25-10.39-11.20-9.04-8.34-9.48-7.61-11.67-7.83-8.79-6.00-6.72-5.17-7.62-5.77-8.91-7.27-6.17-2.23-2.57-3.55-5.11-13.06-9.27-8.44-----
-14.05-91.85-45.19-32.67-9.07-90.33-59.80-37.43-41.58-27.74-14.10-5.138.701.131.6212.3522.81-70.47-64.58-36.10-116.44-73.94-24.33-69.45-35.00-36.84-19.82-18.47-41.07-72.48-40.59-43.71-25.15-20.10-6.39-6.08-7.25-9.60-23.75-26.50-20.28-----
-22.62-23.46-22.91-23.31-23.96-24.68-23.48-22.34-20.32-18.15-15.44-14.68-14.89-14.16-11.97-15.27-8.28-12.41-10.09-7.35-6.57-5.24-3.64-3.46-2.18-1.43-0.550.030.140.420.921.291.912.422.883.033.193.393.672.082.63-----
0.87-1.163.061.650.63-1.34-6.36-7.28-3.25-2.153.943.093.701.6514.3111.087.33-2.72-2.14-1.73-0.92-0.890.950.470.39-0.150.39-0.04-0.32-0.540.74-0.13-0.31-0.611.610.53-0.08-0.420.08-1.25-0.98-0.590.00-0.160.000.00
0.57-1.271.760.78-0.01-1.65-8.11-8.57-4.13-2.532.972.343.301.4312.439.746.45-3.36-5.10-3.72-2.17-1.56-0.83-0.76-0.30-0.39-0.77-0.91-0.85-0.67-0.40-1.09-1.03-0.891.080.10-0.38-0.57-0.55-2.02-1.58-0.87--0.26--