Walker & Dunlop Financial Ratios for Analysis 2009-2024 | WD

Fifteen years of historical annual and quarterly financial ratios and margins for Walker & Dunlop (WD).

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
---20713666.499.4120.2637.6017.377.1816.377.8311.026.31
0.440.420.630.700.540.620.570.780.850.760.580.770.600.690.65
0.780.721.702.351.151.611.353.505.723.191.363.301.482.211.86
51.2351.7552.0756.7457.6459.0159.3660.4660.5758.6058.1057.5466.4265.1563.75
13.1121.0527.9630.4828.1929.3532.8232.2928.9123.2620.9321.7237.1932.9532.23
19.6023.7728.5931.2629.9430.7534.1934.0131.0326.1222.1122.3637.7334.0434.12
41.1042.4445.2946.8648.4651.1452.9954.0752.4249.1346.8044.1952.5147.9648.68
13.1121.0527.9630.4828.1929.3532.8232.2928.9123.2620.9321.7237.1932.9544.53
9.9216.5020.4022.0420.5221.4628.4718.9317.5414.2513.0213.1522.886.7544.53
0.260.310.240.230.310.260.320.190.130.180.280.150.290.250.36
---------------
4.516.225.9416.4915.6714.3817.0719.5319.6415.5311.566.278.238.815.62
80.8558.6561.4622.1423.2925.3721.3818.6918.5923.5131.5758.1944.3241.4364.93
5.9112.1716.8320.5616.6217.7425.9918.5816.7811.8610.319.5621.306.6056.62
-42.12-50.13-102.89298123268380-2,703.65-719.02-270.05-347.24-126.3613744.58-303.72
2.555.165.105.296.485.799.593.742.352.563.682.006.671.6916.22
3.317.066.246.147.736.8111.054.132.502.834.382.228.592.0519.82
53.1253.0049.2438.9934.7030.7627.1520.8116.7113.6211.8510.527.525.824.88
-0.0248.4227.60-45.4113.882.0434.0224.87-43.26-21.5524.37-32.472.67-11.391.43
-0.5147.7527.31-45.5013.721.8933.8524.79-43.30-21.6324.24-32.652.50-11.431.42

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
---------------20741018853.981364.394.794.7066.498.486.995.639.4112.887.386.5920.266.9712.635.2637.607.856.619.5817.376.435.433.797.183.805.0814.3316.3711.926.565.627.832.977.833.4411.02----
0.510.480.430.440.470.550.510.420.660.530.500.630.690.620.530.700.760.660.610.540.610.630.640.620.720.620.540.570.830.720.710.780.740.820.610.850.760.740.800.760.720.700.610.580.560.600.600.770.800.690.600.600.430.750.430.69----
1.020.910.750.780.901.231.050.721.921.111.011.702.271.631.132.353.251.981.531.151.551.671.761.612.561.621.161.354.842.612.423.502.804.651.595.723.222.883.913.192.612.281.591.361.291.481.533.304.012.191.531.480.753.010.762.21----
50.2150.8451.1354.1249.2151.1050.3251.3050.2450.6054.8751.9550.8649.7557.1054.8753.6357.7161.7755.3056.1657.8761.7857.7456.8059.9262.5156.0256.3461.8364.5659.0158.4162.2963.6859.4459.1659.6364.2856.6057.2560.0762.1656.7357.7958.8859.1254.6454.1262.8466.1662.7165.9969.6768.2562.3575.3573.7153.40-
12.8310.426.0014.3510.5013.2114.4916.6817.1721.6028.1726.9827.3626.4032.6233.5527.9833.0425.7426.6927.9428.4429.9230.4027.4329.7229.7732.2230.4333.7035.4134.3031.4734.9725.6627.9127.6928.6531.5823.6024.9824.5418.3721.0017.2526.2317.8218.3716.8032.3427.6037.6728.9442.9637.4730.2231.8438.2332.61-
19.0717.0213.7421.1317.0419.4520.8920.9620.1223.4830.1827.6427.8727.0333.4134.0728.7033.8626.9628.2129.6630.3331.8731.8728.7531.0431.2433.3531.8535.1736.9235.6633.0836.6428.2829.9629.7530.8233.7925.8527.6227.6222.3422.2318.4127.1919.2219.2617.3532.6928.0938.0429.4843.4738.3430.2233.3839.3533.68-
------------------------------------------------------------
12.8310.426.0014.3510.5013.2114.4916.6817.1721.6028.1726.9827.3626.4032.6233.5527.9833.0425.7426.6927.9428.4429.9230.4027.4329.7229.7732.2230.4333.7035.4134.3031.4734.9725.6627.9127.6928.6531.5823.6024.9824.5418.3721.0017.2526.2317.8218.3716.8032.3427.6037.6728.9442.9637.4729.4831.8438.2332.61-
9.648.185.0811.227.799.8810.8714.2914.4315.4721.6118.9720.0319.2725.0123.0720.9123.8119.7819.1020.1020.4022.7920.5319.7122.2424.0643.6919.1320.7727.2717.8319.1421.6616.4016.8216.7717.6919.0114.4315.4115.1411.0213.1110.9416.0311.1710.9410.1219.8916.9723.1518.2226.2522.90-59.0731.8438.2332.61-
0.060.060.060.070.060.060.050.070.050.080.070.080.070.070.070.080.050.070.070.080.070.070.060.080.050.070.070.090.040.060.060.060.060.040.060.030.060.060.050.060.060.060.060.080.070.080.070.060.040.070.070.090.090.060.090.07----
------------------------------------------------------------
0.950.990.911.171.011.121.061.401.451.441.281.923.263.513.775.324.775.044.494.173.783.853.564.263.733.984.784.975.214.784.426.065.474.074.345.094.373.893.904.853.353.632.723.102.763.532.352.582.472.662.272.571.582.012.172.61----
94.6590.7298.8276.6288.8280.0284.7364.3561.8762.5270.2446.8627.6125.6523.8916.9218.8917.8720.0621.6123.8123.3525.2821.1124.1022.6318.8218.1117.2618.8220.3714.8616.4622.1020.7317.6820.6023.1423.0618.5726.8424.8233.0529.0532.5525.5038.2734.9136.5033.7939.6134.9956.9244.8241.4834.52----
1.641.170.621.661.221.481.602.192.753.254.315.055.194.334.666.954.775.694.564.124.404.374.755.014.174.704.4112.224.855.036.646.025.215.973.034.124.444.585.153.753.703.301.892.782.063.832.133.272.095.153.436.733.997.654.96-17.09----
-17.60-10.50-4.79-11.85-6.48-7.06-7.13-9.03-11.00-11.82-15.35-30.8863.8750.9880.2510190.9710264.7130.5736.1945.3666.0875.8036.9652.9747.85179901-312.92-110.29-875.25-195.96-150.42-224.23-176.55-71.43-45.49-56.50-85.34-259.09-67.05-22.52-93.70-48.91-58.57-21.07-43.19-34.1230.1421.2943.4129.4043.3533.73-115.42----
0.630.490.280.720.490.530.610.930.781.191.631.531.401.421.811.791.001.641.441.611.481.411.481.631.061.601.794.510.771.251.741.211.230.971.030.580.951.060.960.810.910.880.630.990.751.320.730.680.381.371.132.111.621.642.13-4.39----
0.810.610.360.930.640.660.781.270.941.542.151.871.591.642.192.071.121.911.801.921.721.641.721.921.171.792.045.190.831.391.941.341.371.061.170.611.051.181.050.891.031.010.731.180.901.540.840.760.421.611.362.712.281.912.82-5.32----
52.6252.3252.4553.1252.8152.7352.4853.0052.4051.5450.5349.2444.3741.6840.2038.9936.4235.9134.4034.7033.4632.1830.9630.7629.8228.7527.6127.1523.9222.7821.5420.8119.5018.3317.2416.7116.0015.1914.3013.6212.8312.3111.9511.8511.5211.2510.8010.5210.168.287.817.527.046.736.185.82----
-12.09-6.021.16-0.02-10.11-26.82-16.6648.42-14.3126.1229.8027.60-6.2624.2142.07-45.41-73.92-26.66-9.3913.88-3.02-5.18-4.412.04-34.72-8.075.6934.02-41.1113.0920.1224.8742.2311.3163.84-43.260.307.07-6.80-21.55-14.72-11.11-2.2124.3721.8418.6817.92-32.47-35.46-6.38-0.982.679.81-7.278.42-10.77-0.121.103.560.00
-12.36-6.231.06-0.51-10.53-27.11-16.7447.75-14.9025.7529.4427.31-6.4424.0842.01-45.50-73.98-26.71-9.4213.72-3.16-5.29-4.461.89-34.79-8.115.6733.85-41.2613.0320.1024.7942.1711.2963.83-43.300.267.04-6.81-21.63-14.75-11.13-2.2224.2421.7218.6217.88-32.65-35.64-6.55-1.072.509.73-7.308.41-10.81-0.151.073.55-