Wolfspeed Financial Ratios for Analysis 2009-2024 | WOLF

Fifteen years of historical annual and quarterly financial ratios and margins for Wolfspeed (WOLF).

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
2024202320222021202020192018201720162015201420132012201120102009
4.515.744.543.295.475.273.585.195.195.135.787.317.8010.3811.284.89
0.870.720.300.280.280.190.120.060.060.08------
7.002.580.420.400.380.230.140.070.070.08------
9.5932.0236.3731.3233.6745.2832.6531.6330.1329.0337.4937.7535.1644.1247.4037.36
-55.17-41.11-35.50-59.72-47.61-17.37-3.03-2.61-0.65-4.518.096.963.3717.0822.805.39
-55.17-41.11-35.50-59.72-47.61-17.37-3.03-2.61-0.65-4.518.096.963.3717.0822.805.39
-32.63-21.54-11.43-29.17-21.052.479.5517.609.536.5018.8518.7116.3429.6734.3322.74
-70.92-34.25-42.28-64.73-43.68-22.84-1.90-0.92-1.45-5.148.897.764.0918.0523.696.99
-107.06-43.49-35.12-99.68-40.73-69.70-30.27-12.72-1.33-3.967.506.273.8114.8317.565.35
0.100.120.150.150.150.190.350.290.580.550.490.450.420.400.390.40
1.661.811.602.172.561.574.111.853.724.133.624.384.003.134.064.51
5.464.873.785.145.964.1710.434.939.408.777.327.207.657.887.385.43
66.8874.8896.6671.0461.2687.5535.0074.0138.8141.6249.8850.7047.7246.3049.4667.28
-65.03-16.06-10.25-16.13-9.46-5.81-0.79-3.96-0.91-2.634.133.101.736.487.512.50
-114.95-21.03-12.79-21.11-12.49-9.02-1.24-6.63-1.49-4.216.064.742.837.999.473.80
-7.18-3.95-6.38-9.90-6.12-4.21-0.62-3.32-0.78-2.193.692.851.625.996.922.18
-8.13-4.49-7.21-11.57-6.85-4.72-0.69-3.72-0.85-2.434.133.101.736.487.512.50
6.9813.0019.7018.2919.1319.1520.4222.7623.4823.3324.8923.4622.0920.6318.7813.66
-5.77-1.15-1.28-1.12-0.271.951.742.242.001.602.602.422.102.282.392.00
-23.86-8.77-6.56-6.17-2.370.750.021.370.87-0.221.151.761.280.130.781.38

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
3.144.514.585.135.445.744.696.714.614.545.703.373.863.294.183.844.335.474.895.205.575.274.484.334.193.583.744.594.825.195.306.997.225.195.474.994.975.136.986.076.005.786.766.306.387.317.057.387.097.807.207.407.0910.3811.7010.7710.6611.2810.7711.0111.434.898.89
0.910.870.850.820.810.720.640.630.380.300.300.160.290.280.270.300.300.280.200.190.190.190.180.170.170.120.130.050.060.060.060.070.070.060.090.080.080.080.050.050.01----------------------
9.837.005.554.504.152.581.781.700.620.420.430.200.420.400.370.440.420.380.250.240.230.230.220.210.210.140.150.050.060.070.070.070.080.070.100.090.090.080.060.050.02----------------------
-18.591.2011.2113.3412.5128.9631.0532.6235.7469.3034.0432.9331.5530.0432.0532.5230.74-110.4536.2629.4930.5635.3136.6836.9035.8532.9633.2425.1727.8427.3025.2035.0329.6133.6729.7228.2228.0919.9330.5633.1131.7636.9537.0137.5338.5637.5338.1238.5536.7534.8534.9134.5636.4438.1541.7047.1448.6349.5347.9347.1643.6239.6336.11
-118.18-72.70-53.01-47.07-48.08-44.20-44.50-42.00-33.53-26.10-33.14-35.18-41.95-91.02-44.72-45.35-53.851,101-42.14-52.53-16.02-10.19-4.053.573.94-2.93-2.46-7.15-3.91-3.64-5.834.86-1.400.55-1.240.82-3.08-25.240.312.472.687.037.508.529.418.236.667.255.482.831.764.014.988.318.9821.5627.3525.9024.1623.0815.767.742.23
-118.18-72.70-53.01-47.07-48.08-44.20-44.50-42.00-33.53-26.10-33.14-35.18-41.95-91.02-44.72-45.35-53.851,101-42.14-52.53-16.02-10.19-4.053.573.94-2.93-2.46-7.15-3.91-3.64-5.834.86-1.400.55-1.240.82-3.08-25.240.312.472.687.037.508.529.418.236.667.255.482.831.764.014.988.318.9821.5627.3525.9024.1623.0815.767.742.23
---------------------------------------------------------------
-144.74-86.90-74.14-60.41-62.51-44.89-42.99-41.43-7.39-31.80-35.16-51.24-44.57-96.09-50.62-42.91-65.89704-55.05-48.38-15.36-12.42-7.121.570.40-4.67-6.900.12-4.21-1.12-2.943.67-1.450.77-1.042.85-9.05-28.940.102.883.367.938.279.3410.138.957.387.966.553.342.524.566.079.5710.0222.4328.0826.5825.0924.0616.808.983.65
-144.94-87.15-74.19-69.43-200.46-55.90-51.66-52.30-13.8359.56-35.37-55.86-44.76-101.23-79.32-65.35-159.65590-52.77-44.99-15.57-53.22-83.14-0.89-4.05-12.53-106.833.73-5.51-1.64-28.991.550.15-2.240.043.41-6.42-23.140.122.942.606.686.958.607.807.536.355.895.113.273.333.974.778.158.6119.3721.6219.9719.0716.9412.436.553.06
0.020.030.030.030.030.030.040.030.050.010.050.050.050.040.040.040.040.000.040.040.090.090.090.090.090.100.080.140.140.140.130.150.130.170.130.140.130.130.130.130.130.130.120.130.120.120.120.120.110.110.100.110.100.100.090.110.120.120.110.100.090.110.10
0.490.450.420.490.510.510.460.440.500.070.570.580.590.610.630.590.43-0.120.430.510.920.871.000.560.571.180.491.010.940.920.880.930.901.040.871.010.951.090.950.830.940.971.021.111.111.191.101.151.111.060.941.060.840.850.750.931.101.191.141.131.111.131.08
1.341.361.601.561.281.301.171.021.190.361.451.481.391.431.471.411.00-0.080.680.871.761.951.821.451.303.001.492.362.222.292.183.212.382.761.922.051.882.051.881.891.801.941.821.941.871.951.922.401.952.011.681.921.611.941.611.852.182.251.841.741.791.421.26
67.3566.3256.1057.5270.4969.0977.1588.1975.6525161.9060.7864.8963.1561.0963.7889.77-1,061.2013210351.0046.2549.5662.0469.0630.0360.3538.1240.5839.2241.3728.0337.8032.6146.8243.8847.9543.8447.8647.7049.8746.4549.3846.3048.1646.2046.9137.5746.2644.6753.5446.8255.9946.3955.7448.6041.2439.9848.9751.8550.3363.5471.33
-44.87-19.83-14.56-10.97-9.92-5.62-4.87-4.05-0.67-0.69-2.78-4.06-3.44-6.86-2.96-2.90-3.93-2.19-2.89-2.90-1.87-1.70-1.08-0.01-0.04-1.39-0.490.60-0.90-0.27-4.480.270.02-0.230.010.40-1.08-3.590.020.440.370.970.931.201.061.010.820.770.620.390.370.480.510.880.852.272.762.612.321.851.230.820.34
-114.72-35.05-23.28-16.45-14.34-7.36-6.76-5.54-0.87-0.86-3.49-5.12-4.54-8.98-3.81-3.98-5.72-2.89-4.56-4.53-2.90-2.63-1.67-0.02-0.07-2.18-0.970.98-1.49-0.44-7.560.400.04-0.370.010.66-1.79-5.760.030.680.551.431.361.781.601.541.281.231.010.640.610.800.861.081.052.833.453.282.972.401.631.240.49
-3.59-2.19-1.93-1.73-1.69-1.38-1.52-1.35-0.37-0.43-1.77-3.01-2.16-4.21-1.90-1.74-2.41-1.41-2.05-2.08-1.35-1.23-0.77-0.01-0.03-1.10-0.380.51-0.75-0.22-3.750.230.02-0.190.010.33-0.89-3.000.020.380.330.870.841.080.960.930.750.720.580.360.340.440.480.810.782.092.542.402.131.701.130.710.31
-4.15-2.48-2.22-1.99-1.93-1.57-1.75-1.50-0.41-0.48-1.95-3.40-2.43-4.92-2.17-2.02-2.77-1.58-2.31-2.34-1.51-1.38-0.88-0.01-0.03-1.22-0.430.57-0.84-0.25-4.190.250.02-0.210.010.37-0.99-3.320.020.420.370.970.931.201.061.010.820.770.620.390.370.480.510.880.852.272.762.612.321.851.230.820.34
4.966.988.139.149.9413.0013.7214.3116.9819.7019.3419.2517.5518.2919.4716.8617.3619.1317.9818.4818.8119.1519.7721.5721.4520.4220.5722.8622.6022.7622.7223.6123.5023.4823.4423.3923.1823.3324.4824.5424.8724.8924.8624.4123.9423.4622.9822.5922.2922.0921.9121.7321.5520.6320.3020.0219.3818.7817.9317.2716.5113.6613.42
-1.04-5.77-3.86-2.79-1.18-1.15-0.73-0.64-0.10-1.28-1.00-0.81-0.54-1.12-0.67-0.230.00-0.27-0.37-0.11-0.191.911.821.240.441.721.251.050.552.261.681.210.182.001.371.210.451.600.840.240.112.601.841.360.572.421.891.530.742.101.471.050.372.281.691.330.812.391.430.780.662.001.52
-4.49-23.86-16.81-11.16-4.71-8.77-4.93-2.51-0.96-6.56-5.31-4.21-2.77-6.17-4.16-2.56-1.03-2.37-1.89-1.02-0.580.740.930.630.140.02-0.020.210.181.381.100.86-0.010.870.440.43-0.03-0.22-0.58-0.74-0.411.150.880.690.291.761.421.270.631.280.820.600.070.13-0.020.180.250.780.260.200.441.381.06