Ziff Davis Financial Ratios for Analysis 2009-2024 | ZD

Fifteen years of historical annual and quarterly financial ratios and margins for Ziff Davis (ZD).

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
2.762.512.620.711.061.502.340.772.464.053.394.783.682.008.87
0.350.350.340.490.450.490.500.400.400.420.260.29---
0.530.530.551.301.100.980.980.850.670.720.350.41---
85.5485.9486.7384.6082.1783.3584.5983.1782.9482.3183.3281.9681.6482.7481.79
9.7214.3011.8111.948.4020.2321.9827.7527.6631.0833.6843.6641.1840.6942.54
9.7214.3011.8111.948.4020.2321.9827.7527.6631.0833.6843.6641.1840.6942.54
32.0834.0132.4535.6633.8636.6837.5542.8341.8642.6641.7950.1347.4546.7048.53
5.509.4324.806.765.2214.7117.8924.1921.7725.9027.4041.7141.5343.3239.82
3.044.5835.0613.0020.8310.5012.3117.4418.5420.7620.2432.1834.1832.5227.21
0.390.390.380.320.300.470.460.420.400.350.450.370.510.480.59
---------------
4.044.564.483.744.015.454.774.376.296.537.749.9617.3114.6620.59
90.3779.9681.5097.5091.0167.0076.4783.4558.0755.8747.1336.6421.0824.9017.73
2.193.4620.402.373.1212.4213.6716.6715.0115.2815.2220.4620.7019.2419.88
193-40.49-294.17-2.84-4.66-14.77-21.06-21.17-49.48-98.5042256764.7316630.96
1.201.8510.650.781.175.035.687.397.497.359.3212.2317.6215.5916.14
1.432.2613.361.201.726.286.8910.059.018.8711.2914.4920.7019.2419.88
41.0840.0441.4827.3127.5121.8121.3219.2818.5717.3015.3213.1911.879.597.60
6.897.1510.7910.198.418.205.435.894.763.764.193.713.252.102.26
4.554.908.428.246.977.054.625.374.403.523.793.603.102.062.18

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
1.431.911.952.762.542.472.512.512.342.122.762.620.860.780.780.711.051.102.121.060.840.941.251.501.752.172.222.342.791.670.800.772.592.662.572.463.023.853.724.055.595.853.223.393.413.583.694.787.103.343.313.683.743.192.852.007.417.765.108.878.216.755.35
0.330.350.350.350.360.350.350.350.360.370.380.340.450.480.480.490.480.460.540.450.510.510.490.490.490.490.490.500.500.510.390.400.400.390.400.400.410.410.420.420.420.430.250.260.270.280.290.290.30--------------
0.490.540.530.530.550.540.530.530.560.610.600.551.231.231.241.301.251.161.171.101.061.040.960.980.970.980.970.981.021.300.890.850.670.650.660.670.690.700.730.720.740.740.340.350.360.380.400.410.43--------------
84.9483.6185.0387.5383.7285.4585.1187.1884.6186.3685.3788.8186.0185.7185.9395.2084.3682.8482.2182.9382.0781.3182.9983.8383.1983.4182.8485.4784.5184.2083.9884.0382.3983.2082.9083.1082.8483.2582.5282.6581.6782.3482.5683.9382.9483.9682.1981.7182.5281.9181.6982.7782.5682.3178.4882.1182.9083.0782.9782.8081.7881.4381.14
-8.298.9111.4020.70-3.9111.938.5723.568.4913.609.7020.9012.672.958.63-48.6621.6922.0716.62-93.5917.2517.5616.9625.0519.4918.8916.4524.0923.0121.4418.8427.0729.5727.8326.6025.9031.1928.4425.1331.8930.3730.9831.0036.6030.7637.2129.0341.4145.3444.7443.4045.2542.3644.2931.4337.0743.3942.2340.5839.0143.1544.1343.82
-8.298.9111.4020.70-3.9111.938.5723.568.4913.609.7020.9012.672.958.63-48.6621.6922.0716.62-93.5917.2517.5616.9625.0519.4918.8916.4524.0923.0121.4418.8427.0729.5727.8326.6025.9031.1928.4425.1331.8930.3730.9831.0036.6030.7637.2129.0341.4145.3444.7443.4045.2542.3644.2931.4337.0743.3942.2340.5839.0143.1544.1343.82
---------------------------------------------------------------
-10.1710.946.2019.51-7.547.270.3123.0811.55-8.989.6589.401.70-8.102.45-53.4724.0718.101.98-69.8711.9812.3010.8820.9713.8813.379.2326.0915.1714.8913.8423.1129.2223.0721.4420.7224.8422.2119.2325.5923.5927.1827.5523.1127.1833.8124.8836.9142.3945.6442.5746.3142.7044.6430.9944.0644.1743.9740.8942.3543.1829.9144.06
-13.7411.513.3816.27-9.085.12-2.4817.015.32-13.767.7988.2211.994.6125.0042.1417.0311.46-1.931488.7910.1110.6814.2010.359.896.7215.3311.6711.4910.1417.7821.3515.7114.7318.1020.5721.7413.3420.1218.4423.7320.9714.5221.4325.1019.8128.4533.9434.3532.4333.2429.1833.2842.1637.8331.5930.5229.2629.0631.2817.8330.89
0.100.090.080.110.100.090.090.110.100.100.090.110.090.090.080.040.110.100.100.020.120.110.110.140.120.120.110.130.120.110.120.120.120.120.110.110.100.100.100.100.090.090.110.120.110.130.110.100.100.140.140.130.140.140.130.130.130.140.140.150.160.170.17
---------------------------------------------------------------
0.750.710.701.151.171.141.111.301.471.391.201.291.321.371.290.451.851.761.620.321.691.851.701.561.661.601.611.351.461.501.481.261.831.992.041.791.842.021.951.822.042.042.112.051.992.272.022.743.684.424.354.464.854.994.164.084.775.485.185.114.604.494.27
12012612877.9576.9378.9381.3969.1461.1564.9175.3169.6768.0065.6670.0120148.6151.2255.4528153.3248.6153.0457.6454.3556.1855.9466.6261.6759.8160.8171.4349.0845.2044.1450.3949.0444.6446.0949.3844.1244.0442.7243.8445.2739.6544.4932.8924.4520.3620.6820.1818.5418.0421.6322.0818.8816.4117.3817.6219.5720.0321.06
-2.771.970.563.35-1.720.90-0.403.661.01-2.591.3219.260.49-1.783.04-5.285.183.02-0.52-4.192.843.043.074.892.942.761.834.893.303.282.784.725.073.683.303.984.294.582.683.993.584.423.953.004.095.583.735.095.575.745.285.384.795.666.606.224.955.004.965.276.133.846.91
16.68-25.96-8.6329529.93-12.015.59-42.79-6.3913.43-10.39-277.68-0.601.89-3.296.32-6.44-4.410.696.25-2.68-3.02-3.72-5.81-4.01-4.05-2.62-7.53-5.79-4.81-3.66-5.99-16.20-12.66-10.56-13.13-14.00-27.59-11.91-25.74432145-2,497.1483.0976.03305-152.9914118.2920.4719.4916.8216.6622.9535.5653.808.177.907.898.209.826.5312.45
-1.421.010.291.83-0.920.48-0.221.960.53-1.310.6710.050.18-0.621.05-1.741.821.11-0.19-1.571.061.161.231.981.221.150.772.031.401.241.232.092.581.881.691.992.122.251.291.921.752.142.441.832.433.262.193.043.424.804.474.584.004.695.435.044.184.224.024.284.923.055.38
-1.861.290.372.19-1.100.58-0.262.390.65-1.640.8212.610.27-0.931.58-2.672.701.63-0.24-2.311.381.491.572.471.491.400.932.471.631.611.682.853.042.231.992.392.542.691.552.322.062.532.952.223.004.042.663.613.895.745.285.384.795.666.606.224.955.004.965.276.133.846.91
41.0041.7941.2341.0839.2340.1440.0740.0438.0138.0239.7341.4828.6328.9528.6627.3126.2826.9426.3427.5122.7922.4422.1721.8121.7621.4721.5321.3220.5920.0819.5919.2819.0119.0918.9118.5718.2617.8217.1817.3017.1416.9615.6015.3214.7214.1413.4713.1912.6112.0911.8411.8711.4111.0810.379.598.958.388.027.607.136.606.19
5.282.491.646.894.953.312.457.156.264.102.2210.798.866.503.8210.197.695.092.148.416.304.322.418.205.974.192.135.433.692.281.055.894.052.741.344.763.102.040.963.762.801.950.804.192.912.370.883.712.721.870.833.252.351.720.822.101.611.030.762.261.721.140.70
3.471.431.034.553.162.131.824.904.532.951.648.427.065.343.268.246.164.041.586.975.303.692.157.055.063.611.864.623.081.890.855.373.692.551.254.402.851.890.903.522.651.870.733.792.672.240.833.602.641.810.813.102.241.670.812.061.591.010.762.181.711.120.68