Distribution Solutions Financial Ratios for Analysis 2009-2024 | DSGR

Fifteen years of historical annual and quarterly financial ratios and margins for Distribution Solutions (DSGR).

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
2.722.821.101.461.871.611.642.232.382.231.651.512.202.432.19
0.480.440.36-0.02-0.060.110.120.130.130.130.02--
0.960.801.40-0.020.110.220.140.150.150.400.380.03--
35.1433.9525.0453.0653.2354.2159.8360.7761.3160.4059.8557.5458.8861.5061.49
2.743.632.205.842.452.633.25-0.530.77-1.74-2.18-16.55-1.925.340.47
2.743.632.205.842.452.633.25-0.530.77-1.74-2.18-16.55-1.925.340.47
6.947.726.048.304.034.595.462.393.871.331.18-3.60-0.127.332.62
-0.131.12-0.915.912.611.963.30-0.550.42-2.04-2.64-16.85-2.125.270.47
-0.570.64-0.974.301.951.789.70-0.590.11-1.53-1.90-22.87-1.542.19-0.91
1.010.951.061.371.811.771.602.042.072.071.691.581.351.341.25
3.222.882.942.673.103.032.412.552.422.542.362.602.232.592.68
7.366.926.466.798.398.467.238.148.937.737.797.875.977.497.63
49.6152.7256.5353.7843.5343.1550.4744.8540.8947.2446.8846.3861.1248.7447.82
-1.361.32-3.0512.356.696.2731.76-2.660.48-9.80-10.59-90.53-3.426.711.40
-114.34-56.7614.4121.989.669.4247.84-2.970.49-9.80-10.59-90.53-4.338.371.76
-0.580.61-1.035.903.533.1515.53-1.200.22-4.40-4.36-37.03-2.064.060.79
-0.710.74-1.9512.356.556.2729.71-2.370.43-8.50-9.17-78.55-3.346.711.40
14.1514.508.056.765.975.545.263.463.493.553.814.117.828.378.02
2.28-0.310.501.740.491.090.390.490.540.100.03-0.49-1.350.660.62
1.86-0.640.141.650.380.960.660.310.410.42-0.14-0.84-2.000.190.59

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.502.722.722.762.922.892.822.502.322.051.101.951.871.531.461.492.672.991.871.891.771.761.611.671.741.661.642.422.792.262.232.712.642.512.382.512.452.272.232.392.342.011.651.621.531.401.511.411.572.512.202.632.722.572.432.582.312.112.192.152.372.50
0.470.450.450.450.480.410.440.420.420.100.360.080.04---0.010.080.02----0.050.060.060.060.080.090.100.110.110.110.120.120.120.120.130.130.130.130.140.130.130.140.140.130.140.130.090.02-----0.04----0.09
0.930.860.860.860.960.720.800.760.750.111.400.080.04--0.270.010.090.020.020.080.120.110.160.220.260.220.090.100.150.140.120.130.170.150.130.140.150.150.150.190.340.400.420.500.450.380.440.370.100.03-----0.04----0.10
34.4734.4733.9833.1035.9938.1535.3634.3335.6526.534.7426.3725.1552.6953.0752.3153.1053.7452.8653.3653.1253.5653.4254.3454.3654.7258.2860.8160.1860.1560.1760.6561.3260.9160.1861.7061.9461.3561.0960.0860.7759.6560.2860.4159.4859.2463.2062.6251.1654.4161.9056.4557.3960.4762.2061.2560.7561.8457.4764.3058.7954.50
3.220.67-0.072.913.644.803.856.351.281.94-2.894.164.084.64-0.672.220.7920.47-5.136.801.696.074.74-2.566.152.180.301.4410.520.95-7.493.400.041.68-4.604.004.59-1.35-3.090.911.72-6.81-4.571.28-0.29-5.252.32-2.56-60.27-3.73-13.79-4.071.894.543.6210.433.483.64-3.274.323.19-8.61
3.220.67-0.072.913.644.803.856.351.281.94-2.894.164.084.64-0.672.220.7920.47-5.136.801.696.074.74-2.566.152.180.301.4410.520.95-7.493.400.041.68-4.604.004.59-1.35-3.090.911.72-6.81-4.571.28-0.29-5.252.32-2.56-60.27-3.73-13.79-4.071.894.543.6210.433.483.64-3.274.323.19-8.61
--------------------------------------------------------------
0.39-2.24-3.21-0.130.942.30-0.087.21-2.59-2.27-8.011.090.764.69-0.112.741.4019.13-4.816.641.896.373.26-2.654.992.23-0.202.3810.151.13-7.533.260.181.62-5.133.814.42-1.88-3.520.861.54-7.38-5.040.71-0.72-5.661.81-2.87-60.60-3.85-13.89-4.101.883.931.6610.293.265.82-3.894.313.38-8.37
0.43-1.26-4.03-0.360.801.70-0.574.76-1.47-1.65-6.870.930.343.470.231.930.8613.77-3.395.041.364.543.01-0.923.531.4625.101.759.701.15-6.902.600.251.46-5.683.464.14-1.96-3.800.621.11-4.27-4.400.880.58-4.802.88-1.94-87.58-2.37-9.51-2.871.272.45-0.644.202.103.11-0.151.791.94-5.99
0.270.270.260.280.240.280.270.280.260.570.310.520.550.390.380.360.370.460.430.460.460.450.440.450.470.450.420.510.550.550.500.520.520.520.490.520.530.520.510.540.520.470.410.420.400.380.350.370.390.330.260.340.370.350.340.350.320.300.370.330.370.37
0.900.870.850.940.740.800.800.870.821.461.081.441.590.810.740.690.620.750.750.810.810.790.760.790.810.760.660.680.700.690.630.670.630.620.590.630.640.610.610.670.640.640.570.610.590.500.490.460.620.590.400.740.710.640.640.570.420.380.880.380.490.55
1.861.881.901.841.582.021.982.011.912.451.872.222.491.821.891.681.801.892.001.921.911.852.091.821.931.931.911.841.951.971.981.951.971.982.101.931.921.881.901.871.921.831.901.861.751.581.721.621.761.601.161.611.911.801.891.621.391.322.261.511.781.75
48.2847.8647.4048.9156.8444.6345.5144.8747.1236.7448.1940.4836.0849.4547.5153.6849.9247.5344.9446.9447.1248.6443.1249.4546.7146.7447.2248.8346.2145.6845.4446.0645.6345.5642.8146.7046.7747.7547.3548.0046.9849.0747.3948.3851.4656.7952.2255.6751.1656.1877.6555.8447.1249.8847.5855.5264.9368.0239.8359.6050.5651.44
0.29-0.80-2.47-0.230.451.03-0.333.03-0.87-1.78-6.230.910.352.830.181.430.5210.74-2.784.231.203.892.62-0.833.281.3221.651.8210.291.38-7.592.770.271.60-6.023.704.60-2.27-4.850.711.24-6.87-5.410.270.01-5.331.20-2.26-88.23-1.35-4.15-1.540.751.420.084.011.061.61-0.082.021.40-4.45
-3.65-88.72-208.24-12.04-1,461.0811914.43-40.088.34-2.7729.481.490.594.890.322.630.7114.59-4.025.971.735.673.94-1.204.721.9632.611.9811.191.51-8.482.860.281.60-6.053.704.60-2.27-4.850.711.24-6.87-5.410.270.01-5.331.20-2.26-88.23-1.72-5.26-1.920.931.770.104.981.322.02-0.102.541.76-5.58
0.12-0.34-1.05-0.100.190.48-0.151.34-0.38-0.94-2.100.480.191.360.090.690.326.32-1.472.300.632.031.32-0.411.660.6510.590.885.290.63-3.431.360.130.76-2.771.792.18-1.03-2.170.330.58-2.95-2.230.110.01-2.020.49-0.85-34.64-0.78-2.50-0.980.480.880.052.470.600.90-0.051.080.74-2.22
0.15-0.44-1.36-0.130.230.61-0.191.75-0.51-1.60-3.990.840.342.830.181.430.519.85-2.734.231.203.892.62-0.793.091.2420.261.669.361.23-6.762.470.241.42-5.283.274.03-1.97-4.210.621.08-5.93-4.690.230.01-4.601.04-1.95-76.47-1.23-4.05-1.540.751.420.084.011.021.61-0.082.021.40-4.05
13.9613.9914.1514.4314.4813.5514.5014.0913.937.838.057.407.217.016.766.726.616.495.976.316.095.955.545.495.465.265.264.093.983.533.463.753.643.623.493.753.643.463.553.713.693.633.813.993.933.934.114.014.067.707.828.198.468.478.378.448.208.158.028.047.947.81
0.590.142.281.580.620.33-0.31-0.49-0.97-0.660.500.810.42-0.081.741.070.42-0.370.490.43-0.12-0.561.090.580.10-0.140.390.21-0.25-0.180.490.300.12-0.050.540.350.13-0.110.10-0.12-0.25-0.410.03-0.07-0.38-0.13-0.49-0.66-0.45-0.52-1.35-0.49-0.41-0.400.66-0.03-0.27-0.100.620.860.970.10
0.440.081.861.270.380.21-0.64-0.67-1.01-0.710.140.470.16-0.121.651.000.38-0.400.380.35-0.17-0.580.960.490.02-0.170.660.480.07-0.190.310.150.04-0.080.410.240.06-0.130.420.280.17-0.43-0.14-0.18-0.48-0.20-0.84-1.09-0.85-0.78-2.00-1.01-0.86-0.650.19-0.22-0.360.000.590.850.980.03