Fiserv Financial Ratios for Analysis 2009-2024 | FI

Fifteen years of historical annual and quarterly financial ratios and margins for Fiserv (FI).

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
1.041.041.031.041.081.111.020.951.000.971.181.310.981.591.10
0.420.400.400.380.380.720.640.640.620.530.510.490.500.510.53
0.760.680.670.630.632.601.791.801.611.151.070.951.041.041.20
59.8354.9449.9147.4047.8847.3046.9146.2546.2543.1342.3342.2041.6242.2741.62
26.2621.0914.1012.4715.7930.1026.9026.2526.2523.8822.0423.6223.0824.3623.20
26.2621.0914.1012.4715.7930.1026.9026.2526.2523.8822.0423.6223.0824.3623.20
42.8239.1934.1234.4033.2539.6534.6933.9033.8231.8630.4131.5131.1332.5731.37
20.4216.4210.277.8810.6326.7023.8423.1623.1620.6718.6519.8616.8619.1918.00
16.0714.268.226.458.7720.3821.8816.8916.8914.8813.4613.7711.0012.0011.68
0.210.210.210.200.130.520.550.570.590.540.510.520.500.500.49
---------------
0.610.710.981.063.663.795.716.106.866.356.416.716.447.237.36
59851637134499.6896.2263.8959.8153.1857.5056.9454.3956.6850.5249.60
10.268.194.432.952.6451.7745.1136.6034.9622.8818.1317.3314.9515.6715.63
-17.47-14.59-7.47-5.24-4.79-21.38-25.99-19.94-21.08-19.25-17.23-19.53-14.57-16.72-14.12
3.443.081.841.311.1810.5411.979.559.968.106.836.975.706.115.65
5.924.922.681.831.6314.3916.1513.2713.3910.788.858.917.527.697.38
51.3650.0448.7349.5151.025.846.585.905.906.866.986.405.815.504.94
8.387.136.016.075.353.753.443.203.012.591.951.501.641.581.37
6.134.844.284.753.972.882.772.552.202.011.511.151.311.291.05

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
1.061.061.041.071.101.081.041.061.051.041.031.051.031.031.041.061.041.071.081.084.971.071.111.011.091.051.021.010.960.900.951.031.020.961.001.091.281.000.971.131.111.081.181.241.241.221.311.261.040.970.981.161.321.421.591.561.351.261.101.261.161.07
0.460.450.420.430.420.420.400.400.400.390.400.390.390.390.380.390.390.390.380.400.840.710.720.640.630.610.640.680.660.650.640.640.630.620.620.600.570.540.530.520.520.520.510.530.530.540.490.510.500.500.500.530.520.520.510.520.520.520.530.560.570.58
0.890.830.760.770.760.730.680.690.680.660.670.650.640.650.630.660.660.660.630.675.402.452.601.981.691.551.792.171.981.911.801.801.721.661.611.481.351.201.151.111.111.121.071.141.141.160.951.061.051.061.041.121.181.071.041.151.101.131.201.301.371.48
61.1958.9462.5461.1359.4455.9157.2455.8254.0752.3448.2550.7351.4449.2187.4750.664.8542.5047.8648.3148.0846.8747.0046.9547.9647.2966.8946.7126.1246.0546.8246.5946.6644.8549.7845.7045.3043.2942.8644.1843.8941.5744.5843.0543.2438.1943.3242.5542.4140.4743.8540.6441.4140.4643.1442.5442.6640.6742.4741.6341.0041.35
27.9624.1929.4130.8423.7820.5425.4618.9219.3320.4412.5215.2815.9012.6513.4714.324.7616.6911.8211.9625.4024.8327.7925.2125.2142.2228.0326.4326.8426.1826.2126.7426.5625.4728.6026.0525.1224.6324.0924.9424.5021.9623.5223.3122.7918.3225.0723.9423.6421.7924.7122.8623.5721.0924.7724.4924.5623.6124.1123.2923.4021.99
27.9624.1929.4130.8423.7820.5425.4618.9219.3320.4412.5215.2815.9012.6513.4714.324.7616.6911.8211.9625.4024.8327.7925.2125.2142.2228.0326.4326.8426.1826.2126.7426.5625.4728.6026.0525.1224.6324.0924.9424.5021.9623.5223.3122.7918.3225.0723.9423.6421.7924.7122.8623.5721.0924.7724.4924.5623.6124.1123.2923.4021.99
--------------------------------------------------------------
22.2818.7022.4324.8318.3615.6620.9214.4313.8916.299.3511.4811.608.528.7710.06-0.2312.266.878.1819.2517.1823.9821.5322.2539.1025.0723.2123.8123.1723.2723.7723.6221.9431.3822.9214.7921.4920.9721.6921.3118.6420.3519.9019.3714.7621.7519.6020.1517.8720.7516.3713.3316.7917.9019.7120.0619.1519.3018.0417.9016.72
17.5115.0517.6919.5414.3612.3816.8910.6513.4416.177.8210.286.648.107.836.970.0610.406.116.3314.7514.9818.4416.0817.6829.3836.0216.5715.9517.7215.0215.5115.5521.7125.1416.609.7813.9613.7518.9213.2513.6117.5013.2412.6010.1615.6312.5614.8112.0312.8511.958.4510.6910.7612.8812.4312.0011.1111.5914.0010.07
0.050.050.050.060.060.060.060.060.060.050.060.050.050.050.050.050.040.050.050.040.080.130.140.130.140.140.150.140.140.140.150.140.140.140.170.140.140.140.140.130.130.130.130.130.130.120.130.130.130.130.130.130.130.130.130.120.120.120.130.110.110.11
--------------------------------------------------------------
0.150.150.160.190.260.260.180.260.250.260.261.491.520.260.271.631.381.461.450.201.531.441.011.491.521.641.521.561.641.621.591.661.681.652.021.681.741.671.651.691.721.641.681.691.731.711.731.721.791.691.671.841.951.981.881.702.041.961.921.921.851.85
59761357246634634648734936135134960.3859.1634432955.2265.2561.6661.9045058.8762.5689.0760.4959.0754.8859.1957.7354.8755.5956.7354.1353.6254.4344.5853.6751.7354.0054.5753.3052.4354.8553.5253.2151.9152.6651.9652.2850.1753.3353.8549.0246.2345.3447.7653.0344.0345.8946.9547.0048.7848.56
3.162.562.913.212.261.872.531.591.912.131.121.380.870.980.950.850.031.130.700.678.769.4012.478.538.8114.2419.489.879.2410.198.468.338.0210.7715.307.604.045.535.496.904.784.886.144.654.393.354.624.304.984.114.574.033.143.633.694.154.173.944.234.264.063.91
-4.88-4.06-4.96-5.37-3.82-3.16-4.51-2.78-3.38-3.79-1.89-2.44-1.51-1.69-1.68-1.44-0.05-1.94-1.26-1.15-4.24-4.15-5.15-4.94-5.65-9.75-11.22-4.50-4.56-5.10-4.61-4.58-4.58-6.28-9.22-5.14-3.17-4.49-4.62-6.30-4.35-4.34-5.83-4.09-3.82-2.94-5.21-4.32-4.94-3.93-4.46-3.62-3.07-3.62-3.93-4.38-4.07-3.82-3.82-3.57-3.16-2.79
0.970.810.981.150.900.750.950.650.790.900.470.590.370.420.420.380.010.520.310.291.141.932.542.112.464.165.172.272.282.552.212.222.223.034.362.321.321.911.942.531.771.772.311.701.611.221.861.661.921.561.741.501.161.381.441.561.591.481.531.361.251.14
1.711.411.681.831.301.091.520.951.161.300.680.840.540.600.590.520.020.690.430.401.372.723.473.033.285.586.973.153.143.543.072.982.954.055.863.071.722.552.593.312.302.333.002.182.051.552.382.092.502.052.301.911.511.761.812.012.001.892.001.851.751.64
49.8850.2151.3650.2150.2749.7550.0448.7149.4749.4348.7348.9849.2248.8849.5148.3849.3449.3951.0249.596.496.105.846.647.027.236.585.635.675.695.905.905.996.025.906.256.686.776.867.066.986.846.986.696.606.566.406.096.005.855.815.605.455.465.505.405.205.114.944.734.584.35
3.711.408.385.843.241.797.134.632.771.246.014.022.991.406.074.352.821.285.352.711.450.933.752.381.470.883.442.371.601.063.202.341.521.123.012.011.250.712.591.911.120.561.951.290.740.411.500.990.690.421.641.190.720.481.581.080.710.421.371.030.630.37
2.400.696.134.152.151.254.842.851.940.744.282.802.261.064.753.342.100.933.971.990.920.692.881.741.070.702.771.881.280.882.551.841.200.962.201.400.830.532.011.460.830.431.510.970.530.301.150.730.510.311.310.940.550.381.290.870.570.351.050.790.480.30