Broadcom Financial Ratios for Analysis 2011-2026 | AVGO

Fifteen years of historical annual and quarterly financial ratios and margins for Broadcom (AVGO).

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
202520242023202220212020201920182017201620152014201320122011
1.711.172.822.622.641.871.443.906.262.313.363.774.394.893.98
0.430.490.610.630.610.630.550.400.430.380.450.63-0.000.00
0.801.001.641.741.591.721.320.660.760.620.821.70-0.000.00
67.7763.0368.9366.5561.3656.5855.2451.4848.2544.8652.0743.9747.5448.3149.10
39.8926.1045.2542.8431.0316.8015.2424.6313.44-3.0923.9210.2621.9024.6225.00
39.8926.1045.2542.8431.0316.8015.2424.6313.44-3.0923.9210.2621.9024.6225.00
53.6245.5155.9557.8553.0445.7140.9444.2140.3020.1638.3425.2329.3731.1831.76
35.5819.2342.1537.4524.6410.239.8521.8010.35-8.3621.508.0122.5424.7524.02
36.2011.4339.3133.8023.4511.1511.9358.809.59-13.1319.996.1621.9023.8223.63
0.370.310.490.450.360.310.330.420.320.270.650.410.740.830.96
9.0710.835.865.778.1810.3411.579.006.315.216.244.614.646.306.13
8.9411.6811.3611.2213.2510.406.936.277.206.076.705.466.036.937.12
40.8231.2532.1432.5227.5435.1052.6458.2150.6660.1354.5066.8660.5452.6551.25
28.459.1158.7050.6226.9912.4010.9747.387.72-8.0029.519.5319.1323.2727.52
-47.41-8.71-59.84-41.03-22.56-8.14-9.33-114.62-14.499.76-586.92-15.6927.5630.9941.50
13.523.7219.3315.698.913.904.0525.203.29-3.5013.232.9516.1619.6722.57
16.144.6022.8618.6110.464.624.9828.604.41-4.9916.293.5519.1323.2527.46
17.1514.445.805.436.045.876.276.535.675.491.711.281.160.990.82
5.674.184.233.953.212.862.312.061.560.890.820.440.290.280.29
5.554.064.133.853.112.752.231.971.410.700.650.290.190.180.24

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
2026-01-312025-10-312025-07-312025-04-302025-01-312024-10-312024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-31
1.901.711.501.081.001.171.041.251.342.822.502.382.522.622.322.142.442.642.412.212.141.872.042.151.561.441.321.261.273.903.985.875.706.264.484.133.462.312.222.524.613.363.334.504.853.774.094.895.114.394.325.516.184.894.624.244.373.983.95
-0.430.460.470.470.490.500.510.510.610.630.630.620.630.650.650.630.610.620.630.630.630.650.650.640.550.610.610.590.400.390.350.380.430.370.380.380.380.370.390.430.450.480.540.600.630.64-0.00-0.000.000.000.000.000.000.000.000.00
-0.800.880.970.951.001.071.061.081.641.781.791.691.741.891.881.721.591.661.691.751.721.871.921.841.321.751.691.620.660.640.550.600.760.600.610.620.620.610.660.770.820.931.211.521.701.78-0.00-0.000.000.000.000.000.000.000.000.00
68.1367.9967.1067.9668.0164.0563.9262.2761.6668.9369.4570.0267.3566.3667.1267.1265.5262.6261.9261.3859.3857.9456.9755.5455.7254.5755.0155.9955.4253.9151.7350.8849.3349.1948.1547.1648.3552.4946.9929.5453.1354.1850.9552.4250.5249.5630.9750.9347.8146.8847.2148.4047.9248.3848.6848.1847.9648.8049.25
44.3441.6836.9038.8541.9732.9228.9823.7417.4145.6243.4445.8946.0244.6444.1541.8940.3334.8531.3729.8827.6023.6017.3213.3412.1918.2515.6817.589.5930.3526.4523.9517.7015.3414.5211.3112.239.21-6.96-28.2726.8227.9317.2325.9024.5318.93-12.7722.8219.6123.0421.7421.0021.5326.5424.5923.7423.4525.5224.05
-41.6836.9038.8541.9732.9228.9823.7417.4145.6243.4445.8946.0244.6444.1541.8940.3334.8531.3729.8827.6023.6017.3213.3412.1918.2515.6817.589.5930.3526.4523.9517.7015.3414.5211.3112.239.21-6.96-28.2726.8227.9317.2325.9024.5318.93-12.7722.8219.6123.0421.7421.0021.5326.5424.5923.7423.4525.5224.05
-----------------------------------------------------------
-38.1333.1333.8936.8126.7821.4716.0611.2242.6840.2742.5543.0740.5439.4334.4334.8729.2825.4622.4820.8017.5810.197.125.1912.939.8611.914.8026.1224.2721.9214.9213.3212.288.716.455.68-11.08-37.1622.2526.3615.3922.5521.4716.54-17.2622.6819.6124.3922.3621.0021.8826.7024.7524.2623.0925.5224.05
38.0647.2825.9533.0936.8930.77-14.3416.9911.0837.9137.2139.8642.3337.0835.4331.0431.1225.8426.5921.4419.5919.3310.558.505.3114.1612.9612.528.1420.4823.6274.1511710.9810.7810.505.77-15.28-7.86-33.4921.2923.3213.8321.3121.478.49-12.9222.5418.9023.3122.0520.1121.7025.7323.9323.2222.2024.7223.88
-0.110.100.090.090.080.080.070.070.130.120.120.120.120.120.110.110.100.090.090.090.090.070.070.070.090.080.080.080.110.100.090.100.090.090.080.080.080.080.070.160.180.170.150.150.150.120.190.200.220.200.180.200.220.220.220.230.250.27
-2.542.412.382.502.872.492.562.391.521.471.391.531.561.511.601.752.132.232.542.842.712.322.682.753.002.272.352.402.232.011.992.091.701.621.691.601.401.541.701.691.611.681.571.621.551.821.141.291.381.201.271.441.641.441.371.521.641.53
-2.522.462.703.013.182.802.272.412.953.052.882.763.023.132.633.043.583.032.732.642.822.171.791.601.771.561.581.571.641.681.822.171.981.852.022.131.901.741.911.671.812.142.132.282.032.152.202.201.771.762.072.171.811.842.111.831.902.12
-35.7036.6433.3729.9028.2832.1239.6437.3930.5429.5531.2432.6529.8128.7934.2429.6525.1629.6633.0234.1331.9741.5050.3356.0950.7857.7556.8457.1754.9753.5149.3441.5545.4848.7444.5342.3447.4651.7647.2053.8749.8441.9742.2739.5244.2641.8440.9641.0050.9851.0143.4041.5649.6649.0142.7449.2447.3842.54
9.2010.485.657.147.896.21-2.183.031.8114.6914.9615.8216.1914.7914.7312.3610.767.977.716.245.755.552.922.371.563.403.333.132.074.184.3611.6522.632.402.242.091.17-2.77-1.35-5.357.369.975.708.359.324.22-3.875.014.485.965.214.334.966.576.336.186.137.687.70
--17.46-7.03-7.68-8.25-5.941.90-2.89-1.71-14.98-12.61-12.87-14.23-11.99-9.95-8.12-8.05-6.66-5.89-4.45-3.95-3.64-1.80-1.44-0.94-2.89-2.10-2.00-1.38-10.12-10.82-51.98-59.89-4.50-3.65-3.04-1.533.381.676.42109-198.31-26.61-41.60-23.92-6.956.066.816.288.597.815.606.468.758.698.769.0411.5812.27
4.334.982.503.023.332.54-0.851.210.724.844.614.865.174.594.313.613.382.632.471.981.791.740.870.700.471.251.020.980.672.222.386.8012.071.021.020.940.52-1.21-0.61-2.373.504.472.443.223.161.31-1.174.303.865.044.433.724.325.565.345.135.116.306.34
-5.953.043.784.213.14-1.081.500.895.725.485.786.145.445.124.313.983.092.912.332.122.071.030.820.571.541.291.230.842.532.667.5414.141.371.401.300.72-1.73-0.84-3.254.185.502.983.803.721.57-1.405.014.485.965.214.324.966.576.336.186.127.667.68
-17.1515.5214.8014.8414.4414.0615.0515.185.805.355.325.595.435.155.165.606.045.915.845.885.875.835.966.116.275.405.565.866.536.657.357.095.675.575.505.505.495.685.771.841.711.561.561.421.281.231.251.201.161.101.061.020.990.940.890.840.820.76
-5.674.082.621.264.183.081.961.034.233.112.000.943.952.831.820.813.212.381.560.732.862.061.330.552.311.731.140.512.061.420.890.401.561.030.660.310.890.490.260.160.820.600.400.170.440.320.190.090.290.200.150.070.280.190.140.060.290.21
-5.554.002.571.244.062.991.901.014.133.021.950.923.852.761.780.793.112.301.500.702.751.981.270.532.231.671.080.491.971.350.850.401.410.840.530.230.700.370.190.120.650.460.310.120.290.230.140.070.190.130.100.050.180.120.100.040.240.18