Broadridge Financial Solutions Financial Ratios for Analysis 2011-2026 | BR

Fifteen years of historical annual and quarterly financial ratios and margins for Broadridge Financial Solutions (BR).

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
0.981.080.581.010.980.991.301.281.331.861.691.821.721.890.96
0.510.610.500.660.680.510.570.490.520.460.430.350.390.380.13
1.221.551.521.982.151.331.300.961.100.970.740.550.640.620.66
31.0229.7229.4627.8928.4927.9128.2026.8524.9831.8032.1431.1427.2825.5425.37
17.2515.6315.4513.3113.5913.8014.9613.8112.8917.2717.3316.3513.308.7212.45
17.2515.6315.4513.3113.5913.8014.9613.8112.8917.2717.3316.3513.308.7212.45
24.4822.9822.4621.4420.2920.4120.9318.7117.2921.4421.2020.1617.1412.7215.78
15.3713.4813.1211.7713.9412.8013.9212.9611.7816.1916.2915.4613.308.7212.45
12.1910.7310.409.4410.9610.2111.059.887.8910.6110.6610.288.735.377.83
0.810.790.740.700.620.931.121.311.321.011.141.171.201.161.14
---------------
6.406.116.226.036.096.376.577.047.036.396.066.025.496.215.33
57.0759.7858.6660.5459.9657.3255.5651.8451.9457.1360.2260.6166.4358.7468.49
31.6232.2028.1428.0930.2634.3542.7539.1032.5529.4130.9427.3525.9914.7021.55
-37.61-26.76-23.46-20.40-16.41-50.73-51.91-65.36-50.91-187.27-120.43-1,077.87-255.54-171.70-200.94
9.828.477.666.606.749.4612.4212.9510.3810.7012.1212.0010.516.299.02
15.5212.6414.099.449.6116.9218.5619.9215.5215.8817.7517.7015.829.0918.64
22.6718.5818.9716.3615.5811.709.869.418.628.847.858.056.866.816.45
9.908.876.923.745.435.115.195.764.273.603.483.122.162.281.49
8.937.926.293.134.734.274.584.953.332.982.952.801.862.011.26

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
0.970.930.981.321.351.391.081.391.401.440.581.351.261.231.011.271.161.250.981.381.371.510.991.080.901.051.301.701.621.691.281.571.791.701.331.261.411.381.861.731.931.931.691.762.172.131.821.652.001.941.721.581.901.981.891.712.112.330.96
-0.510.510.590.620.620.610.610.640.640.500.670.700.680.660.700.700.700.680.520.550.560.510.580.560.540.570.480.520.480.490.510.530.550.520.550.520.490.460.480.440.440.430.410.350.350.350.370.380.380.390.400.400.400.380.410.430.440.13
-1.251.221.441.641.631.551.551.771.741.522.042.302.131.982.292.382.382.151.091.231.261.331.731.641.551.300.931.060.930.961.041.141.251.101.341.221.070.970.910.800.790.740.700.530.540.550.580.610.630.640.680.670.660.620.700.760.780.66
27.6326.5937.2731.7827.9024.4535.5531.2324.7524.8636.9730.8723.5722.8233.4429.7422.3223.3733.6230.8923.5522.6435.0730.1919.3923.3132.9930.8223.0124.0334.1425.1324.0421.5032.4923.3120.7019.8139.8429.3727.3026.2540.2928.6327.9526.8637.7829.4726.0327.0934.8126.1021.4121.3433.9123.0720.2619.6533.35
12.0311.8724.1419.0413.259.4522.6917.558.8510.3824.6917.438.356.8319.8316.045.478.6618.3717.227.537.7321.9318.112.777.7119.8919.078.2010.2920.1512.2011.439.2222.2510.876.597.3827.7414.6110.999.9228.1514.0310.2910.2725.8812.688.2012.7123.3711.745.015.7716.915.272.215.5023.35
-11.8724.1419.0413.259.4522.6917.558.8510.3824.6917.438.356.8319.8316.045.478.6618.3717.227.537.7321.9318.112.777.7119.8919.078.2010.2920.1512.2011.439.2222.2510.876.597.3827.7414.6110.999.9228.1514.0310.2910.2725.8812.688.2012.7123.3711.745.015.7716.915.272.215.5023.35
-----------------------------------------------------------
-13.4122.8317.1611.077.0521.1015.456.237.8922.7015.205.564.3218.5014.564.126.5621.9615.616.587.2321.6416.841.086.7319.0018.266.749.1819.5411.6810.228.0321.1510.545.125.7526.9313.569.598.6927.4712.918.989.0023.3212.688.2012.7123.3711.745.015.7716.915.272.215.5023.35
16.6110.4118.1213.428.965.6116.6212.385.006.3517.6312.064.453.9314.4011.513.755.6317.0011.875.346.4716.8713.351.045.8915.1314.065.237.8815.6610.186.135.4013.907.523.373.7617.459.256.295.6317.858.516.045.8515.838.385.308.1415.567.533.203.6910.423.051.423.5114.97
-0.190.240.220.190.180.240.210.180.180.220.200.160.160.210.180.160.150.190.270.220.210.280.250.220.220.310.340.280.290.400.310.310.290.430.310.300.300.340.270.270.260.390.280.270.270.400.280.270.290.430.300.270.270.400.270.250.250.41
-----------------------------------------------------------
-1.651.921.531.531.591.821.481.571.561.891.501.501.531.821.551.621.631.871.601.691.641.911.531.571.581.821.541.571.502.151.501.761.482.281.531.731.792.151.371.561.452.091.301.571.542.091.421.551.461.961.401.621.542.161.411.621.451.91
-54.5746.9458.8358.9156.6349.3360.7457.1557.6247.6759.9559.8858.9249.4657.9855.7055.0848.2056.4053.3254.7747.0158.6657.2356.9949.3458.2657.3460.1441.9259.9651.1060.7739.4258.9851.9850.2041.8765.8357.7362.1743.0369.0357.4258.4743.1663.2858.0961.4446.0264.3355.6958.3441.6963.9255.6462.0647.15
9.886.2814.0910.206.393.6214.919.423.404.3014.479.933.222.6512.939.692.703.8314.3910.383.934.6517.0513.880.904.8916.2613.604.456.2218.909.395.784.8118.648.053.053.2116.277.064.273.6217.886.013.533.3514.585.653.225.3016.505.632.022.329.812.260.872.1114.46
--7.18-16.77-10.12-5.45-3.10-12.39-8.54-2.59-3.32-12.06-8.48-2.27-1.99-9.39-6.03-1.49-2.06-7.81-24.24-6.91-7.76-25.18-14.99-0.88-6.22-19.74-41.19-8.65-15.50-31.59-19.49-10.65-8.19-29.15-10.80-4.71-5.84-103.59-25.24-17.87-14.32-69.59-42.39-212.88-560.36-574.59-54.74-36.17-45.96-162.17-33.72-12.54-14.35-114.56-12.70-4.09-10.07-134.85
3.291.994.382.931.731.003.922.600.881.133.942.350.710.623.042.110.580.843.213.181.161.394.703.400.231.324.724.781.492.276.263.131.911.555.942.341.011.155.922.521.711.467.012.371.651.566.402.391.422.336.672.260.851.004.200.900.360.876.06
-3.056.924.182.421.385.853.701.231.577.243.270.980.844.352.950.801.144.574.961.762.068.405.790.392.237.067.062.153.239.634.612.702.148.883.641.461.648.793.702.372.0210.263.532.302.179.443.572.003.2610.043.351.211.396.071.330.491.1912.51
-22.5822.6720.3319.0518.8718.5819.2117.5717.9718.9716.9815.1816.1716.3615.5814.9715.0815.5813.7112.3812.2311.7010.509.809.989.8610.939.7010.579.419.909.218.918.628.058.348.838.847.687.957.817.857.558.168.098.057.507.197.046.866.406.436.476.816.456.336.416.45
-0.369.903.980.94-1.068.872.811.07-0.526.920.79-0.68-1.723.74-0.12-0.80-1.145.431.610.71-0.385.111.330.10-0.745.191.840.69-0.805.762.271.18-0.784.271.34-0.05-0.723.601.320.35-0.203.481.250.570.143.121.500.73-0.042.160.580.59-0.122.280.810.690.181.49
-0.118.933.320.48-1.337.922.170.77-0.646.290.40-0.96-1.833.13-0.58-1.04-1.284.731.160.43-0.434.270.70-0.27-0.914.581.450.43-0.934.951.690.74-1.083.330.77-0.31-0.842.980.970.11-0.322.951.070.460.092.801.240.54-0.131.860.340.45-0.172.010.630.590.151.26