Entegris Financial Ratios for Analysis 2011-2026 | ENTG

Fifteen years of historical annual and quarterly financial ratios and margins for Entegris (ENTG).

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
3.353.083.853.063.474.083.533.823.633.064.042.926.276.215.43
0.480.520.570.640.350.440.440.480.370.350.430.47---
0.941.081.351.800.550.790.800.930.680.650.821.02---
44.4245.8742.5042.5546.0945.7044.7346.4345.3643.2843.4939.1542.4342.9443.50
14.2616.4714.1714.6224.0021.2715.0418.8818.0113.2310.922.2213.5913.8916.93
14.2616.4714.1714.6224.0021.2715.0418.8818.0113.2310.922.2213.5913.8916.93
26.8928.6029.0223.6130.0928.6123.9327.2025.8422.0720.6311.5319.1919.1421.97
7.969.934.907.5320.8419.0519.9916.4113.7610.218.53-1.3913.8713.9317.08
7.379.035.136.3717.8015.8616.0215.536.348.277.430.8210.759.6116.53
0.380.390.400.320.720.640.630.670.680.690.660.550.790.881.03
2.762.753.342.322.613.123.063.103.703.633.533.594.244.124.51
6.976.547.716.136.627.036.796.987.327.097.656.256.817.616.99
52.3855.7847.3459.5555.1651.9053.7752.2749.8751.4547.7458.4153.6247.9352.23
5.967.935.306.4923.8721.3821.8623.798.5710.8010.001.059.859.9120.43
-26.17-21.79-9.93-6.8969.9410018614518.8728.8839.787.9610.6310.6322.52
2.823.492.052.0612.8210.1110.1310.394.305.724.880.458.518.4817.15
3.073.812.262.3615.4311.9612.1512.375.437.025.700.569.859.9120.43
26.0324.4322.6721.5812.6510.228.657.447.036.365.715.355.465.024.48
4.574.164.272.542.933.282.802.192.041.460.860.900.780.831.15
2.602.081.24-0.721.392.311.981.421.391.000.350.490.350.470.93

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
3.353.443.303.263.082.923.583.353.854.314.593.143.062.649.863.683.474.124.454.674.084.635.004.783.534.154.874.343.823.893.793.793.633.143.223.353.063.374.134.454.043.464.333.272.924.524.796.786.276.336.106.956.216.115.676.045.435.164.45
0.480.500.510.520.520.530.540.550.570.620.620.640.640.640.640.340.350.370.380.430.440.450.490.480.440.450.460.480.480.380.380.350.370.290.310.330.350.360.400.420.430.440.460.470.470.510.52------------
0.940.991.051.061.081.151.181.221.351.611.641.831.801.881.780.510.550.580.620.760.790.830.960.920.800.840.850.940.930.600.620.630.680.500.550.590.650.680.730.800.820.870.890.981.021.051.07------------
43.7743.5344.3646.1145.5846.0346.2445.6342.4341.3342.6443.5542.7637.4044.8247.6946.4645.5946.4545.8244.6046.9946.2544.9846.2943.2243.8945.3644.7545.5947.6147.9346.6944.9745.6843.9842.7241.4545.9342.9640.9743.0445.6344.2543.4136.1635.2443.0342.6242.6143.6940.6739.6044.4243.9643.4741.2543.2545.48
12.7315.1913.3915.8217.6516.8616.0115.2512.4413.1829.701.4615.201.5022.8125.1425.1224.0524.3122.2221.8822.2021.1219.5819.6913.3914.4912.1417.7517.0519.5621.3720.3017.5517.9616.0414.5611.6915.3111.077.5411.5014.0210.467.661.97-9.2911.1812.7214.5314.8612.278.3114.7116.7915.2513.2515.5119.59
12.7315.1913.3915.8217.6516.8616.0115.2512.4413.1829.701.4615.201.5022.8125.1425.1224.0524.3122.2221.8822.2021.1219.5819.6913.3914.4912.1417.7517.0519.5621.3720.3017.5517.9616.0414.5611.6915.3111.077.5411.5014.0210.467.661.97-9.2911.1812.7214.5314.8612.278.3114.7116.7915.2513.2515.5119.59
-----------------------------------------------------------
6.698.967.049.2313.2410.659.186.343.313.5220.12-7.236.89-8.1216.9022.4123.3322.1118.3219.1220.5619.9318.3816.8916.6510.5744.149.7414.8714.9216.7419.3711.9614.5115.5113.1211.228.7312.677.905.3610.1710.957.463.66-1.77-14.7311.1913.0813.9415.3713.088.8413.9317.1315.3513.3115.3520.07
6.008.746.668.1412.049.608.335.884.683.7421.94-9.566.07-7.4214.3719.3518.6120.2715.5416.5116.7416.4915.1714.8013.4510.3432.738.3520.1112.0614.1915.68-8.0811.8412.1610.248.467.4010.856.076.598.668.715.653.43-0.39-5.838.6311.0310.8211.149.936.719.7811.5110.1824.5012.7115.55
0.100.100.090.090.100.100.100.090.090.090.090.090.090.100.120.200.200.190.200.170.180.170.160.160.170.160.160.170.170.190.190.190.180.200.190.190.180.170.180.160.160.160.170.150.150.150.140.190.210.190.210.200.210.230.240.240.230.260.31
0.720.700.630.620.720.680.690.670.770.790.700.630.670.760.650.620.720.730.790.770.890.770.720.750.800.770.810.790.830.820.760.890.940.980.920.940.960.930.900.830.910.820.830.880.941.060.850.941.140.971.020.981.021.001.030.991.030.951.10
1.801.641.601.541.721.611.781.821.781.922.071.801.771.911.821.741.831.841.841.811.961.601.631.481.821.511.731.681.811.871.911.881.911.881.921.801.861.771.681.781.891.471.581.431.761.561.391.521.831.541.641.591.791.661.631.481.531.561.51
50.1155.0056.1258.2652.4656.0750.6249.5550.6446.9243.5549.9050.9447.0749.5551.6449.2248.9348.8249.6045.9756.2355.3160.6449.4159.6751.9553.4349.7648.0347.0847.8647.0947.7746.8149.9248.3350.8353.6350.5047.7061.3756.9263.1351.0157.7164.9559.1949.2258.3854.8356.4750.4254.3255.2360.7158.8757.8259.54
1.251.811.391.682.772.161.931.321.120.995.90-2.781.78-2.375.206.916.907.295.865.936.286.095.525.214.933.6411.253.267.984.435.165.62-2.854.024.073.442.902.453.821.972.193.043.141.971.24-0.14-1.921.852.712.432.762.331.622.643.322.846.603.926.03
-5.49-7.00-4.65-5.07-7.61-5.19-4.16-2.60-2.09-1.70-9.693.12-1.892.2612.2217.8520.2121.0419.6723.8329.4837.9941.5268.3341.9644.0649.0524.8648.6322.0433.6412.56-6.298.679.508.397.766.9411.867.158.7114.7216.4713.419.39-1.07-14.581.962.932.592.962.491.742.863.623.117.284.386.81
0.590.840.620.751.220.910.810.540.430.341.99-0.880.57-0.731.703.833.703.903.092.892.972.832.432.352.281.655.111.413.492.282.632.93-1.432.332.321.921.541.281.940.981.071.391.440.860.53-0.06-0.791.622.352.102.382.031.392.262.822.435.543.254.84
0.640.910.680.811.331.010.890.590.470.382.23-1.000.65-0.841.874.564.464.613.623.373.513.322.822.722.741.986.091.694.152.773.193.66-1.812.862.822.311.891.562.281.141.251.691.691.050.66-0.07-0.931.852.712.432.762.331.622.643.322.846.603.926.03
26.0325.6625.1624.7824.4323.7923.2222.7522.6722.4322.3321.1721.5820.9114.0713.4012.6511.8911.2110.5710.229.659.148.708.658.308.167.387.447.667.437.227.037.206.936.676.366.356.105.845.715.485.545.385.355.445.495.555.465.295.155.045.024.974.744.584.484.164.00
4.573.311.670.924.163.001.700.974.273.221.851.022.542.161.280.472.932.080.990.393.281.781.040.082.801.861.67-0.022.191.550.960.272.041.450.830.231.461.060.550.120.860.490.260.000.900.650.170.090.780.540.300.050.830.550.310.001.150.830.46
2.601.720.520.212.081.630.870.531.241.050.190.12-0.720.01-0.13-0.151.391.100.370.072.311.200.70-0.081.981.221.23-0.271.421.020.630.011.390.970.530.081.000.740.330.000.350.090.01-0.150.490.34-0.04-0.010.350.180.06-0.060.470.270.10-0.070.930.650.36