Lenovo Group Financial Ratios for Analysis 2012-2026 | LNVGY

Fifteen years of historical annual and quarterly financial ratios and margins for Lenovo Group (LNVGY).

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
20252024202320222021202020192018201720162015201420132012
0.930.870.880.890.850.810.820.800.810.820.891.001.021.00
0.390.370.380.330.480.280.370.370.420.450.310.000.10-
0.810.600.650.631.351.561.381.020.951.150.790.190.220.08
16.0717.2416.9516.8216.0816.4814.4413.8314.1914.7514.4313.0813.0711.65
3.133.534.314.303.592.842.310.851.56-0.142.392.722.361.98
3.133.534.314.303.592.842.310.851.56-0.142.392.722.361.98
5.196.016.496.075.334.753.872.483.291.513.492.722.361.98
2.142.403.453.862.922.011.680.341.14-0.622.102.622.371.97
2.001.782.602.831.941.311.17-0.421.24-0.291.792.111.881.60
1.561.471.591.611.601.581.701.591.581.801.692.112.011.86
7.327.028.077.187.998.5612.7110.3113.2214.5213.4112.4614.9921.44
6.356.687.506.207.027.857.458.729.229.888.6511.9611.5112.19
57.5254.6148.7058.8451.9946.4948.9741.8539.5936.9342.2230.5231.7229.93
21.9518.1327.8039.7736.3719.8216.04-2.7912.95-4.7820.3727.0323.5719.42
-92.94-48.68-75.71-80.29-27.39-20.50-15.553.19-12.472.57-16.34-259.68-97.73-73.91
3.312.844.324.823.462.502.19-0.441.95-0.583.054.453.743.00
13.2911.4217.2726.7219.0014.3110.07-1.767.51-2.6113.9626.9421.1719.42
10.749.809.978.966.006.766.827.577.375.457.395.815.134.74
1.623.104.326.235.573.442.45-1.343.850.530.452.730.043.75
0.692.022.654.744.642.431.77-2.163.76-0.40-0.671.67-0.693.17

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
0.960.960.950.930.930.860.850.870.870.870.880.880.900.910.880.890.900.880.870.850.900.870.860.810.850.840.830.820.810.810.810.800.820.790.780.810.810.850.840.820.860.850.920.890.931.111.101.001.000.991.031.021.031.041.031.001.011.011.00
-0.370.370.390.390.300.300.370.370.390.390.380.400.410.320.330.410.440.440.480.500.360.370.280.330.350.330.370.320.320.300.370.370.380.380.420.420.440.430.450.460.460.380.310.310.380.320.000.000.010.110.100.100.11-----
-0.590.600.810.810.600.600.600.590.700.680.650.780.810.620.631.001.211.211.351.491.341.501.561.421.511.461.381.421.281.221.020.830.870.870.950.951.001.061.151.031.110.870.790.670.730.630.190.200.220.210.220.160.170.070.080.070.070.10
15.0815.3914.7315.6616.5515.6616.5717.4017.1417.5017.4616.9617.1116.8316.9217.1616.6716.8216.6817.2016.1615.5115.2917.6016.0616.1416.3716.1814.6013.4113.7014.5113.5313.7113.6314.2913.1114.3115.2616.6214.6012.9615.3615.7014.8813.9112.9813.3012.6312.9413.5613.4312.7113.1413.0610.7511.4012.1712.47
4.273.144.172.023.903.643.203.083.533.573.022.304.914.984.583.534.634.574.393.064.073.893.271.573.463.272.742.343.102.161.510.951.580.75-0.060.771.131.922.442.712.93-6.450.891.122.303.492.802.483.102.912.302.162.602.372.271.352.312.132.08
-3.144.172.023.903.643.203.083.533.573.022.304.914.984.583.534.634.574.393.064.073.893.271.573.463.272.742.343.102.161.510.951.580.75-0.060.771.131.922.442.712.93-6.450.891.122.303.492.802.483.102.912.302.162.602.372.271.352.312.132.08
-----------------------------------------------------------
-2.423.301.113.002.652.032.062.462.481.771.033.964.154.073.124.254.153.842.433.433.242.490.732.772.291.921.542.501.590.950.351.160.30-0.690.160.831.492.042.122.48-6.930.480.921.953.142.542.272.982.712.452.122.632.352.311.362.302.122.09
2.461.662.682.222.142.011.581.321.771.731.370.902.863.173.042.473.182.872.751.662.292.141.590.401.831.501.301.011.661.260.650.31-2.231.18-0.721.120.811.401.721.972.33-5.870.980.881.802.502.051.692.462.251.981.622.191.871.760.891.831.851.84
-0.410.410.450.360.400.38-0.351.090.370.340.320.370.390.380.380.440.420.420.410.450.410.400.330.400.410.390.390.450.430.380.370.440.410.380.350.450.410.400.370.480.440.400.410.480.480.500.510.550.540.490.460.520.520.510.470.540.500.48
-2.011.842.141.661.651.66-1.665.731.931.801.651.691.691.591.671.991.701.802.032.502.342.211.762.962.972.932.863.162.712.492.402.812.822.722.943.783.343.312.894.093.893.173.233.783.043.283.003.543.283.003.454.534.894.615.495.935.245.54
-1.571.691.841.441.801.71-1.584.621.761.651.531.591.701.431.451.591.801.831.811.811.951.851.641.511.601.451.712.082.131.902.052.172.152.132.052.612.202.142.012.332.402.162.122.392.822.802.892.752.892.802.662.842.943.103.093.333.263.47
-57.4353.3448.8462.3250.0052.71-56.8119.4951.2754.7158.8756.5352.9863.1562.2456.4349.8949.1549.8249.7246.1848.7054.9559.6556.3261.9652.6243.2342.3147.3743.9941.4841.8442.1943.8634.5240.8642.1544.7838.5737.5641.7242.5237.6831.8732.1331.1332.7531.1932.1433.8331.6630.6229.0729.1227.0227.5825.91
8.265.087.226.735.666.294.18-3.6113.895.183.131.758.309.849.667.8114.2313.4611.667.9011.037.845.831.567.116.074.513.266.844.391.971.07-6.273.66-1.292.532.614.785.065.8210.09-23.802.502.376.088.826.475.559.077.826.054.637.696.815.852.766.336.185.55
--49.56-60.55-28.50-23.95-17.69-11.889.69-35.30-11.13-7.86-4.76-20.24-22.87-23.82-15.77-20.37-13.59-11.32-5.95-10.17-9.92-6.56-1.62-7.76-5.83-4.64-3.16-5.98-4.00-2.09-1.226.79-3.601.30-2.44-2.52-2.83-3.15-3.12-5.2411.91-2.09-1.90-5.55-78.24-76.34-53.37-65.37-35.76-32.20-19.22-34.76-23.53-25.28-10.51-39.03-35.22-60.05
1.230.761.161.010.850.860.63-0.572.150.740.480.271.151.281.220.951.491.311.200.751.121.000.740.200.870.730.590.450.850.560.270.17-0.930.53-0.200.380.390.560.660.711.10-2.620.380.350.881.261.020.921.361.190.950.741.110.970.910.431.000.930.88
-3.204.554.083.434.402.92-2.278.783.141.921.094.975.796.565.258.417.486.504.135.504.993.651.134.743.963.002.054.653.001.380.67-3.932.26-0.801.471.522.682.893.185.42-12.961.541.624.205.464.435.549.037.775.374.166.906.055.852.766.336.185.55
-12.0712.0010.7410.749.829.789.809.879.209.669.979.579.289.288.967.966.876.916.006.507.42-6.767.156.687.096.826.446.587.227.577.287.547.527.377.375.735.965.455.255.427.347.397.615.936.255.815.635.275.395.135.044.654.784.744.724.543.93
-3.721.651.623.242.701.213.102.251.851.004.323.913.810.616.233.973.060.675.575.111.690.503.442.771.91-0.222.453.210.670.57-1.34-0.01-0.39-1.053.853.482.840.010.531.781.08-0.550.452.441.150.732.731.83-0.090.271.331.33-0.36-0.633.753.022.961.83
-3.431.420.692.552.470.982.021.481.670.752.652.663.020.284.743.002.470.374.644.401.290.342.432.031.45-0.411.772.820.500.41-2.16-0.60-0.56-1.283.763.612.770.16-0.401.100.66-0.74-0.671.650.640.531.671.19-0.470.270.611.33-0.36-0.633.173.022.961.83