Lam Research Financial Ratios for Analysis 2011-2026 | LRCX

Fifteen years of historical annual and quarterly financial ratios and margins for Lam Research (LRCX).

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
2.212.973.162.693.303.433.612.903.103.812.383.022.703.094.81
0.270.340.380.440.450.490.450.220.200.360.160.170.180.160.23
0.450.580.610.800.831.120.950.370.390.710.440.300.330.290.30
48.7147.3244.6245.6946.5345.8845.1546.6344.9744.4943.4343.5738.9940.6846.24
32.0128.6129.6931.2430.6426.6225.5329.0123.7418.2514.9814.713.288.9224.84
32.0128.6129.6931.2430.6426.6225.5329.0123.7418.2514.9814.713.288.9224.84
34.1031.0231.6633.1832.7429.2928.7432.0927.8824.3922.4921.8212.6713.7227.26
32.3229.2529.3230.1529.8825.6425.3428.4522.6116.3114.0915.701.857.6724.74
29.0625.6825.8826.7326.7222.4222.7021.4921.1915.5312.4713.723.166.3322.35
0.860.800.931.000.920.690.800.890.660.480.560.580.500.330.80
2.201.862.002.362.912.863.443.153.583.363.153.513.932.504.39
5.465.926.173.994.834.796.635.094.794.664.815.755.973.485.48
66.8861.6959.1391.4075.5376.2055.0371.7376.2278.2775.9063.4361.1210566.58
54.3344.8254.9473.3564.8543.4446.4036.1824.3014.9812.2712.572.543.2929.30
66.5456.5070.2798.8088.7363.7872.5249.8332.7122.0220.3023.695.806.9032.12
25.1020.4224.0226.7824.5915.4718.2619.0814.007.457.007.911.572.1117.85
39.4229.4034.1440.8435.4722.1825.6428.3919.359.6410.3310.492.082.7722.56
7.776.556.164.584.233.573.274.194.323.813.373.102.762.752.00
4.783.523.812.202.471.431.991.471.100.770.440.410.420.400.70
4.203.223.441.822.231.291.801.321.020.720.330.420.320.320.60

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
2.262.212.212.452.542.532.972.823.063.063.163.093.022.692.692.833.133.273.303.133.193.313.434.473.303.593.613.373.392.662.902.642.473.313.103.223.203.863.812.963.002.862.383.492.882.933.022.882.792.802.704.584.664.883.095.255.415.274.81
0.270.270.270.280.340.350.340.360.380.380.380.370.380.400.440.450.440.460.450.480.480.480.490.530.460.430.450.420.240.250.220.210.220.190.200.200.210.350.360.190.200.200.160.280.170.170.170.170.170.180.180.220.220.200.160.220.230.240.23
0.440.440.450.470.570.590.580.620.610.620.610.600.600.680.800.830.770.860.831.081.061.071.121.121.000.890.950.890.340.440.370.470.510.330.390.390.410.680.710.410.420.430.440.500.310.310.300.310.320.330.330.290.270.260.290.290.310.310.30
49.6050.4350.0849.0247.3748.0547.5347.4646.7647.5245.4641.4945.0346.0545.3144.7446.8045.9246.2046.2746.4047.4145.8646.6145.6645.3345.7844.0545.3945.4047.3346.0146.7146.3845.5945.1044.9943.8745.1943.4743.9545.1543.3143.1143.5543.8744.6143.2543.7142.5541.9740.2236.6436.8240.2040.5440.2141.7245.01
33.8734.3533.6733.0930.4830.3329.1027.8728.1329.3826.6524.3531.8433.4631.9129.3631.6631.8831.7531.0729.2130.2527.0727.7226.5724.8226.1423.1927.3725.3930.5628.6128.5727.9725.9325.0023.3719.3520.0014.5216.7520.9612.9017.2215.3214.6017.2815.6414.7410.388.771.280.471.844.408.828.1414.6118.91
33.8734.3533.6733.0930.4830.3329.1027.8728.1329.3826.6524.3531.8433.4631.9129.3631.6631.8831.7531.0729.2130.2527.0727.7226.5724.8226.1423.1927.3725.3930.5628.6128.5727.9725.9325.0023.3719.3520.0014.5216.7520.9612.9017.2215.3214.6017.2815.6414.7410.388.771.280.471.844.408.828.1414.6118.91
-----------------------------------------------------------
34.3634.9234.4032.5630.8131.0529.8228.8228.9229.4526.9324.2631.3032.6129.3127.9532.0931.2131.5730.1528.3529.0326.8025.1426.0324.2325.8124.0326.1525.3730.6526.6828.4527.7525.7424.6320.4417.9418.2412.2514.6519.2711.5216.4114.5214.1123.1814.8314.398.987.53-0.59-1.090.753.078.286.8112.8318.23
29.8229.4633.2628.1927.2226.7926.3525.4625.3925.4825.0221.0427.8328.1026.0825.1628.2727.4127.6127.8425.1525.9224.9522.9619.9221.5122.9522.4422.5522.8832.6726.93-0.3923.8422.4526.6817.6816.1616.7510.9215.6418.048.8614.8114.3612.2418.6913.3913.358.428.692.250.740.312.446.925.6910.5616.75
0.250.240.240.240.220.210.210.210.200.190.170.200.270.270.270.240.250.280.260.250.220.210.190.190.220.180.200.190.230.210.250.210.200.200.190.180.160.130.130.130.150.170.160.150.150.150.160.160.150.140.140.120.120.120.090.160.150.170.19
0.670.640.600.540.530.510.480.460.450.380.360.460.600.630.640.640.730.810.830.810.790.780.800.800.920.800.830.840.810.680.880.920.911.001.031.041.020.980.870.790.910.960.890.860.760.790.930.970.950.951.020.931.031.010.701.040.941.001.04
1.531.471.531.461.321.421.541.721.391.241.141.191.301.111.071.101.241.271.371.371.191.371.331.141.271.321.621.601.351.261.441.391.131.621.401.321.321.271.231.061.311.471.351.331.311.331.561.501.231.421.641.551.461.420.971.401.261.301.27
58.8061.4158.7961.5567.9763.4258.5652.2864.8472.6579.2375.8769.4181.0583.7582.0672.4671.0365.7165.7175.5365.6667.6078.7670.7467.9755.4856.1766.6771.3262.6864.8179.4855.5964.2368.3668.2071.1473.4684.7068.8161.2566.4467.6268.9567.5157.7060.0173.3663.2654.9957.9561.7863.5492.9164.4371.2469.2170.68
15.7115.3917.4413.9913.5213.1811.9512.0411.6111.039.779.6817.6819.2419.2616.9518.4520.2718.9919.9315.7815.1813.4412.6311.659.3611.4710.259.749.9115.5211.31-0.167.977.538.305.054.134.242.443.895.212.464.053.542.884.643.423.191.891.910.420.140.060.351.751.353.015.10
19.2518.7521.3617.2516.9016.6315.0615.4514.8114.1712.5012.3222.5924.6425.9423.2324.5128.0625.9928.6322.4821.7919.7319.9418.7814.1717.9315.0713.8614.7621.3815.40-0.2310.7310.1411.307.055.906.243.716.048.344.077.236.515.498.746.856.734.194.370.960.310.120.741.901.473.305.59
7.457.168.066.666.005.725.445.285.084.794.274.237.657.627.036.167.167.587.207.015.665.474.794.444.323.774.514.245.284.878.185.70-0.084.764.344.842.892.092.111.432.293.011.402.232.181.792.922.131.971.171.180.270.090.040.231.090.831.843.11
11.4911.2712.6610.058.968.627.847.737.236.816.076.0711.0411.4910.729.2710.4210.9110.3910.338.287.906.865.996.275.316.345.997.437.4212.188.99-0.126.426.006.613.982.702.731.973.134.162.072.902.942.393.872.832.631.551.570.330.110.040.301.361.032.293.93
8.118.097.777.416.856.566.556.146.266.096.166.246.135.444.584.344.624.134.233.773.853.753.573.133.103.443.273.563.793.514.194.203.934.574.324.224.063.953.813.693.613.503.373.223.143.073.102.972.882.792.762.812.832.862.752.182.061.962.00
2.581.404.782.811.791.203.522.881.820.713.813.001.710.872.201.901.340.322.471.490.680.441.430.890.510.311.991.450.840.441.471.080.550.471.100.700.480.260.770.530.430.260.440.280.170.080.410.270.110.030.420.320.260.140.400.330.210.070.70
2.231.264.202.351.561.123.222.661.670.663.442.681.490.761.821.601.150.232.231.320.570.391.290.780.450.281.801.300.740.401.320.970.460.431.020.640.440.240.720.460.380.230.330.200.110.060.420.230.080.020.320.250.210.110.320.280.180.060.60