NetApp Financial Ratios for Analysis 2012-2026 | NTAP

Fifteen years of historical annual and quarterly financial ratios and margins for NetApp (NTAP).

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
1.261.191.351.501.741.181.451.971.501.762.502.402.201.94
0.710.630.670.740.790.830.510.400.210.340.300.210.170.01
3.112.092.063.153.844.741.420.680.540.810.440.260.480.29
70.1970.7266.1666.7966.4266.9464.1962.6661.2660.8262.6061.9659.3959.57
20.3419.3716.0018.3117.9517.4619.8719.5611.316.2711.6911.609.6011.98
20.3419.3716.0018.3117.9517.4619.8719.5611.316.2711.6911.609.6011.98
24.0423.4419.9021.3821.5521.0323.0722.9115.4311.3116.7116.8915.9917.53
21.0420.1516.7617.3316.7517.4420.6320.2611.316.2211.6411.728.9511.43
18.0515.7320.0314.8312.7115.1319.021.968.764.139.1510.097.989.71
0.610.630.650.630.610.720.700.590.580.550.650.690.560.65
10.539.8712.8910.2816.9212.3416.8018.1113.0522.1715.6819.6618.4315.60
5.276.226.455.146.085.565.055.657.516.827.867.397.917.50
69.2058.6456.6371.0660.0565.6272.2264.5648.5953.5146.4449.3946.1648.66
11486.041101121073381075.1017.307.9516.4016.8510.7114.10
-68.71-56.76-71.53-56.79-50.17-51.84-168.9326.1949.8422.3424.3823.8314.2419.20
10.969.9712.989.357.8010.8913.371.165.072.285.966.924.496.35
33.6531.4235.9129.0622.0159.0152.333.0413.655.2411.4313.368.8513.90
5.175.565.473.813.091.114.548.6510.3310.2511.1611.6713.2311.78
7.217.915.035.295.904.555.185.363.513.283.953.883.773.81
6.407.183.954.306.824.434.515.592.893.083.413.242.942.75

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
1.391.341.311.260.930.910.961.191.151.071.281.351.341.361.381.501.551.771.811.741.681.651.621.181.201.311.421.451.561.652.061.971.911.671.471.501.472.062.071.762.452.482.472.502.632.612.812.402.572.672.662.202.221.931.951.942.862.751.84
-0.720.720.710.560.580.570.630.670.720.730.670.680.670.780.740.730.780.790.790.850.880.900.830.800.680.570.510.480.430.450.400.410.360.210.210.220.350.350.340.320.330.330.300.300.300.280.210.200.190.200.170.18--0.010.230.240.03
-2.522.553.112.002.232.582.092.413.112.742.062.171.994.013.152.993.473.663.845.517.119.264.744.062.141.791.421.251.010.800.680.710.820.540.540.550.540.530.810.480.500.500.440.430.430.390.260.250.240.250.480.480.280.280.290.290.310.33
70.5871.9670.4368.8869.7770.9971.2570.5071.6771.0669.5567.9965.6065.3665.7064.8266.4867.6268.5266.5666.3365.8966.9267.1767.0267.4766.0264.4562.8364.2165.3362.5962.1263.6062.3861.0560.6161.8761.5959.2861.6961.1861.1260.7162.9963.7163.0063.1962.2562.2859.9960.1359.1959.3058.8558.4458.0360.5861.51
25.3423.4019.8220.0922.0620.8118.3021.9422.7919.4612.4319.5411.2716.9616.0217.4419.8918.7717.0829.2617.5512.8510.4419.7719.0921.598.4123.2419.9018.8517.2318.9831.8415.2710.6013.9713.0310.607.194.6411.9010.03-1.9510.4513.0212.5110.7513.5514.0812.066.3911.9111.538.785.5513.0010.0012.7712.08
-23.4019.8220.0922.0620.8118.3021.9422.7919.4612.4319.5411.2716.9616.0217.4419.8918.7717.0829.2617.5512.8510.4419.7719.0921.598.4123.2419.9018.8517.2318.9831.8415.2710.6013.9713.0310.607.194.6411.9010.03-1.9510.4513.0212.5110.7513.5514.0812.066.3911.9111.538.785.5513.0010.0012.7712.08
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-23.0519.5020.4422.5521.7119.4022.7823.7920.1712.9919.8611.6018.3416.9616.1918.9617.8816.2628.0416.8012.367.9817.8419.6621.819.6324.1220.4119.3118.4519.9532.7515.6910.9814.0413.0310.607.114.3511.769.97-1.6510.6512.8912.2510.7513.7614.2612.406.0911.0110.788.295.1412.609.3812.2011.46
19.5017.8914.9519.6318.2218.0316.0917.4519.4914.9210.4115.504.2645.1013.4415.4215.6114.3013.8521.4812.389.685.9113.9919.7317.728.3324.8715.9315.8919.2017.64-31.1212.309.9211.1510.408.134.95-0.5811.047.89-2.258.7711.4110.375.9111.9811.9310.765.3810.139.707.114.4210.617.6410.999.57
-0.180.160.160.180.180.170.170.170.170.150.160.160.170.170.170.170.170.160.170.170.170.150.190.190.180.160.180.190.180.170.160.160.140.140.150.160.150.150.140.160.170.150.160.170.170.160.180.180.170.170.150.150.160.150.180.180.180.17
-3.763.472.901.851.522.072.653.473.703.333.033.002.362.352.903.243.274.254.564.674.163.173.174.104.023.624.325.816.315.275.045.954.773.483.474.425.276.145.735.214.492.694.144.875.205.294.965.145.045.214.913.852.942.924.384.273.644.06
-1.731.981.391.831.902.271.662.041.982.191.601.861.831.841.372.022.422.231.651.841.782.161.441.711.762.281.311.791.982.391.572.042.422.551.992.322.452.581.702.372.463.221.982.332.442.541.932.762.632.842.142.572.512.472.052.282.412.44
-52.1545.4364.7549.2547.3939.6654.3344.1045.3541.0456.1948.4249.2548.9065.8944.5537.1840.4354.6948.9250.5941.7262.5152.6351.2039.4768.7450.2145.3937.6157.3244.0937.1435.2945.2838.7836.7434.8553.0237.9936.5627.9845.5338.6636.9035.3846.7232.6634.2831.6641.9934.9935.9136.4043.9239.4037.3436.85
28.8430.9323.9032.6930.0533.5226.7025.3931.4930.2617.0721.145.9062.4032.5730.9128.5729.5128.0648.7638.0837.0327.1180.9998.2345.3411.9436.3320.2415.7514.7212.74-22.016.274.735.835.423.912.29-0.284.923.82-1.003.955.054.622.295.224.914.052.033.683.422.491.464.212.964.353.65
--17.17-12.97-19.70-16.83-15.23-12.78-16.75-16.45-10.88-7.26-13.76-3.49-42.13-9.14-15.70-15.77-16.26-14.16-22.96-10.89-7.64-4.07-12.41-18.09-18.91-10.63-57.23-43.84-85.7727765.46-144.7118.9513.8916.7916.7211.416.76-0.787.485.97-1.575.887.466.723.217.386.885.592.854.904.583.321.965.734.156.325.32
3.353.172.413.143.333.322.662.943.342.571.612.500.677.672.242.582.652.432.213.572.101.630.912.613.703.251.324.532.962.823.182.90-4.891.691.361.711.611.240.73-0.081.741.32-0.341.441.921.740.932.142.131.810.901.551.461.150.681.901.361.951.65
-8.786.739.6513.3514.0011.419.2710.498.444.576.911.8620.907.038.037.716.606.0210.075.854.572.6414.1219.4014.465.1317.7310.499.018.177.60-12.894.033.734.604.252.551.49-0.183.332.55-0.672.753.543.231.654.133.913.261.633.042.812.491.464.152.293.333.55
-4.984.885.174.904.394.535.564.833.744.185.475.155.543.013.813.963.403.213.092.141.671.281.111.272.343.614.544.986.027.398.658.1210.4010.2510.339.9410.1110.0410.2510.6810.2310.1011.1611.2611.0611.7911.6711.7512.0611.7513.2312.8412.2912.0511.7811.1610.6110.37
-3.963.327.214.002.121.617.915.082.792.105.033.982.251.255.293.492.361.065.903.411.791.084.552.961.091.285.183.691.861.215.363.672.050.903.512.211.360.813.282.130.930.423.952.751.850.663.882.831.860.793.772.551.540.623.812.351.620.59
-3.463.056.403.361.711.427.184.562.441.943.953.071.600.964.302.801.930.836.822.891.410.874.432.941.211.144.513.151.450.975.594.091.810.772.891.721.040.683.081.700.640.303.412.321.510.483.242.351.550.612.941.891.190.452.751.601.110.35