NVIDIA Financial Ratios for Analysis 2012-2026 | NVDA

Fifteen years of historical annual and quarterly financial ratios and margins for NVIDIA (NVDA).

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
202620252024202320222021202020192018201720162015201420132012
3.914.444.173.526.654.097.677.948.034.772.576.385.954.894.20
-0.100.160.310.290.260.140.180.210.260.020.240.240.000.01
-0.110.230.500.410.410.160.210.270.490.340.320.310.000.01
71.0774.9972.7256.9364.9362.3461.9961.2159.9358.8056.1155.5154.9252.0251.44
60.3862.4254.1215.6637.3127.1826.0732.4733.0527.9914.9116.2112.0115.1516.22
-62.4254.1215.6637.3127.1826.0732.4733.0527.9914.9116.2112.0115.1516.22
-63.8556.6021.3841.6733.7629.5634.7035.0930.6919.4221.5117.9220.4321.32
-64.3955.5115.5036.9426.4427.2033.2532.9027.5714.8316.1312.3515.4716.59
55.6055.8548.8516.1936.2325.9825.6135.3431.3724.1112.2613.4810.6513.1414.53
-1.170.930.660.610.580.630.880.860.700.680.650.570.670.72
-3.243.152.253.623.444.242.894.893.595.264.314.804.985.71
-5.666.097.055.796.876.598.237.688.379.929.889.699.4211.89
-64.5159.9151.7963.0653.1755.4044.3647.5343.6336.7936.9537.6838.7430.69
76.3391.8769.2419.7636.6525.6422.9144.3340.7828.9113.7414.289.8711.6514.02
-99.3879.5027.2148.9543.4824.2447.7144.8033.0616.6617.6412.5114.5218.28
58.0665.3045.2810.6122.0715.0516.1531.1527.1116.938.338.766.078.7710.46
-83.0257.8613.7325.9718.9519.7036.5532.2221.4213.4510.857.5511.6113.94
-3.241.740.901.060.680.500.390.310.250.210.200.200.200.17
-2.581.130.230.360.230.190.150.140.060.050.040.040.030.04
-2.451.080.150.320.190.170.130.120.060.050.040.030.030.03

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
2026-04-302025-10-312025-07-312025-04-302025-01-312024-10-312024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-31
3.444.474.213.394.444.104.273.534.173.592.793.433.523.393.625.326.657.145.804.534.093.926.0910.297.678.428.658.987.947.087.418.548.038.267.828.264.774.072.562.442.576.825.996.606.385.726.195.875.954.114.194.984.894.464.124.264.203.953.45
-0.060.080.090.100.110.130.150.160.200.240.280.310.310.290.290.290.320.340.240.260.280.330.350.140.150.160.170.180.170.180.200.210.240.250.250.260.280.020.020.020.240.250.240.240.250.240.250.240.000.000.000.000.000.000.000.010.010.01
-0.070.080.100.110.130.150.200.230.290.350.450.500.510.460.420.410.460.560.370.410.450.500.530.160.180.190.200.210.210.230.260.270.320.350.360.490.570.340.360.340.320.340.310.320.330.320.330.310.000.000.000.000.000.000.000.010.010.01
74.9373.4172.4260.5273.0374.5675.1578.3575.9773.9570.0564.6363.3453.5743.4865.5365.4265.2064.7864.1163.1062.6358.8565.0664.9063.5759.7558.3854.7460.3963.2464.4861.8759.5258.3959.3759.9659.0357.8457.5556.3956.2554.9956.7355.9655.1856.1254.7654.1555.4555.8254.3252.9052.8751.7850.1051.4152.2251.67
65.6063.1760.8449.1161.1062.3462.0664.9261.6057.4950.3429.7620.7610.137.4422.5438.8637.6037.5634.5530.1229.5816.8431.6931.8830.7622.1416.1313.3333.2637.0540.3836.8633.9530.8528.6033.7331.8922.2018.7717.8418.776.5915.2918.5517.3914.7813.6914.5713.3810.808.6716.5820.9513.377.8712.8318.4917.12
-63.1760.8449.1161.1062.3462.0664.9261.6057.4950.3429.7620.7610.137.4422.5438.8637.6037.5634.5530.1229.5816.8431.6931.8830.7622.1416.1313.3333.2637.0540.3836.8633.9530.8528.6033.7331.8922.2018.7717.8418.776.5915.2918.5517.3914.7813.6914.5713.3810.808.6716.5820.9513.377.8712.8318.4917.12
-----------------------------------------------------------
-66.5566.7649.7364.1163.6163.9666.3563.8258.0751.6830.7121.2910.347.0921.7837.4937.1436.7936.1129.4028.5215.7531.8532.7231.8223.5017.5214.6933.9837.7840.8837.1033.9930.6727.6733.4130.9922.2018.4718.1318.776.2414.9418.2317.0614.0514.7814.7413.4211.449.2216.8121.0613.918.3413.0719.2117.47
71.4655.9856.5342.6156.1755.0455.2657.1455.5951.0145.8128.4123.3711.479.7919.5239.2834.6936.4833.7829.1228.2716.0929.7730.6329.8321.4017.7525.6738.6735.2538.7938.4431.7926.1426.1730.1427.0518.2815.9414.8518.852.2611.6415.4314.1211.6012.4212.8411.279.878.1615.7217.3611.406.5312.1716.7214.91
-0.350.330.350.350.370.350.340.340.330.270.160.150.150.150.180.170.170.170.180.170.180.150.130.180.190.170.160.170.230.240.280.260.270.240.210.220.210.190.180.190.180.170.160.170.180.160.160.160.180.180.150.170.200.180.160.170.210.21
-0.770.861.531.051.171.120.961.010.990.940.550.430.620.970.901.011.111.081.021.011.181.140.951.111.050.860.650.630.891.051.431.391.251.090.961.101.211.161.411.461.341.181.141.141.351.251.271.351.231.141.161.261.321.301.351.361.591.36
-1.711.681.991.711.982.132.112.212.181.911.761.581.211.261.521.641.801.811.872.061.861.861.621.872.071.651.791.551.431.882.632.302.261.841.982.632.412.222.502.772.432.242.532.642.172.352.782.682.352.342.752.442.712.352.252.842.872.42
-52.7253.5445.2152.7845.3942.3442.7340.7141.2747.0851.0656.9274.4871.3859.0554.7650.1049.6048.0843.7048.4948.5255.7248.0343.4554.4750.3558.1262.7847.9034.2439.1139.8448.9645.3534.2137.4140.5936.0732.4436.9740.1235.5834.1041.3938.3232.3533.5438.2238.5132.7136.9333.2638.3840.0131.7431.3437.18
29.8426.8426.3922.3927.8529.3028.5430.2828.5927.7922.508.336.403.192.756.1511.2810.3511.2310.188.628.714.477.007.798.025.344.066.0612.9812.5216.1214.9813.199.768.2711.3710.185.834.964.655.510.622.944.374.112.973.293.302.752.311.613.604.432.671.412.804.494.11
-28.5728.2224.2030.1232.0031.5734.0532.8233.5128.5511.018.814.503.768.1915.0714.4616.4015.9814.6216.149.067.408.248.525.714.366.5213.9613.5517.6616.4514.7811.049.3513.0011.827.016.085.646.690.773.595.395.213.764.224.183.543.012.024.495.573.441.843.655.985.54
22.4819.8018.7714.9919.7920.1119.4819.3118.6917.0712.494.603.431.681.513.586.796.066.146.215.064.972.473.945.495.693.742.814.269.018.5510.869.958.526.205.396.665.643.502.932.823.430.371.842.682.511.852.002.032.081.731.242.713.442.021.062.093.503.12
-25.2524.3320.3425.1625.9724.9225.8323.8922.1517.215.974.452.191.964.347.997.097.407.736.376.272.984.576.706.814.483.375.0010.7310.2112.8211.8310.057.326.248.427.375.724.864.564.180.462.253.323.092.252.472.522.742.301.613.594.412.661.402.784.464.08
-4.894.113.443.242.692.372.001.741.351.110.990.900.870.951.051.060.950.850.750.680.620.560.530.500.460.420.400.390.390.360.320.310.260.250.260.250.250.210.200.210.210.190.210.200.190.200.190.200.190.180.210.200.190.180.170.170.160.15
-2.721.741.112.581.921.200.621.130.670.370.120.230.140.120.070.360.240.180.070.230.150.100.040.190.130.070.030.150.110.090.060.140.090.040.010.060.040.020.010.050.030.020.010.040.020.010.010.040.020.010.010.030.010.010.000.040.020.01
-2.521.621.062.451.831.150.601.080.630.350.110.150.080.090.050.320.210.160.060.190.120.080.030.170.120.060.020.130.100.080.050.120.080.030.010.060.030.020.010.050.030.020.010.040.020.010.010.030.010.010.000.030.010.000.000.030.020.01