Oracle Financial Ratios for Analysis 2012-2026 | ORCL

Fifteen years of historical annual and quarterly financial ratios and margins for Oracle (ORCL).

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
0.750.720.911.622.303.032.493.983.083.744.113.343.242.60
0.800.890.981.090.930.840.700.540.470.460.450.320.290.23
4.419.4058.15-13.1514.155.632.511.291.070.920.850.510.410.37
70.5171.4172.8579.0880.5979.6879.7679.5380.2879.8180.3081.0980.1578.46
30.8028.9926.2125.7437.5835.5734.2633.6834.1734.0236.2938.5639.4936.92
30.8028.9926.2125.7437.5835.5734.2633.6834.1734.0236.2938.5639.4936.92
41.5540.5838.4433.1044.7943.1741.6540.7540.6540.7943.7746.1647.3844.78
24.6722.1718.2718.0232.1130.8831.0531.5530.9130.8933.5735.8037.3834.92
21.6819.7617.0215.8333.9625.9428.059.1125.0124.0326.0028.6229.3826.89
0.340.380.370.390.310.340.360.290.280.330.340.420.450.47
---------35.2823.9938.2930.7550.60
6.716.737.227.137.487.047.707.677.136.886.806.296.155.82
54.4254.2750.5351.2048.7751.8647.4347.6051.1953.0553.6458.0559.3862.70
59.34113546-116.4523179.7049.567.6517.4218.6320.2423.0924.2022.64
-27.15-17.48-12.05-13.17-34.01-29.13-41.52-100.9926810811593.9797.8890.17
7.397.426.336.1510.488.7810.202.607.007.938.9612.1413.3512.74
11.7112.249.6710.1216.7712.3714.973.489.2310.1311.1615.6417.1717.32
7.473.350.57-2.162.124.156.6611.7313.1111.5711.3110.639.728.99
7.266.616.213.425.263.993.903.633.353.183.243.242.942.70
-0.144.183.061.804.553.513.453.222.872.902.933.112.802.57

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
2025-11-302025-08-312025-05-312025-02-282024-11-302024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-31
0.910.620.751.020.810.720.720.850.790.870.910.820.650.601.621.521.652.042.302.162.172.663.032.122.372.252.492.652.803.433.984.335.073.633.084.183.964.923.744.834.264.044.113.724.344.353.343.393.383.133.243.413.332.742.603.233.483.00
0.770.770.800.840.850.870.890.930.950.970.981.021.051.081.091.131.151.020.930.870.880.870.840.770.760.730.700.680.620.590.540.540.510.460.470.500.510.530.460.460.460.460.450.380.400.400.320.330.340.340.290.300.300.240.230.250.260.26
3.553.704.415.586.237.509.4014.2320.2831.3158.15-48.02-24.08-16.81-13.15-9.55-8.12-73.2014.157.198.226.985.633.473.192.862.512.321.871.511.291.261.080.951.071.061.111.130.920.870.910.880.850.660.680.680.510.530.550.550.410.450.460.340.370.340.350.36
66.5367.2870.1970.3170.9470.6572.5370.8771.1071.0173.0472.2672.6473.4679.7578.9079.1678.3881.1181.0180.2179.9381.1479.9578.7078.7781.4679.4579.0778.7680.2479.3779.5678.8281.8779.4580.1179.3481.7279.5979.4078.1080.8379.6380.2180.4482.9380.9380.5279.4480.8780.8480.2778.3080.3778.8977.7576.26
29.4628.6532.1330.8430.0229.9932.7928.2427.9926.4729.9126.2925.0222.9238.0236.36-7.9535.2340.4538.4536.5634.2841.2636.0133.1131.2138.2235.3532.4330.2237.7834.2631.6930.2039.0332.1533.6130.7337.4633.5932.8631.4237.2136.2736.9034.4743.3638.3336.7734.3245.6737.2238.1735.1942.0936.7035.3832.04
29.4628.6532.1330.8430.0229.9932.7928.2427.9926.4729.9126.2925.0222.9238.0236.36-7.9535.2340.4538.4536.5634.2841.2636.0133.1131.2138.2235.3532.4330.2237.7834.2631.6930.2039.0332.1533.6130.7337.4633.5932.8631.4237.2136.2736.9034.4743.3638.3336.7734.3245.6737.2238.1735.1942.0936.7035.3832.04
----------------------------------------------------------
39.4922.9626.1124.4024.1123.8126.4621.5721.0219.0722.4617.8917.4714.4730.6127.01-14.4427.5637.0232.4830.3327.7035.3931.4029.2326.9334.7132.1229.0127.6335.4732.9829.4727.4635.8129.3129.7227.6135.2330.3229.6727.3434.5433.7734.0631.6240.5434.9134.5331.8144.0934.4936.0733.0340.1534.8333.6729.51
38.2119.6121.5520.7822.4122.0122.0018.0819.3419.4323.9815.2914.1813.5326.9322.06-12.0425.2635.9149.7924.9224.0329.8526.2524.0423.1833.5828.5524.4024.6429.74-41.8323.0923.5530.5624.3222.4921.3126.5723.7724.4320.6825.7526.7526.0725.4132.2127.5627.5326.1734.7727.9528.3824.8631.6127.6424.9321.97
0.080.080.090.090.090.090.100.100.100.090.100.090.100.090.110.100.100.080.090.090.090.080.090.100.100.090.100.090.080.070.080.070.070.070.080.070.070.070.090.090.080.080.100.090.100.090.130.110.110.100.130.110.110.110.140.120.120.11
-------------------------------4.024.506.18-4.845.506.219.148.677.797.376.546.679.139.3910.237.827.727.088.738.1310.9411.9913.5611.098.977.68
1.701.691.861.761.721.661.811.821.901.912.002.001.981.931.992.292.322.172.082.172.222.051.882.352.372.412.172.412.412.472.142.482.522.542.072.472.452.521.972.342.272.431.912.232.222.421.862.292.212.431.812.152.072.171.711.941.982.00
52.9153.3248.4351.2852.3554.2549.6049.4547.3247.1144.9845.1045.4446.6945.2539.2838.7641.4743.3641.3840.6243.9747.8538.2437.9137.3041.4937.3837.4136.5141.9736.2935.6535.5043.5336.3836.7635.6845.7538.3939.5937.0247.2340.3240.5637.1848.3939.3740.6837.0949.7341.8943.5641.5352.5846.3645.3945.08
20.1411.8716.3417.0122.1325.9934.0238.8457.1785.18213-99.16-46.11-28.41-55.27-28.2412.91-217.4367.7452.1028.3422.2024.5017.2814.2811.2416.7211.337.515.876.99-8.383.933.806.174.394.163.835.894.624.743.685.625.145.224.567.685.675.794.988.435.725.954.657.835.775.194.46
-17.28-7.02-7.48-5.87-5.87-5.12-5.25-3.77-3.78-3.54-4.70-2.56-2.26-1.95-6.25-4.322.25-5.21-9.98-13.54-6.37-6.06-8.96-7.79-7.20-7.23-14.01-10.89-12.39-19.81-92.2337033.8434.8195.09306-168.4924.7934.0931.4933.4823.4532.0433.8933.7617.3131.2727.4227.5224.0634.1022.7123.3018.3731.1820.8316.7115.66
2.991.622.041.822.122.032.231.751.861.772.471.441.361.192.922.13-1.172.003.084.252.221.982.702.662.352.013.442.511.971.762.38-2.931.601.602.481.791.641.492.512.042.061.592.492.522.552.194.042.963.002.544.653.153.242.664.413.363.012.49
4.702.743.222.793.333.383.682.712.882.773.772.242.252.214.813.63-1.963.284.926.863.382.893.804.003.463.075.053.622.822.443.18-3.871.932.053.272.212.051.823.202.482.551.993.103.173.112.715.213.783.833.295.984.024.173.555.994.303.843.28
10.608.687.476.165.094.073.352.251.591.040.57-0.71-1.40-2.02-2.16-3.08-3.62-0.412.123.332.923.364.154.715.045.776.667.048.5510.1211.7311.7913.5913.5113.1112.4011.9011.6511.5711.1511.0111.1011.3111.1010.9110.8010.6310.099.789.639.729.289.149.058.998.698.408.16
3.492.807.265.103.042.616.614.472.532.476.214.152.642.333.422.020.631.885.263.692.411.923.992.911.961.763.902.801.901.683.632.601.731.533.352.301.661.393.182.321.481.333.242.241.731.483.242.291.621.352.942.011.331.152.701.911.301.05
-3.53-0.12-0.140.880.861.804.183.021.682.013.061.711.121.701.800.90-0.101.514.553.222.081.783.512.571.731.653.452.461.691.593.222.271.481.422.871.941.411.322.902.091.331.232.932.061.631.443.112.191.561.312.801.911.261.122.571.821.251.02