QXO Financial Ratios for Analysis 2011-2026 | QXO

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

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
3.581131.021.271.451.281.500.780.920.960.880.820.660.460.51
-0.000.140.100.070.120.100.210.070.100.410.96-0.62--
-0.000.280.220.140.230.170.390.150.190.9540.40-1.01-0.35-0.15
22.9940.3239.6539.9341.2740.2238.1238.3839.7837.3039.2339.9438.7940.4742.74
-3.58-124.84-2.40-0.86-0.550.54-4.95-3.222.703.711.292.191.49-8.932.47
--124.84-2.40-0.86-0.550.54-4.95-3.222.703.711.292.191.49-8.932.47
--122.87-0.573.052.793.26-2.53-1.424.475.723.053.893.22-7.414.06
-89.34-2.51-1.050.100.54-4.99-3.332.603.551.571.911.16-9.3725.75
-5.68-40.50-1.96-0.63-0.320.4317.650.73-1.4010.071.350.901.85-9.3724.87
-0.012.662.102.322.592.033.073.353.203.264.244.874.706.92
---------------
-20.7918.3620.1521.6426.0815.2219.0014.9213.6411.1610.2311.058.7311.94
-17.5619.8818.1216.8713.9923.9819.2124.4726.7632.7135.6733.0441.8130.57
-3.230.61-14.32-2.95-1.442.41-16.50-21.26-11.5169.1324.051,418-80.67152-293.64
-0.55-75.78-6.81-2.775.59-27.20-172.97-41.03161-26.43-22.64-29.6572.70-272.23
-1.760.55-5.22-1.32-0.751.10-7.74-7.85-4.6732.244.413.819.04-44.08178
-0.55-12.28-2.66-1.332.12-14.89-16.72-10.7562.2814.1759.64-130.75152-301.11
-12.3411.2514.5414.5712.9415.817.707.538.882.820.03-0.82-1.67-48.49
-0.420.893.160.363.07-1.61-0.484.113.210.232.011.520.822.06
-0.420.282.860.182.85-1.73-0.743.682.880.361.851.460.601.96

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
2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
3.333.583.063.0095.2311325961.841.051.021.051.421.331.271.321.381.341.451.522.131.931.281.491.551.501.501.910.730.730.780.840.820.930.921.050.980.980.961.040.820.810.880.991.081.040.820.880.770.740.660.620.470.470.460.530.450.520.510.650.60
--0.250.250.000.000.000.000.120.140.080.070.080.100.120.150.120.070.080.070.050.120.090.080.090.100.080.220.210.210.220.250.050.070.060.070.080.100.120.280.420.410.320.210.220.960.541.55-0.67-0.62-0.44---------
--0.330.350.000.000.000.000.250.280.180.150.170.220.230.260.220.140.150.130.080.230.160.140.160.170.140.420.390.390.410.460.120.150.130.150.170.190.270.691.000.950.650.410.4740.402.31-5.47-1.51-1.01-0.69-0.21-0.17-0.35-0.88-0.89-0.10-0.15-0.78-0.79
23.6624.1523.3021.0739.8740.2641.9840.0039.1938.9039.8639.1140.8137.8840.5738.8042.6840.5638.9741.7543.6341.8839.8940.7238.2237.5036.6138.1340.4329.9037.5741.5842.3337.5439.5140.0142.3235.1037.2739.1337.6533.9840.3540.6443.1931.9742.0442.7842.7536.7437.2841.5140.4339.3339.9842.2440.6741.5142.6443.27
-14.56-3.170.95-8.50-290.84-223.95-257.25-29.661.582.87-19.063.442.81-1.36-1.08-0.74-0.18-6.08-2.871.994.534.250.890.49-3.92-3.86-9.40-3.91-2.32-16.03-1.510.330.95-1.035.732.263.601.645.275.671.85-4.140.671.428.61-6.377.682.534.092.19-1.422.003.25-7.773.44-10.41-23.58-2.580.453.13
--0.95-8.50-290.84-223.95-257.25-29.661.582.87-19.063.442.81-1.36-1.08-0.74-0.18-6.08-2.871.994.534.250.890.49-3.92-3.86-9.40-3.91-2.32-16.03-1.510.330.95-1.035.732.263.601.645.275.671.85-4.140.671.428.61-6.377.682.534.092.19-1.422.003.25-7.773.44-10.41-23.58-2.580.453.13
------------------------------------------------------------
---0.38-12.40128189178-5.521.442.77-19.123.312.68-1.54-1.29-0.97-0.35-3.13-3.051.924.444.190.850.46-3.79-3.61-9.40-4.18-2.49-16.20-1.660.250.88-1.105.652.153.501.485.135.441.74-2.690.471.198.42-6.647.332.253.892.10-1.881.612.86-7.932.96-10.88-24.34-3.53-0.6087.39
-14.88-5.50-5.11-4.41-101.75-227.60131-45.520.962.85-15.722.592.11-0.16-1.23-0.83-0.37-3.62-2.371.273.263.350.540.35-2.90-9.7175.87-0.031.030.231.700.180.63-12.323.321.421.920.7728.866.390.95-2.590.230.758.04-4.544.081.142.454.44-1.881.612.86-7.932.96-10.88-24.34-3.32-1.0485.11
--0.160.110.000.000.000.010.690.720.730.640.620.580.550.580.590.580.590.510.550.710.590.570.570.530.470.710.750.600.870.820.850.840.830.790.770.770.851.030.990.950.960.880.931.031.191.151.251.431.311.501.481.331.131.171.771.771.121.60
--1.260.81------------------------------------------------------89.0199.91
--1.260.844.175.505.864.815.424.954.985.955.885.564.854.746.265.446.206.965.717.165.064.923.423.943.752.843.153.714.823.393.083.753.143.343.533.293.692.983.023.243.072.972.812.483.162.943.113.243.733.133.402.472.082.382.503.062.263.68
--71.1810721.5716.3815.3618.7116.6018.1718.0715.1215.3016.2018.5719.0014.3916.5414.5112.9415.7512.5817.8018.3026.3222.8423.9731.7328.5324.2718.6626.5729.2424.0228.6326.9125.4927.3224.4230.2529.7927.7729.3230.2831.9936.3228.4630.5928.9627.7424.1428.8026.5036.4243.2837.7836.0229.4139.8524.43
-2.49-1.04-1.59-0.660.190.250.38-0.131.815.60-29.913.372.81-0.20-1.41-0.94-0.43-4.05-2.561.033.035.210.630.39-3.390.17-7.84-6.78-5.23-19.15-3.680.391.35-25.525.802.343.011.2858.6328.255.39-13.360.943.0437.84-1,733.75104-50.91-52.65-56.7913.02-10.37-17.3536.33-18.0144.2084.3210.311.75-289.27
---17.15-7.560.170.220.34-0.067.8429.64-98.886.706.00-0.47-3.39-2.47-1.19-7.82-4.981.654.6212.061.110.63-5.620.27-11.1555.6936.30-155.7894.14-4.344.89-90.9712.885.416.792.97143-61.16-4.8714.68-5.278.8815827.69-39.89-5.73-13.91-20.876.01-4.49-7.6917.42-6.8020.2673.329.561.80-297.64
-1.36-0.57-0.84-0.340.170.220.34-0.060.662.04-11.481.671.31-0.09-0.67-0.48-0.22-2.11-1.390.651.812.380.320.20-1.650.08-4.37-2.35-1.88-7.07-1.450.150.53-10.362.741.121.490.6024.596.570.94-2.450.220.677.45-4.664.841.313.076.36-2.462.414.23-10.563.34-12.71-43.04-6.25-0.67140
---1.07-0.440.170.220.34-0.061.594.80-27.383.142.58-0.18-1.25-0.80-0.38-3.75-2.350.962.904.580.580.36-3.090.15-7.20-5.32-4.14-15.06-2.860.301.28-23.845.482.172.771.1551.5320.483.14-7.870.642.3929.36-72.9347.4128.17-87.84-92.0418.74-10.37-17.3536.33-18.0144.2184.3210.571.80-297.64
--14.5714.7612.3612.3412.321,46311.4511.2510.7415.5515.0314.5414.8414.5214.5814.5714.6319.6518.4812.9415.4715.3615.3015.8121.527.897.897.708.077.757.737.539.769.189.118.888.513.512.502.823.182.702.540.030.48-0.24-0.47-0.82-1.29-1.23-1.37-1.67-1.17-1.55-1.73-48.49-39.34-42.70
--0.10-0.240.080.420.09-1.000.550.891.25-0.49-1.193.161.76-0.76-0.010.360.43-1.32-0.843.070.420.46-0.53-1.61-2.13-2.42-2.09-0.48-0.61-0.36-0.214.112.141.400.243.212.710.440.120.23-0.190.430.892.011.850.620.821.521.770.590.970.820.28-0.12-0.102.0641.501.36
--0.04-18.970.080.420.09-1.140.460.281.13-0.53-1.202.861.46-1.04-0.060.180.25-1.44-0.842.850.250.33-0.61-1.73-2.18-2.47-2.10-0.74-0.79-0.42-0.243.681.870.60-0.112.882.390.17-0.140.36-0.270.380.841.851.830.600.821.461.700.530.920.600.18-0.23-0.201.9637.671.29