Lumentum Holdings Inc. (LITE) Financial Ratios Quarterly - Discounting Cash Flows
LITE
Lumentum Holdings Inc.
LITE (NASDAQ)
Period Ending: LTM
(Last Twelve Months)
2026 (Q2)
12-27
2026 (Q1)
09-27
2025 (Q4)
06-28
2025 (Q3)
03-29
2025 (Q2)
12-28
2025 (Q1)
09-28
2024 (Q4)
06-30
2024 (Q3)
03-30
2024 (Q2)
12-30
2024 (Q1)
09-30
2023 (Q4)
06-30
2023 (Q3)
04-01
2023 (Q2)
12-31
2023 (Q1)
10-01
2022 (Q4)
06-30
2022 (Q3)
04-02
2022 (Q2)
01-01
2022 (Q1)
10-02
2021 (Q4)
06-30
2021 (Q3)
04-03
2021 (Q2)
12-26
2021 (Q1)
09-26
2020 (Q4)
06-30
2020 (Q3)
03-28
2020 (Q2)
12-28
2020 (Q1)
09-28
2019 (Q4)
06-30
2019 (Q3)
03-30
2019 (Q2)
12-29
2019 (Q1)
09-29
2018 (Q4)
06-30
2018 (Q3)
03-31
2018 (Q2)
12-30
2018 (Q1)
09-30
2017 (Q4)
06-30
2017 (Q3)
04-01
2017 (Q2)
12-31
2017 (Q1)
10-01
2016 (Q4)
06-30
2016 (Q3)
04-02
2016 (Q2)
12-26
2016 (Q1)
09-26
2015 (Q4)
06-30
2015 (Q3)
03-31
2015 (Q2)
12-31
2015 (Q1)
09-30
2014 (Q4)
06-30
2014 (Q3)
03-31
2014 (Q2)
12-28
2014 (Q1)
09-28
Price Ratios
Price to Earnings Ratio 253.6 108.9 100.2 280.4 -9.7 -12.02 -6.54
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Price to Sales Ratio 30.43 13.03 6.07 3.98 2.92 4.17 3.4
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Price to Book Ratio 75.36 32.82 14.47 5.81 4.93 6.66 4.92
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Price to Free Cash Flow Ratio 491.7 216 -126.1 -62.33 -41.6 -91.63 -55.19
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Price to Operating Cash Flow Ratio 258.3 111.6 77.55 51.81 43.67 62.32 65.93
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Price Earnings to Growth Ratio 2.05 0.051 -6.86 -0.013 0.901 0.875 0.198
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EV to EBITDA 259.4 108.8 84.96 108.7
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Liquidity Ratios
Current Ratio 0.606 0.606 1.37 4.37 4.72 4.76 5.36
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Quick Ratio 0.455 0.455 1.02 3.18 3.53 3.6 4.04
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Cash Ratio 0.175 0.175 0.506 1.33 1.46 1.38 1.6
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Debt Ratio 0.696 0.696 0.711 0.618 0.657 0.658 0.66
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Debt to Equity Ratio 3.95 3.95 4.2 2.3 2.97 2.99 2.93
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Long Term Debt to Capitalization 0.076 0.076 0.735 0.693 0.744 0.746 0.741
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Total Debt to Capitalization 0.798 0.798 0.808 0.697 0.748 0.749 0.745
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Interest Coverage Ratio 1.08 10.21 1.18 -1.56 -6.61 -9.21 -14.98
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Cash Flow to Debt Ratio 0.074 0.038 0.018 0.025 -0.001 0.009 0.015
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Margins
Gross Profit Margin 33.44% 36.08% 34% 33.26% 28.81% 24.76% 23.12%
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Operating Profit Margin 1.18% 9.66% 1.26% -1.75% -8.87% -12.83% -24.46%
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Pretax Profit Margin 2.43% 14.5% 0.974% -2.37% -9.22% -10.52% -23.51%
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Net Profit Margin 11.95% 11.75% 0.787% 44.37% -10.37% -15.14% -24.46%
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Operating Cash Flow Margin 11.73% 19.04% 10.85% 13.31% -0.376% 6.04% 11.75%
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Free Cash Flow Margin 6.19% 30.49% -3.43% 2.1% -15.15% -3.95% -10.24%
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Return
Return on Assets 5.24% 5.31% 2.44% 0.558% -11.25% -12.2% -16.97%
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Return on Equity 27.64% 30.13% 14.44% 2.07% -50.83% -55.46% -75.18%
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Return on Capital Employed 2.4% 2.3% -3% -4.77% -8.55% -9.76% -11.83%
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Return on Invested Capital 3.66% 0.636% -2.55% 119.1% -13.28% -19.69% -17.34%
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Turnover Ratios
Receivables Turnover Ratio 5.59 1.77 1.74 1.92 1.66 1.77 1.7
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Payables Turnover Ratio 4.03 1.22 1.26 1.42 1.55 1.64 1.59
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Inventory Turnover Ratio 2.46 0.746 0.663 0.682 0.716 0.752 0.642
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Fixed Asset Turnover Ratio 2.5 0.789 0.647 0.637 0.586 0.578 0.5
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Asset Turnover Ratio 0.438 0.138 0.116 0.114 0.107 0.101 0.085
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Per Share Items ()
Revenue Per Share 29.61 9.36 7.59 6.91 6.14 5.84 4.93
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Operating Cash Flow Per Share 3.47 1.78 0.824 0.92 -0.023 0.353 0.58
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Free Cash Flow Per Share 1.83 2.85 -0.26 0.145 -0.929 -0.231 -0.505
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Cash & Short Term Investments 16.25 16.25 15.96 12.6 12.51 13.01 13.41
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Earnings Per Share 3.54 1.1 0.06 3.06 -0.636 -0.884 -1.21
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EBITDA Per Share 3.84 1.81 0.98 0.757 0.323 0.193 -0.173
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Dividend Per Share 0 0 0 0 0 0 0
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Enterprise Value Per Share 995.7 421.6 191.5 119.6 87.73 109.2 89.5
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Book Value Per Share 12.8 11.91 11.11 16.3 12.69 12.66 13.12
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Price Per Share 964.9 390.8 160.8 94.75 62.58 84.36 64.53
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Effective Tax Rate -392.4% 18.96% 19.23% 1,971% -12.5% -43.97% -4.04%
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Short Term Coverage Ratio 0.076 0.039 0.053 6.04 -0.155 2.48 3.67
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Capital Expenditure Coverage Ratio 2.12 1.66 0.76 1.19 -0.025 0.604 0.534
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EBIT Per Revenue 0.012 0.097 0.013 -0.017 -0.089 -0.128 -0.245
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EBITDA Per Revenue 0.13 0.194 0.129 0.11 0.053 0.033 -0.035
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Days of Sales Outstanding 65.33 50.96 51.76 46.81 54.12 50.77 53.03
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Days of Inventory Outstanding 148.6 120.7 135.8 131.9 125.7 119.7 140.1
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Days of Payables Outstanding 90.49 73.5 71.17 63.18 58.04 54.93 56.68
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Cash Conversion Cycle 123.4 98.14 116.4 115.5 121.8 115.5 136.5
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Cash Conversion Ratio 0.982 1.62 13.79 0.3 0.036 -0.399 -0.481
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Free Cash Flow to Earnings 0.518 2.59 -4.36 0.047 1.46 0.261 0.419
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Discounting Cash Flows

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