AbbVie Financial Ratios for Analysis 2009-2024 | ABBV

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

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
202320222021202020192018201720162015201420132012201120102009
0.870.960.790.843.180.981.281.651.501.412.592.271.252.19-
0.830.770.810.861.151.320.860.890.880.860.760.810.00--
5.713.664.976.57-8.17-4.777.337.958.038.603.284.660.00--
62.4270.0068.9666.4177.6476.4475.0477.2580.3177.8375.6275.4773.4172.5571.46
23.4931.2131.8924.8139.0319.4933.8336.4332.9717.0930.1431.6520.7530.1634.70
23.4931.2131.8924.8139.0319.4933.8336.4332.9717.0930.1431.6520.7530.1634.70
39.5045.7947.0638.9445.0924.8839.1541.0736.6321.0334.9237.9128.0437.7439.60
11.5123.2123.117.4225.3315.8727.3930.7529.0711.8728.3831.1521.0330.9241.86
8.9520.3920.5410.0823.6917.3618.8223.2222.508.8921.9728.7019.6826.7232.62
0.400.420.380.300.370.550.400.390.430.730.640.680.890.74-
4.984.875.584.654.104.814.394.042.623.943.984.135.325.13-
4.875.165.635.196.136.085.555.394.835.343.914.284.574.64-
74.9670.7664.8070.3059.5660.0065.8267.7475.5368.3093.3085.3579.8778.73-
46.8768.5274.8235.29-96.45-67.3310412813010291.9015728.7726.61-
-6.29-14.39-12.43-4.49-18.58-12.54-13.88-15.00-17.78-31.49-112.33-103.6311771.85-
3.628.537.883.078.849.587.509.019.706.4514.1419.5317.5919.77-
7.7915.5014.505.1014.3821.4214.7314.4915.5014.4521.9829.3228.6926.61-
5.899.778.737.42-5.53-5.693.202.912.451.092.83----
12.8814.0312.8210.518.988.696.214.324.602.203.914.023.963.160.00
12.4413.6412.3710.048.618.275.884.024.281.823.603.813.742.87-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312009-12-31
0.650.810.940.870.960.890.960.960.930.840.820.791.010.910.830.840.950.863.143.181.150.891.040.981.200.801.201.281.451.381.761.651.791.811.561.502.031.501.391.412.652.822.792.592.412.302.212.272.041.241.221.25-----
0.910.890.890.830.820.810.820.770.790.810.800.810.850.860.840.860.840.851.131.151.331.371.291.321.091.120.900.860.840.850.880.890.850.870.860.880.870.830.890.860.760.740.750.760.800.800.830.81---0.00-----
11.7110.369.205.715.014.734.673.664.344.974.504.975.956.526.236.575.695.93-9.04-8.17-4.67-4.35-4.75-4.77-13.87-11.0010.497.335.656.207.397.955.776.716.878.036.615.6511.098.603.182.833.073.284.144.155.094.66---0.00-----
70.8770.9466.7460.1153.4469.4267.3972.4266.1071.4170.0770.9869.3967.6067.6266.2060.8664.4077.4776.9577.3677.9678.3675.6577.7276.6475.7170.5376.9077.9875.2877.1376.6278.2277.0276.9580.3783.2781.3179.4878.2077.4175.8974.9276.5677.5473.3775.7077.5176.1272.30208--69.02--
26.4927.6422.7322.3416.3832.5522.6436.3931.0822.5934.8434.0930.0231.8131.5427.0825.237.2141.8045.4530.8641.1938.45-29.3938.3633.3736.5923.0338.5138.3436.8234.0536.7137.0038.2333.0231.7133.8333.47-7.6119.1330.7629.6130.0329.4330.9730.1534.9835.4031.6523.44-121.03100.00100.0021.16--
26.4927.6422.7322.3416.3832.5522.6436.3931.0822.5934.8434.0930.0231.8131.5427.0825.237.2141.8045.4530.8641.1938.45-29.3938.3633.3736.5923.0338.5138.3436.8234.0536.7137.0038.2333.0231.7133.8333.47-7.6119.1330.7629.6130.0329.4330.9730.1534.9835.4031.6523.44-121.03100.00100.0021.16--
---------------------------------------------------------
14.4114.8414.268.4714.0218.823.8919.6129.718.1136.4128.6925.718.3329.72-10.8719.38-6.6535.9435.3223.609.7832.50-28.5733.5224.3135.2515.4229.9533.8931.9129.4031.3132.4929.8130.0627.7130.6527.70-19.0213.6929.0928.1828.1627.6129.1628.6232.9035.5831.2024.1157.76--22.03--
10.809.4711.125.7512.7714.601.9616.3526.666.3433.1727.1722.175.4927.310.2617.89-7.0834.9232.1822.228.9831.37-21.9933.3523.9635.080.6723.3227.5826.1720.4724.8424.9522.7323.7020.8424.9520.28-14.8610.0822.2921.4822.0720.7022.7622.3629.5835.1628.2021.1623.790.2936.0318.56--
0.100.100.080.110.100.100.090.110.100.100.090.100.100.090.090.090.090.070.090.100.140.140.140.140.120.130.110.110.100.100.100.100.100.100.110.120.110.100.190.200.180.170.160.180.160.170.160.190.200.250.220.25-----
0.951.000.961.391.631.051.041.171.581.231.161.381.421.341.291.421.450.911.051.111.000.961.001.261.031.221.111.420.910.971.131.080.920.800.770.860.630.560.921.001.091.061.001.110.930.971.111.161.061.241.263.94-----
1.261.231.031.281.221.211.071.341.381.301.261.491.551.411.361.571.531.251.351.601.531.511.381.541.421.431.361.521.431.431.401.431.291.281.251.351.301.251.161.461.261.290.991.061.231.251.011.211.461.501.141.27-----
71.4072.9687.3670.2073.7574.5984.4666.9865.2869.3571.3560.3258.2463.9266.3357.2958.7172.1266.4356.1358.6959.7765.3058.3563.1662.9866.2659.1762.9362.9864.3863.0169.9570.4271.8066.5269.2671.7977.7961.6671.6469.6390.5384.5873.3872.0389.3874.3061.8459.9778.6570.63-----
25.7620.1317.057.9314.6815.721.8114.3024.666.3227.5426.2123.426.1125.890.2915.13-5.02-40.59-34.28-22.90-8.65-31.3821.62-94.04-58.7678.331.0224.3931.8734.2330.0024.7028.5529.1638.4525.4824.8274.22-46.5010.8921.0420.8625.1126.9530.0232.7445.7910.1211.017.339.70-----
-1.63-1.58-1.57-1.06-2.27-2.47-0.29-3.00-4.68-1.04-4.99-4.35-3.31-0.78-3.56-0.04-2.260.71-7.31-6.60-4.40-1.66-5.554.03-6.07-4.31-7.04-0.14-4.38-5.04-4.37-3.51-4.17-4.09-4.81-5.24-4.39-4.94-18.1414.38-17.47-40.35-29.03-30.69-20.89-22.90-18.42-30.2622.1842.3628.1039.60-----
1.090.970.920.611.311.500.181.782.800.653.142.762.140.522.360.031.55-0.493.303.143.171.304.33-3.084.153.224.010.072.372.862.612.102.402.402.522.862.262.543.83-2.941.783.783.423.863.413.833.565.706.977.154.665.93-----
2.422.121.911.322.632.950.333.235.171.235.635.083.630.894.040.042.37-0.765.395.117.573.219.02-6.888.187.298.080.144.014.814.123.393.653.753.974.573.424.198.47-6.602.655.585.146.015.375.975.518.5610.1211.017.339.67-----
3.443.864.565.896.877.317.549.779.068.319.238.737.687.137.787.428.668.35-5.02-5.53-5.56-5.79-5.29-5.69-1.94-2.232.243.204.193.773.142.913.983.462.872.452.973.330.861.092.923.282.952.832.252.241.87----------
6.643.562.2812.8810.215.942.3614.039.865.582.7612.829.965.502.7510.517.184.192.578.986.783.702.038.696.623.511.666.214.602.571.314.323.352.481.314.603.352.090.992.202.561.460.393.913.132.000.744.023.432.001.013.944.002.180.000.000.00
6.253.322.1712.449.895.742.2613.649.595.412.6712.379.625.282.6410.046.894.012.498.616.513.541.968.276.283.361.585.884.382.431.254.023.132.321.244.283.121.930.901.822.281.280.303.602.921.880.683.813.281.840.913.723.812.06---