ABM Industries Financial Ratios for Analysis 2009-2024 | ABM

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

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
1.401.151.091.461.411.481.631.661.571.761.701.641.661.821.81
0.420.390.350.290.330.380.460.220.140.250.260.200.270.160.20
0.730.740.550.480.520.650.860.280.160.330.340.250.380.190.25
13.0813.4415.5813.8711.2510.7910.5010.5210.3210.5210.4710.3710.9610.3510.54
5.064.473.311.603.212.151.871.061.502.472.382.252.773.112.65
5.064.473.311.603.212.151.871.061.502.472.382.252.773.112.65
6.555.854.655.984.774.273.152.182.673.683.723.434.014.153.60
4.093.972.890.892.471.361.591.011.482.382.232.162.492.982.43
3.102.952.030.011.961.520.071.111.561.631.651.461.611.831.56
1.641.601.401.591.761.781.432.262.302.122.092.322.262.262.29
---------------
5.936.115.487.016.416.355.256.406.596.776.417.667.697.767.82
61.5459.7966.6352.0756.9157.4669.4857.0255.3653.9556.9547.6447.4547.0446.67
13.9713.427.850.018.276.595.686.405.376.916.827.378.638.648.08
-25.28-20.09-12.09-0.05-21.59-13.03-8.50-146.24189-499.25-63.04-605.80-81.8080.5769.70
5.104.732.850.013.452.642.052.732.543.052.953.393.654.123.65
8.168.225.130.015.584.073.085.014.645.195.085.896.277.266.46
28.6426.1823.9122.4823.1622.0421.0017.5217.9617.4016.5415.6314.9214.0413.29
3.670.304.626.803.934.830.101.472.552.122.412.742.962.832.72
2.92-0.364.186.323.064.10-0.820.752.181.531.862.312.572.412.40

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.381.441.481.401.471.531.301.151.211.181.171.091.451.411.451.461.501.821.481.411.501.511.541.481.611.731.741.631.521.431.431.661.611.591.691.571.801.861.931.761.781.811.871.701.691.721.791.641.651.651.661.661.731.781.751.821.841.921.881.811.701.741.74
0.420.400.420.420.410.430.410.390.380.370.370.350.280.250.270.290.310.440.340.330.370.380.390.380.410.430.450.460.210.230.250.220.180.170.220.140.240.230.270.250.250.260.280.260.280.310.330.200.230.250.270.270.320.340.360.160.170.170.200.200.230.220.26
0.730.690.730.730.710.780.800.740.710.700.610.550.410.400.440.480.520.860.550.520.610.640.680.650.700.770.830.860.270.300.340.280.220.210.290.160.310.310.370.330.330.350.400.340.390.440.490.250.310.330.360.380.470.520.570.190.210.210.250.250.290.270.35
12.5712.6211.7613.6712.9413.5512.1312.8313.5113.1514.2914.7116.5314.8916.2816.3215.7212.6911.1111.8311.7611.3210.0711.1110.9311.0710.0110.7510.1611.139.9211.2710.4610.3110.0213.057.4910.5210.1712.2210.3010.399.6212.049.9510.699.6611.169.9710.3410.0011.2611.4710.9010.1910.8310.689.7610.0910.2710.1310.4711.29
1.794.023.585.096.854.673.593.924.523.965.473.28-0.613.367.344.906.72-7.792.854.043.473.421.881.562.962.861.230.311.703.891.790.821.430.941.072.91-0.612.311.413.202.642.271.952.772.362.861.633.372.151.781.663.093.782.501.643.974.071.822.552.652.352.642.93
1.794.023.585.096.854.673.593.924.523.965.473.28-0.613.367.344.906.72-7.792.854.043.473.421.881.562.962.861.230.311.703.891.790.821.430.941.072.91-0.612.311.413.202.642.271.952.772.362.861.633.372.151.781.663.093.782.501.643.974.071.822.552.652.352.642.93
---------------------------------------------------------------
0.863.092.614.155.883.642.653.163.993.575.182.97-0.992.866.834.245.74-8.442.263.332.732.671.110.812.222.060.37-0.331.593.731.660.781.390.821.052.92-0.592.291.313.162.552.141.852.682.212.701.453.261.991.671.692.893.512.171.333.853.931.672.412.482.012.492.74
0.222.172.163.004.842.621.932.432.902.573.932.02-0.892.085.003.584.02-9.141.742.912.231.860.810.592.071.681.76-0.242.502.39-4.280.582.400.351.103.040.121.561.483.051.521.231.072.831.311.641.132.541.171.110.991.672.591.340.822.422.411.001.471.731.411.491.60
0.420.410.420.420.410.400.400.410.430.410.430.380.400.390.390.390.380.370.420.450.440.430.440.450.430.420.420.390.560.550.550.580.580.580.560.600.550.530.540.420.590.570.570.400.580.570.570.590.570.560.570.580.560.550.530.580.570.580.570.570.560.560.56
---------------------------------------------------------------
1.581.541.501.531.521.481.511.571.581.551.601.491.701.701.631.741.651.571.611.631.551.521.551.631.551.571.561.441.511.541.551.651.681.711.631.721.601.541.531.331.761.751.721.241.851.841.841.941.871.871.871.961.901.911.792.001.891.931.821.951.851.831.77
56.8458.5760.1058.7059.1061.0259.6357.2256.8958.0856.2460.3553.0952.8055.3151.7854.5857.2855.8455.3357.9659.1558.1755.3557.9657.2657.8062.3759.7558.5058.0654.7053.7252.7455.1852.3656.3958.5058.8667.5451.2151.3852.4872.6948.6848.9548.9446.3548.1948.0248.0945.9547.2747.2050.2444.9847.5046.5849.3446.1748.6449.1850.72
0.262.382.453.495.272.912.222.843.382.924.592.13-0.871.944.763.543.86-9.811.793.122.432.020.890.602.311.771.98-0.183.403.371.770.923.300.691.372.240.121.601.451.982.031.621.411.521.792.211.563.261.531.441.322.283.561.871.122.902.931.231.842.221.841.972.26
-0.45-4.74-4.66-6.33-10.25-4.93-3.45-4.25-5.70-4.77-7.68-3.274.52-10.58-22.33-12.93-11.8625.47-4.97-8.14-5.71-4.39-1.82-1.20-4.34-3.11-3.260.27-60.70-35.63-13.23-21.13-135.95-15.25-30.0279.02-2.45-58.61-33.03-143.28-36.88-20.97-15.96-14.02-13.02-13.31-7.82-267.51-31.48-23.86-15.42-21.65-28.54-11.56-6.0027.0423.118.7114.1319.2019.8219.0325.92
0.090.890.901.271.971.050.781.001.231.061.690.77-0.350.821.981.411.53-3.350.731.300.970.800.350.240.900.680.74-0.071.401.320.670.391.470.310.601.060.050.730.640.880.890.710.610.660.760.930.641.500.670.630.560.971.450.740.431.381.370.580.841.000.790.860.94
0.151.421.432.043.111.661.311.742.111.842.891.39-0.621.463.492.522.65-5.471.192.101.541.250.540.371.371.011.08-0.102.672.601.330.722.690.571.061.940.091.221.061.491.531.201.011.131.291.531.042.601.171.080.971.662.431.230.712.442.421.021.481.781.421.541.68
29.2329.3828.8028.6428.3926.9626.2726.1825.4025.0024.5423.9123.5023.8323.3922.4821.7720.9323.3723.1622.6522.3322.0722.0422.1221.8621.5721.0017.3616.8116.3017.5217.8817.7417.7717.9617.5717.7317.5817.4017.0316.7516.6316.5416.2215.9915.7315.6315.2315.1314.9914.9214.7314.3114.1314.0413.7313.4913.4213.2913.1012.9312.78
3.091.840.003.671.56-0.67-1.060.30-1.44-2.04-1.374.623.832.530.676.803.851.91-0.513.931.700.84-0.594.833.132.010.510.100.450.85-0.201.471.320.99-0.522.551.760.68-0.572.121.000.66-0.682.411.500.68-0.212.741.521.010.222.961.570.610.022.831.520.84-0.172.721.471.300.51
2.401.39-0.212.921.07-1.01-1.25-0.36-1.94-2.27-1.514.183.522.330.596.323.511.70-0.623.061.040.44-0.764.102.581.680.35-0.82-0.270.36-0.380.750.850.72-0.642.181.400.51-0.631.530.540.34-0.851.861.140.50-0.282.311.130.740.012.571.270.43-0.072.411.200.63-0.292.401.231.160.41