Abbott Laboratories Financial Ratios for Analysis 2009-2024 | ABT

Fifteen years of historical annual and quarterly financial ratios and margins for Abbott Laboratories (ABT).

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
1.641.631.851.721.441.622.264.021.541.302.022.361.541.291.79
0.260.280.320.360.350.390.470.500.220.140.120.400.330.350.33
0.380.450.500.570.580.640.901.060.420.360.260.760.630.830.71
55.1856.1556.9756.6558.5358.4554.7056.3957.1354.4753.2353.2953.2158.3057.06
16.1519.1619.5615.4814.2111.945.7114.5114.0512.8410.857.147.6117.3120.27
16.1519.1619.5615.4814.2111.945.7114.5114.0512.8410.857.147.6117.3120.27
24.2426.6427.7725.0923.6522.7620.0721.7921.2620.4819.6021.7421.8324.7727.06
16.6119.0319.0614.3612.789.408.156.7815.6012.4410.38-1.155.7716.2523.38
14.2715.8816.4212.9911.567.741.746.7121.6811.2813.1031.3022.0913.1618.68
0.550.590.570.480.470.460.360.400.490.490.460.280.360.580.59
2.743.103.592.993.073.353.453.743.373.493.412.353.054.604.05
6.117.026.645.405.885.905.226.425.975.654.932.502.794.904.70
59.7451.9954.9767.6562.0761.8669.9556.8561.1464.6574.0114613174.5677.62
14.7418.7919.6313.5511.787.601.145.1312.227.957.870.884.5920.3224.78
90.3719013,094-80.92-41.34-20.34-2.4512.5142.5432.0220.379.67-96.33-87.01155
7.829.319.406.165.433.470.462.026.324.184.630.351.877.6410.93
10.9213.4813.268.687.694.660.612.579.586.886.940.533.0813.1116.68
22.3921.2420.4218.6317.7617.5017.8414.0714.4814.3516.3217.0115.6214.7214.95
4.155.435.894.423.453.563.182.161.972.412.115.855.725.614.68
2.894.424.833.202.532.772.541.401.231.701.384.724.774.963.98

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.601.681.601.641.741.641.681.631.862.011.851.851.831.791.751.721.701.571.431.441.541.681.581.621.421.581.662.262.692.942.914.021.561.501.481.541.822.302.171.301.521.851.762.021.741.821.842.361.671.531.531.541.501.521.371.291.251.361.171.791.711.631.53
0.240.250.240.260.280.280.280.280.300.310.320.320.340.340.340.360.370.370.360.350.360.370.380.390.380.390.400.470.420.430.430.500.220.220.220.220.220.200.210.140.140.130.130.120.130.130.130.400.310.330.320.330.350.320.340.350.380.390.340.330.350.360.39
0.370.370.370.380.410.450.450.450.460.460.480.500.530.540.550.570.590.640.600.580.600.600.610.640.760.670.690.900.750.760.761.060.410.430.410.420.390.380.400.360.360.310.330.260.350.350.310.760.600.740.650.630.680.690.760.830.870.920.820.710.730.790.88
55.8355.6455.2155.5154.6055.0755.5754.4855.5356.1858.0758.4459.5351.6157.9158.0155.2055.4757.5358.7058.4258.9058.0658.9158.6557.7458.5056.7557.8951.9551.6755.3356.9057.1256.1957.4856.4757.1057.5056.3754.3454.7652.1851.0753.2653.2754.7847.2852.7355.3955.3563.0159.5359.7557.3259.4256.8759.8556.6856.9556.7158.2556.30
17.4816.0813.9117.3816.2415.4515.4812.9217.0021.1124.4820.7423.3013.6220.1722.7316.899.179.8116.7114.8315.119.8115.0013.0011.368.238.5811.265.82-3.8214.7916.9215.3010.7315.7113.8414.1012.4615.4814.3313.397.6810.439.8011.5111.44-0.735.8910.629.6420.066.0618.4414.3918.3613.6218.2019.1021.2021.1322.3015.79
17.4816.0813.9117.3816.2415.4515.4812.9217.0021.1124.4820.7423.3013.6220.1722.7316.899.179.8116.7114.8315.119.8115.0013.0011.368.238.5811.265.82-3.8214.7916.9215.3010.7315.7113.8414.1012.4615.4814.3313.397.6810.439.8011.5111.44-0.735.8910.629.6420.066.0618.4414.3918.3613.6218.2019.1021.2021.1322.3015.79
---------------------------------------------------------------
18.2415.4914.4117.5316.4716.4016.0313.0816.8920.8924.1820.2922.8113.1919.5422.3216.057.188.1914.9113.6613.818.3912.209.3810.005.837.569.174.4411.6216.41-3.3813.410.0416.0013.8619.0713.3315.0114.0813.017.1710.109.9711.0410.30-45.304.399.978.7718.835.1117.4111.8217.7412.2717.6617.1820.7424.1120.9128.76
15.4812.5512.2915.5614.1613.7813.5210.2413.7817.9320.5717.3419.2211.6317.1520.2013.927.337.3012.6211.8912.618.928.427.359.445.66-10.918.834.266.6114.96-6.2111.536.4714.7811.2615.1646.8016.9010.599.227.8914.7220.028.7410.1233.0436.9032.4623.5115.603.0920.209.5514.4510.2714.6313.0317.5119.0717.1921.41
0.140.140.140.140.140.140.130.140.140.150.160.150.150.140.140.150.130.110.120.120.120.120.110.120.110.110.100.100.090.090.090.100.130.130.120.130.120.120.110.130.120.120.110.090.110.130.130.050.080.090.080.170.160.160.150.160.150.170.140.170.160.160.15
0.690.680.650.690.690.650.650.740.810.840.880.920.840.910.820.900.770.630.720.800.760.750.770.840.840.880.800.910.830.890.770.980.870.810.770.850.850.810.790.880.860.810.820.730.800.930.900.440.650.670.661.171.221.111.131.271.131.120.981.160.980.890.93
1.511.511.511.561.561.621.621.621.621.561.661.771.711.671.721.671.571.431.461.531.481.441.411.501.451.501.381.451.421.431.401.641.601.501.421.521.491.461.411.491.401.251.221.011.241.381.370.420.760.790.691.351.391.371.261.391.391.391.181.341.421.371.29
59.6759.4459.6657.6957.6755.6755.5955.4655.4057.5654.3250.9152.7553.8252.4753.9457.4363.1361.6558.7360.7462.5863.8460.0661.9660.1665.2362.2563.2662.8364.0754.8156.3660.2063.1959.2960.4761.8563.9860.2664.1172.1973.5089.5172.4365.1065.5621511911513066.6464.5865.8771.2864.8664.8364.6376.2366.9863.4965.4870.02
4.113.293.144.113.813.683.542.804.005.506.875.526.063.495.316.543.901.741.793.353.003.152.162.131.792.331.29-2.781.740.851.223.69-1.712.880.273.262.813.402.412.931.901.790.951.282.712.122.40-3.221.251.671.386.601.237.343.496.334.156.464.776.646.936.478.00
18.2515.4516.6425.1727.9731.8930.6628.2952.1884.791,0883,683-106.44-37.90-47.47-39.06-17.72-6.66-6.21-11.76-11.30-10.56-6.37-5.71-4.60-5.51-3.016.00-6.66-3.00-4.199.01-4.2410.451.0011.3510.6010.568.6011.806.394.992.773.327.916.417.55-35.2513.91177-230.73-138.51-12.98-95.85-20.98-27.10-12.78-28.77-21.5341.6450.6575.52534
2.211.781.692.181.991.871.791.391.972.723.312.652.851.622.462.971.780.780.811.551.401.470.990.980.771.050.58-1.130.780.380.541.45-0.901.500.141.691.431.781.231.541.031.020.540.751.461.111.27-1.290.540.660.562.690.513.131.402.381.552.421.882.932.972.703.17
3.112.472.373.042.752.652.542.012.803.774.643.734.032.313.504.192.471.101.152.191.931.981.341.311.101.420.78-1.481.010.490.701.85-1.332.230.212.562.192.711.892.531.641.570.831.132.371.842.08-1.920.871.120.944.430.804.972.324.082.593.963.154.474.494.124.85
23.0822.7422.4422.3921.7121.5521.4121.2420.5820.9720.3520.4219.5919.1919.0218.6317.8317.3917.2017.7618.1118.0517.6517.5017.5917.5418.0217.8418.5118.3018.1814.0714.1914.1514.1914.4814.2215.5214.7714.3515.2715.7615.6416.3215.3814.4314.5517.0117.1515.6616.2315.6215.8517.0115.9014.7213.9012.9513.6114.9513.8212.8911.64
3.261.700.594.152.421.340.655.434.112.531.165.894.172.661.474.422.291.140.403.452.090.990.403.562.561.330.633.182.241.100.332.161.380.55-0.061.971.420.630.002.411.600.810.222.111.080.750.295.854.902.701.405.694.832.881.295.614.132.490.984.683.511.560.45
2.411.170.362.891.590.830.444.423.452.140.984.833.462.211.253.201.460.580.202.531.410.540.212.772.041.010.472.541.790.800.171.400.830.22-0.231.230.850.33-0.151.701.080.480.051.380.550.390.124.724.022.151.114.744.052.391.044.963.672.160.823.982.961.220.29