Adidas AG Financial Ratios for Analysis 2009-2024 | ADDYY

Fifteen years of historical annual and quarterly financial ratios and margins for Adidas AG (ADDYY).

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
1.221.271.561.381.251.441.371.311.401.681.451.571.501.501.58
0.330.360.240.270.180.200.130.130.210.220.110.190.160.220.29
0.600.650.320.470.230.260.170.250.320.330.240.300.240.350.47
47.5347.2850.7049.6652.0051.8550.4448.6248.2847.6449.2747.7347.5447.7945.39
1.252.979.363.7811.2510.819.767.736.265.917.946.406.155.703.10
1.252.979.363.7811.2510.819.767.736.265.917.946.406.155.703.10
6.909.0814.7710.6816.3913.0412.049.798.588.7010.3210.008.047.965.98
0.301.728.722.9010.8210.859.537.496.145.757.835.726.956.723.45
-0.352.729.972.188.367.775.175.273.753.415.453.525.024.742.36
1.191.110.960.941.141.401.461.271.271.171.251.281.171.131.17
2.481.992.612.272.783.062.852.632.813.012.793.132.822.953.85
10.398.569.379.638.698.898.898.397.887.137.658.827.827.197.26
35.1342.6638.9537.9141.9841.0741.0443.4846.3151.1847.7341.4046.6950.7550.24
-1.184.7519.046.4127.1826.8621.0415.7912.159.4014.8614.9511.9012.766.49
-1.796.9423.849.5741.3641.9036.0931.8928.1318.5130.2233.5330.3939.4530.78
-0.321.256.742.049.2710.959.326.715.144.257.026.795.585.552.76
-0.793.0614.484.6822.1721.4318.2513.709.657.3313.2712.1410.049.904.58
14.9315.7924.2019.5920.1718.8717.8417.7315.66------
7.97-1.569.724.357.997.734.563.623.002.232.012.902.642.844.25
6.90-3.018.223.296.335.992.692.061.740.660.671.801.582.123.62

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
2023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.221.291.281.271.271.251.341.441.561.661.541.541.381.391.201.231.251.371.321.391.441.511.351.421.371.381.331.331.311.331.371.401.401.491.511.661.681.511.391.481.451.521.631.751.571.701.571.651.501.711.571.601.501.591.571.631.581.501.541.63
0.330.300.360.360.360.230.280.260.240.240.250.250.270.280.200.190.180.180.200.190.200.200.160.130.130.130.140.130.130.140.200.210.210.200.210.190.220.090.110.100.110.100.170.180.190.170.180.180.160.220.240.230.220.230.240.260.290.390.430.42
0.600.540.750.810.650.460.430.360.320.320.430.420.470.640.440.370.230.280.320.240.260.260.200.180.170.260.320.360.250.330.380.380.320.340.350.310.330.190.300.260.240.240.240.220.300.280.300.300.240.310.350.340.350.360.370.430.470.820.950.92
44.5449.2650.8944.8038.7949.0950.3049.9448.9350.1451.8451.8248.7150.0351.0249.3448.9052.0953.4653.5652.2751.8352.2951.1052.0650.4550.1249.2048.8347.5548.8249.4446.3648.4248.3650.0247.6147.4050.4848.5447.1348.7949.1450.6748.1347.4050.4147.7546.6547.0649.7044.6646.1943.4948.9250.9747.6245.2644.9844.39
-7.976.833.281.14-14.368.807.018.220.9411.6810.7013.363.4513.31-9.331.374.1013.9911.6714.872.1315.3211.2713.433.0214.0210.0411.160.2910.409.3610.251.9210.615.156.67-7.099.153.109.023.5412.199.189.03-5.6211.842.3310.04-3.9610.794.7515.72-4.2718.986.684.49-9.0111.622.923.90
-7.976.833.281.14-14.368.807.018.220.9411.6810.7013.363.4513.31-9.331.374.1013.9911.6714.872.1315.3211.2713.433.0214.0210.0411.160.2910.409.3610.251.9210.615.156.67-7.099.153.109.023.5412.199.189.03-5.6211.842.3310.04-3.9610.794.7515.72-4.2718.986.684.49-9.0111.622.923.90
------------------------------------------------------------
-8.755.432.300.61-14.666.415.367.750.4810.9410.0512.702.2312.66-10.170.573.7913.4911.2214.412.2115.4411.1813.502.9413.519.6511.29-0.4310.079.2710.42-0.7610.405.768.59-2.409.646.078.111.0211.276.8511.50-7.3111.486.9810.170.6111.166.508.020.4610.076.039.530.3510.601.140.34
-7.984.321.57-0.74-10.425.425.259.093.7516.697.8210.592.249.15-8.240.652.8010.069.6410.741.8511.207.539.72-0.659.273.148.02-0.427.136.587.36-1.056.543.745.41-3.886.854.165.77-0.198.155.088.21-8.078.244.697.560.588.094.576.390.247.674.326.280.777.380.330.31
0.270.320.280.270.250.290.260.250.220.260.230.240.270.280.180.230.280.320.290.310.320.380.370.370.350.380.340.360.300.380.320.360.310.370.310.300.240.350.280.310.310.340.300.320.290.350.280.330.270.340.300.350.290.370.280.270.280.320.260.26
0.590.630.470.510.520.520.510.580.630.780.600.640.670.640.340.560.720.840.720.830.700.880.730.840.660.820.690.800.620.890.640.820.700.910.690.820.700.810.610.720.710.780.650.800.720.940.670.840.690.860.660.830.760.950.730.820.950.960.660.70
2.322.111.991.811.931.911.791.812.191.932.122.112.772.181.801.642.131.931.931.902.051.901.871.922.121.951.971.921.991.921.801.841.951.841.661.581.471.721.561.581.901.741.651.592.001.751.501.621.811.661.501.651.831.741.461.281.771.551.421.39
38.8242.5845.2949.7346.5647.0850.2149.6241.1046.6942.3742.6632.5441.2750.0454.9542.3346.6846.5847.3543.9847.4148.0446.9842.3946.2345.5746.9345.3246.8449.9148.9346.2648.9254.1956.9461.1852.4557.7556.9447.3851.7254.6956.4445.0951.4860.0255.6949.7954.1160.0954.5849.2151.6761.6870.1250.9358.1663.3464.66
-8.174.821.86-0.46-9.401.015.614.451.396.005.266.671.698.51-4.730.292.489.076.999.121.2110.116.947.970.268.515.676.79-0.276.335.046.18-0.555.902.623.69-1.024.612.553.69-0.125.693.215.32-5.145.832.785.240.345.913.094.990.166.432.663.760.526.520.250.23
-12.406.912.76-0.68-13.731.397.625.781.747.416.588.292.5212.77-7.450.453.7813.6310.7413.731.8915.4510.9913.020.4414.6610.3813.07-0.5413.0311.0813.65-1.2613.195.527.09-2.018.985.187.31-0.2511.646.9511.13-11.5313.006.6512.300.8614.979.0714.520.4920.279.0614.072.4569.835.552.43
-2.231.440.50-0.12-2.480.301.691.450.492.181.772.310.542.69-1.510.100.853.202.403.270.494.222.923.660.113.692.362.90-0.112.712.072.61-0.232.591.141.72-0.462.401.181.80-0.062.801.522.64-2.332.891.292.520.162.771.352.260.072.861.191.680.222.340.090.08
-5.473.361.19-0.29-6.060.784.053.291.064.583.945.021.236.16-3.790.232.027.405.637.400.978.095.846.960.227.384.885.92-0.235.464.024.91-0.434.702.072.99-0.804.212.283.30-0.115.102.654.39-4.184.842.294.310.284.612.353.870.124.942.032.770.373.980.140.13
14.93-15.76-15.79-18.72-24.20-22.72-19.59---20.17-18.77-18.87-17.87-17.8418.7016.6217.7217.7317.0216.2915.6015.6615.86--------------------------
7.974.621.40-1.66-1.56-2.13-1.34-1.309.726.103.610.354.35-2.62-2.32-2.357.994.512.811.157.735.082.47-0.104.562.130.46-1.443.621.02-0.21-0.713.000.87-0.08-0.722.23-0.44-0.50-1.222.01-0.13-0.24-1.822.91-0.010.00-2.202.32-0.55-1.14-1.992.540.54-0.23-1.423.520.45-1.37-1.93
6.904.061.08-1.80-3.01-3.03-1.93-1.548.225.343.210.203.29-3.40-2.84-2.676.333.562.260.955.993.851.83-0.322.690.90-0.19-1.702.060.16-0.68-0.861.740.08-0.43-0.850.66-1.54-1.29-1.680.67-0.93-0.72-1.941.81-0.67--2.371.40-1.18-1.51-2.131.900.20-0.43-1.502.990.04-1.59-2.06