Archer Daniels Midland Financial Ratios for Analysis 2009-2024 | ADM

Fifteen years of historical annual and quarterly financial ratios and margins for Archer Daniels Midland (ADM).

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
2023202220212020201920182017201620152014201320122012201120102009
1.601.461.451.501.551.751.591.601.621.671.821.751.842.082.082.18
0.250.240.260.280.290.290.270.270.240.220.210.250.260.310.320.36
0.350.380.420.500.460.440.410.400.330.290.340.500.570.550.520.59
8.007.457.026.926.416.505.785.805.865.874.334.004.125.336.235.91
4.324.153.512.742.563.132.532.632.933.492.372.162.293.333.963.87
4.324.153.512.742.563.132.532.632.933.492.372.162.293.333.963.87
5.455.164.684.264.094.604.054.074.234.593.383.123.254.425.445.00
4.575.153.892.932.463.202.652.923.373.852.252.191.983.744.193.61
3.714.273.182.752.132.812.622.052.732.771.491.521.372.523.132.43
1.721.701.521.291.471.581.521.571.691.852.052.012.141.911.942.19
7.236.365.475.116.606.836.256.657.738.157.516.287.006.347.358.37
22.2020.6225.7523.0428.5228.8131.2432.7338.9530.0327.8526.2525.8916.7810.089.47
16.4417.7014.1815.8412.8012.6711.6811.159.3712.1513.1013.9114.1021.7536.2338.56
14.3517.9512.158.907.179.558.747.5010.3011.486.717.286.8410.7113.1212.36
19.4724.5617.3512.3410.0312.1411.129.5612.9813.876.907.587.0711.0713.6012.86
6.347.304.873.583.134.444.013.244.605.123.093.082.994.786.035.34
10.7013.628.966.395.136.806.425.447.798.965.305.445.037.458.947.95
47.0744.4640.1936.0134.5233.9832.8929.9830.1130.8230.6429.0327.5727.8722.9021.27
8.236.1811.65-4.22-9.65-8.44-10.43-11.012.757.547.883.524.35-3.584.178.29
5.473.839.59-5.68-11.12-9.92-12.26-12.500.936.176.512.442.20-5.371.735.45

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.441.471.601.691.631.511.461.511.471.421.451.581.651.581.501.641.721.511.551.601.551.521.751.671.591.571.591.611.591.511.601.611.511.631.621.631.761.681.671.942.071.951.821.901.911.731.751.721.841.841.841.88-1.731.571.81-2.082.122.24-2.16
0.270.260.250.250.250.240.240.240.250.270.260.270.280.290.280.290.310.310.290.290.290.290.290.260.240.260.270.270.260.260.270.270.240.250.240.250.240.230.220.210.210.210.210.220.220.220.250.260.260.260.270.27-0.330.300.31-0.320.330.35-0.37
0.480.430.350.330.350.420.380.360.470.550.420.410.450.540.500.420.480.660.460.470.500.520.440.410.410.480.410.420.400.420.400.400.420.370.330.380.370.340.290.270.280.280.340.350.400.470.500.570.570.560.510.52-0.850.800.58-0.500.530.55-0.60
6.277.597.578.347.488.646.797.347.708.027.156.526.388.197.526.896.816.357.166.455.966.066.606.706.925.735.865.485.975.826.126.884.725.434.936.575.616.306.948.115.453.264.855.403.583.484.003.703.594.763.494.72-5.785.904.81-5.886.626.52-4.37
2.203.243.574.594.144.983.334.024.714.523.742.983.164.233.352.682.891.923.152.992.271.763.103.323.642.423.012.252.462.383.363.441.522.102.243.442.553.453.775.623.471.363.023.401.571.472.071.911.852.86100.002.86-3.81100.002.54-3.54100.004.15-2.04
2.203.243.574.594.144.983.334.024.714.523.742.983.164.233.352.682.891.923.152.992.271.763.103.323.642.423.012.252.462.383.363.441.522.102.243.442.553.453.775.623.471.363.023.401.571.472.071.912.652.86-2.86-3.81-2.54-3.54-4.15-2.04
--------------------------------------------------------------
2.684.053.194.754.495.804.684.985.575.374.383.213.604.364.211.323.392.513.043.011.682.061.964.003.822.993.381.522.563.063.813.032.602.134.262.223.063.944.775.703.421.772.583.311.411.732.821.351.832.680.523.01-3.944.772.75-3.534.934.81-0.96
2.183.342.463.783.684.863.934.184.534.463.392.593.113.653.821.492.882.613.092.431.441.521.983.393.322.534.901.291.852.262.572.151.821.604.371.522.252.823.364.122.481.291.552.230.991.242.050.831.581.890.342.10-2.883.502.05-2.783.563.32-0.02
0.420.400.420.390.450.410.430.420.440.360.410.390.450.370.360.340.370.310.370.400.380.350.390.400.440.380.400.380.400.380.410.400.390.360.410.410.420.420.470.430.540.500.550.520.560.500.550.490.550.510.560.53-0.460.490.47-0.470.470.47-0.46
2.001.741.781.771.961.491.641.721.741.261.481.701.881.361.421.611.991.591.651.941.851.611.691.742.001.491.651.681.791.631.752.041.861.721.902.082.071.962.072.072.251.762.012.182.131.691.731.531.791.521.811.88-1.411.561.77-1.731.631.95-1.81
5.085.235.434.886.135.385.275.285.115.586.975.366.595.786.445.786.306.147.207.466.706.097.148.178.987.238.257.768.708.538.667.036.927.329.467.777.738.607.738.545.267.457.496.216.406.127.227.266.596.874.582.12-1.931.972.06-2.582.252.26-2.05
17.7317.2116.5818.4314.6816.7217.0917.0617.6016.1212.9116.8013.6515.5713.9815.5714.2814.6512.5012.0613.4414.7912.6011.0210.0212.4510.9011.6010.3410.5510.3912.8113.0012.299.5111.5811.6510.4711.6510.5417.1212.0812.0214.5014.0514.7212.4612.3913.6513.0919.6742.47-46.7545.6943.79-34.9240.0139.81-43.88
2.173.092.243.263.724.714.214.325.084.483.542.423.303.323.461.172.442.062.602.161.251.241.672.823.022.114.321.111.581.982.481.961.631.284.001.422.062.633.593.692.631.341.872.461.191.422.671.001.982.18-2.50-3.41-2.22-2.82-3.49-0.02
3.174.443.044.375.036.405.765.876.946.265.063.274.364.444.801.613.352.843.633.021.771.742.123.593.802.685.501.432.032.553.162.512.091.645.041.732.503.154.343.832.731.391.922.531.221.462.781.032.052.26-2.59-3.53-2.30-2.92-3.62-0.02
0.911.310.991.501.671.991.711.782.011.641.421.021.401.351.390.501.060.811.130.980.560.540.781.351.460.961.980.500.730.861.070.860.720.581.790.620.941.181.601.791.330.650.861.160.560.621.130.410.870.97-1.11-1.30-0.95-1.29-1.56-0.01
1.582.281.672.462.793.593.193.273.823.272.611.782.372.372.480.831.691.421.861.540.890.881.192.082.291.563.180.811.171.471.801.421.240.973.031.071.562.032.802.922.081.051.481.930.931.111.990.741.461.61-1.84-2.27-1.54-1.92-2.28-0.01
46.3646.2847.0747.4046.6045.6844.4643.7743.5442.1940.1939.3438.6537.3236.0134.7934.7334.1934.5233.9234.0133.7733.9833.9333.4733.5232.8931.4430.9430.1029.9830.3730.3130.5230.1129.7530.2230.0130.8231.3631.2030.6330.6429.7428.8528.8029.0327.9827.5728.1127.4427.56-26.1424.9724.08-22.9723.0122.19-20.91
2.371.368.233.501.65-2.926.185.95-1.19-2.1211.6510.345.310.53-4.22-2.70-0.78-1.16-9.65-6.46-4.79-3.60-8.44-6.48-5.61-6.33-10.43-5.71-3.62-2.57-11.012.20-0.620.042.751.790.650.077.546.771.49-0.547.887.333.540.543.520.51-0.22-1.184.563.100.00-6.94-6.37-1.360.004.302.143.090.009.09
1.000.745.471.550.55-3.493.834.45-2.05-2.509.599.084.560.22-5.68-2.43-1.42-1.49-11.12-7.39-5.47-3.95-9.92-7.46-6.28-6.67-12.26-6.93-4.41-2.92-12.501.32-1.29-0.260.930.450.00-0.306.175.850.92-0.816.516.392.910.182.44-0.77-2.38-1.673.323.15--8.20-7.31-1.82-2.430.722.33-6.91