Ameren Financial Ratios for Analysis 2009-2024 | AEE

Fifteen years of historical annual and quarterly financial ratios and margins for Ameren (AEE).

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
0.650.790.700.760.570.570.550.600.920.750.801.341.291.531.66
0.570.560.560.550.520.500.490.480.490.470.450.460.450.480.50
1.441.421.381.271.191.161.151.081.071.010.960.910.870.981.01
71.1166.3674.5277.9975.9472.6072.6971.8770.3768.5867.8165.9961.1659.4460.77
20.7719.0420.8522.4421.4421.5722.8421.7620.6520.7220.2820.5516.8011.9919.85
20.7719.0420.8522.4421.4421.5722.8421.7620.6520.7220.2820.5516.8011.9919.85
40.9937.3841.1842.7240.0538.3138.6137.3135.3434.1533.3233.2827.8522.7730.86
17.8715.7718.0217.8117.1916.8217.9017.1315.5516.0314.2014.3411.246.2313.40
15.3613.5015.4815.0314.0112.968.4710.7510.339.684.95-16.858.441.828.58
0.180.210.180.180.200.230.240.250.260.270.280.260.260.320.30
2.964.012.752.452.883.573.233.243.363.633.573.453.354.383.58
12.5012.1712.3212.0712.9611.6111.9912.1512.5512.019.7313.6011.3410.519.62
29.2030.0029.6330.2428.1631.4530.4530.0429.0930.3937.5126.8332.1834.7437.96
10.0810.1410.129.6610.1710.567.229.108.258.657.757.715.421.927.74
10.4510.5510.5610.1210.7111.157.659.648.769.208.268.235.712.028.79
2.832.852.782.742.883.022.042.672.472.662.462.351.850.642.63
4.354.444.444.354.875.253.674.764.194.584.254.152.960.993.90
43.1040.6038.1435.8533.3131.7930.2029.8629.2228.2627.5627.8933.2632.8033.95
9.738.726.456.948.788.838.678.708.346.406.926.957.767.638.92
-4.58-4.30-7.23-6.32-1.10-0.68-0.32-0.060.25-1.201.102.213.863.100.85

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
0.630.670.590.650.520.620.750.790.790.670.650.700.940.970.790.760.760.810.620.570.650.550.590.570.640.620.470.550.610.570.530.600.700.660.790.920.800.780.790.750.920.850.680.801.011.041.281.341.561.341.321.291.451.511.481.531.631.611.621.661.441.050.96
0.580.580.570.570.550.570.570.560.570.560.560.560.560.570.550.550.540.550.530.520.510.510.510.500.490.500.480.490.480.480.480.480.470.480.500.490.460.460.460.470.460.460.440.450.440.450.470.460.460.460.470.450.450.470.470.480.480.480.490.500.480.500.49
1.531.521.491.441.431.481.451.421.451.461.431.381.331.361.341.271.251.271.261.191.161.201.191.161.131.191.211.151.091.141.141.081.041.111.081.071.001.051.051.010.971.000.990.960.920.950.950.910.870.890.920.870.880.930.970.980.980.980.981.010.981.141.14
75.6678.7473.6277.1977.6770.3460.4360.3168.0072.1365.6270.6878.5875.0773.1276.7380.6580.6973.5474.3980.3579.5569.3469.7777.1575.7567.0771.1977.5475.2865.9466.3077.5776.0365.6267.5875.4574.8862.6664.0976.1172.5960.9863.1676.0771.0659.7361.6971.0972.5457.1511962.7461.4353.0556.4563.7863.0753.7659.2465.9065.0253.55
26.9721.3220.4316.3229.8118.6917.0213.4925.9817.9017.6212.7529.4919.4320.1815.8930.3425.3216.7413.6031.3420.3018.5111.7030.9224.6317.2215.1533.0225.1815.976.3437.1722.7815.3410.7034.1516.9216.459.1233.5922.6915.4312.9434.6218.6012.548.5933.8224.5411.19-30.7724.2517.7411.9211.613.9319.1915.3614.2426.7221.6716.75
26.9721.3220.4316.3229.8118.6917.0213.4925.9817.9017.6212.7529.4919.4320.1815.8930.3425.3216.7413.6031.3420.3018.5111.7030.9224.6317.2215.1533.0225.1815.976.3437.1722.7815.3410.7034.1516.9216.459.1233.5922.6915.4312.9434.6218.6012.548.5933.8224.5411.19-30.7724.2517.7411.9211.613.9319.1915.3614.2426.7221.6716.75
---------------------------------------------------------------
23.6517.6616.8512.2427.3315.7414.659.3823.0314.1915.2710.0327.3916.2416.7310.3226.5421.0311.749.0427.6115.8814.145.9926.9120.0912.3010.0828.7320.0410.634.3532.4916.829.624.6630.1711.2811.314.8929.3417.6210.235.4530.1612.266.171.5128.6718.404.39-52.3119.8412.586.254.92-1.1913.809.337.3320.0614.9111.22
20.9815.2414.379.7723.9313.4712.807.9719.6011.9913.418.0923.4714.0614.888.6622.5417.3810.147.1421.9412.9812.284.7920.7115.299.53-4.2916.7212.566.732.3619.8510.307.322.2218.7110.716.943.5017.5410.506.022.8018.446.77-9.83-91.8921.8815.05-28.5412.8212.577.753.733.05-7.378.815.264.5912.519.807.36
0.050.040.040.040.050.050.050.050.060.050.050.040.050.040.050.040.050.050.050.050.060.050.060.050.060.060.060.050.070.060.060.050.080.060.060.060.080.060.070.060.080.070.080.060.070.060.070.060.070.060.060.010.100.080.080.070.100.070.080.070.080.070.08
0.670.490.710.500.610.731.301.221.060.801.240.770.650.700.900.590.570.530.810.680.670.651.190.890.750.801.150.770.710.741.100.870.760.661.020.790.820.701.290.940.710.791.470.930.670.791.290.850.650.560.97-0.051.151.051.561.051.100.941.410.900.720.801.35
3.012.943.082.703.113.233.003.133.172.882.902.982.892.932.982.772.732.492.762.893.112.502.632.622.502.472.592.722.912.942.892.713.142.802.962.692.952.472.492.722.862.132.112.202.832.812.692.962.822.882.760.363.142.362.362.352.542.562.372.323.042.142.20
29.8630.6229.1933.3728.9227.8729.9928.7728.3731.2930.9930.2331.1130.6930.1732.5332.9536.1832.5631.1928.9736.0334.1834.3835.9736.5134.7533.1330.9230.6231.1333.1928.6632.1730.3833.4430.4936.4936.0933.1131.4742.3042.5740.8531.7632.0733.5030.4131.8631.2032.5725028.6538.2038.1938.3535.3735.1737.9938.8329.6542.0640.96
3.822.232.261.394.422.212.471.544.392.092.551.284.342.192.531.284.282.921.801.164.462.272.460.894.603.192.08-0.813.872.661.440.465.062.101.530.444.821.431.610.694.282.251.490.734.571.620.860.153.872.100.51-0.783.521.750.940.68-2.071.891.311.022.852.281.99
3.962.312.351.444.592.292.571.604.572.182.661.344.532.292.651.344.493.071.891.224.702.392.600.944.863.372.20-0.854.102.821.530.485.362.221.620.465.111.521.710.734.562.401.590.784.881.740.920.164.092.230.54-0.823.711.850.990.72-2.192.141.481.153.242.642.31
1.060.610.630.391.250.610.700.431.200.560.700.351.230.610.720.361.210.810.510.331.280.640.700.251.330.900.59-0.231.130.770.420.131.540.620.460.131.470.430.480.211.350.700.470.231.370.480.260.051.320.710.17-0.271.230.590.320.23-0.690.650.450.350.970.720.63
1.610.930.980.601.980.951.060.671.890.911.120.561.910.951.130.581.961.320.840.562.171.111.200.442.331.591.08-0.412.011.370.750.242.661.080.770.222.630.770.870.362.321.200.830.402.560.900.450.082.101.130.27-0.431.930.930.490.36-1.080.980.670.511.491.141.02
44.8243.7343.4143.1042.5041.2140.8840.6039.9638.7338.4838.1438.1036.8836.3135.8534.9233.8733.3233.3133.3532.2731.9531.7931.9330.8530.2630.2030.8630.0929.7029.8630.2429.1228.9029.2229.5028.4728.2228.2628.5127.6827.4327.5627.7226.9026.8627.8933.0831.7431.2433.2633.6632.8832.6832.8033.0034.3034.0533.9533.9834.3334.08
7.283.931.849.737.714.221.898.726.163.361.506.454.611.70-0.146.945.332.801.178.786.743.561.578.836.853.341.068.676.733.541.368.706.423.151.448.346.323.221.296.404.922.700.996.925.363.171.566.955.403.141.587.766.483.732.337.636.253.231.608.927.774.082.43
-4.26-3.30-1.54-4.58-2.29-2.89-1.73-4.30-3.31-2.65-1.55-7.23-5.57-5.18-3.61-6.32-2.47-2.38-1.54-1.10-0.48-1.10-0.72-0.68-0.13-1.25-1.36-0.320.29-0.76-0.82-0.060.09-1.08-0.690.250.74-0.38-0.50-1.20-0.55-1.05-0.881.101.370.690.382.212.030.920.413.863.361.691.283.103.070.930.290.851.62-0.050.42