AGCO Financial Ratios for Analysis 2009-2024 | AGCO

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

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
1.461.401.451.301.291.281.371.481.331.491.611.601.661.631.65
0.230.250.290.290.290.300.340.360.240.220.190.230.320.140.16
0.300.380.440.540.460.500.550.600.430.310.310.370.480.230.27
26.2123.7223.0922.4921.9521.3521.2520.4520.9021.2522.1621.3120.2418.2516.45
11.8010.008.996.553.855.234.873.874.846.658.356.966.964.703.36
11.8010.008.996.553.855.234.873.874.846.658.356.966.964.703.36
13.8012.1311.529.536.868.338.247.588.359.5610.879.619.067.205.73
9.258.758.486.142.893.853.422.773.745.547.446.036.393.992.37
8.137.038.054.671.383.052.242.163.574.225.545.246.653.202.08
1.261.251.211.081.171.231.041.031.151.321.281.291.211.271.30
3.093.033.303.593.403.853.493.894.154.374.164.604.494.574.71
8.9810.3611.2310.6911.2910.628.158.328.9210.0911.4710.779.047.598.99
40.6535.2432.4934.1532.3234.3644.7943.8640.9036.1831.8333.8840.3848.0840.62
25.1522.5326.1813.914.229.486.125.659.1611.5614.6414.7619.318.285.64
38.8539.6350.9133.4311.0930.6720.9218.7720.9323.0925.7530.4050.0211.878.45
10.268.669.824.941.583.722.372.234.065.497.026.698.074.052.71
19.4116.9918.579.823.006.654.023.606.938.9911.8911.3913.187.104.74
62.4952.0446.2640.2638.5239.1138.9535.7034.4039.2341.5436.1331.1928.5525.99
14.7311.198.7211.869.047.487.204.526.024.658.026.767.404.553.70
7.976.045.248.315.554.974.712.093.611.484.103.314.352.831.52

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
1.521.991.461.621.571.591.401.581.571.641.451.351.311.261.301.381.481.491.291.311.291.301.281.421.421.501.371.511.521.551.481.591.541.421.331.581.601.761.491.781.621.581.611.641.631.661.601.801.781.611.661.701.661.531.631.691.621.621.651.661.601.62
0.470.420.230.310.330.300.250.340.370.340.290.290.280.230.290.330.380.380.290.290.290.320.300.360.370.390.340.390.370.380.360.390.320.300.240.290.270.310.220.260.190.210.190.210.230.250.230.290.310.290.320.140.130.090.140.150.150.160.160.160.160.23
0.970.780.300.470.550.480.380.630.690.540.440.510.500.420.540.550.650.680.460.590.590.620.500.640.650.680.550.670.630.660.600.670.490.540.430.520.470.490.310.370.300.330.310.330.370.400.370.420.470.490.480.160.190.200.230.240.260.270.270.260.270.30
25.8026.2825.8627.0326.3125.6524.1223.6723.4423.5121.6423.0024.0523.9821.9223.1721.5623.3620.4321.3423.2822.8820.7821.3921.9221.3221.0121.5821.9620.2920.0720.0721.4020.1820.2921.0621.7320.4320.0419.5822.9622.0720.6722.4623.3022.1819.5221.3922.7321.6820.8219.4320.7019.8018.8718.3318.4216.9114.5717.5016.5117.67
-7.449.3410.3412.2612.9911.6211.9510.648.957.608.379.2410.088.216.558.974.855.21-1.985.028.244.636.145.036.622.525.674.896.850.964.303.355.941.244.354.567.242.754.645.049.706.676.908.0410.737.384.406.089.857.477.385.458.556.056.574.585.540.712.622.574.423.73
-7.449.3410.3412.2612.9911.6211.9510.648.957.608.379.2410.088.216.558.974.855.21-1.985.028.244.636.145.036.622.525.674.896.850.964.303.355.941.244.354.567.242.754.645.049.706.676.908.0410.737.384.406.089.857.477.385.458.556.056.574.585.540.712.622.574.423.73
--------------------------------------------------------------
-10.387.546.599.6610.7910.099.969.508.016.938.058.689.507.587.048.214.054.38-2.943.737.513.724.893.854.721.434.173.375.51-0.503.322.674.55-0.152.704.076.241.573.443.938.665.605.757.019.956.703.494.799.076.706.944.967.685.615.833.934.640.172.031.443.292.56
-11.315.748.928.128.356.988.267.626.035.658.946.659.826.344.986.303.473.36-3.510.365.813.263.813.213.601.211.753.064.23-0.622.962.272.520.503.173.865.181.773.123.026.124.274.875.107.014.913.794.127.625.2911.334.025.674.453.933.763.610.761.830.803.252.20
0.240.220.330.300.340.310.390.320.300.270.340.300.320.290.320.310.260.250.320.260.290.240.340.280.320.240.320.240.280.220.290.230.280.220.300.250.280.230.340.270.320.280.340.300.370.300.350.310.350.300.350.370.380.310.400.320.350.270.370.280.360.33
0.690.570.820.680.740.680.930.720.670.630.950.770.820.771.070.930.730.680.960.720.770.671.080.830.930.691.070.750.900.731.100.790.890.721.100.810.890.741.140.750.870.741.130.881.140.931.280.901.030.881.281.061.130.911.430.951.110.851.350.791.020.80
2.211.902.372.102.242.183.192.652.562.423.182.582.622.273.172.522.222.343.142.302.402.152.942.232.421.962.481.902.121.762.351.672.111.652.341.831.981.662.581.992.231.933.042.092.372.142.922.112.252.052.592.322.221.762.391.922.031.512.521.771.931.87
40.6447.3938.0142.8240.1741.3328.1933.9035.1237.1428.2834.9034.3539.6628.3535.6840.5138.5128.6639.1737.5541.8730.5640.3437.1445.8936.3047.4642.3851.0438.2753.9342.6654.4038.4449.0745.5554.2934.9045.2640.3646.7229.6042.9837.9742.0430.7842.6940.0243.8634.6938.7140.5651.2337.7146.8844.2759.4735.7250.8546.6948.07
-9.103.537.286.447.715.638.306.765.253.738.235.718.994.854.495.552.212.46-3.080.214.492.183.262.383.020.801.461.973.08-0.292.161.331.660.352.132.263.290.962.191.654.092.563.383.245.793.292.892.726.183.729.412.964.332.843.202.462.710.431.380.452.441.66
-38.585.3511.2510.3012.929.4714.6012.5910.476.9416.0012.1519.5710.6910.7814.195.996.99-8.090.5912.846.7210.558.0010.202.734.986.579.62-0.927.174.343.840.834.865.066.912.064.373.137.124.645.955.9111.076.565.955.8714.058.9424.384.286.304.254.593.523.910.642.070.683.662.60
-2.711.252.972.472.802.153.192.421.801.393.092.043.211.821.591.990.770.86-1.150.081.670.801.280.891.130.300.570.741.19-0.110.850.520.700.150.940.951.410.411.040.771.961.191.621.502.591.471.311.222.651.573.931.492.161.421.571.191.260.200.660.231.170.72
-4.822.055.624.475.193.936.264.433.292.465.844.046.513.733.173.691.371.52-2.190.153.161.492.291.511.910.490.961.211.93-0.181.380.811.130.241.611.602.380.661.701.223.292.032.752.574.482.492.231.944.262.646.422.553.762.582.752.092.300.361.160.382.051.28
54.3263.7362.4958.1755.2855.2252.0447.1945.3549.3046.2642.7141.9841.4840.2638.0536.2835.9438.5240.0341.0039.3439.1137.8337.8939.2238.9538.8837.3836.1935.7036.9036.7735.5734.4034.6336.8835.3039.2340.9043.2441.3141.5439.7537.7836.5536.1334.9533.6233.5031.1929.3532.5830.3028.5527.2024.8925.0625.9926.5925.4221.92
-1.80-4.9514.732.70-4.87-7.4311.19-3.94-7.56-7.708.720.55-1.65-4.1511.862.97-2.95-5.749.04-1.05-2.76-4.267.48-0.05-2.35-4.497.20-0.36-0.83-3.164.52-1.58-0.79-4.196.020.830.32-3.214.65-2.30-2.67-5.298.021.700.65-2.646.76-0.34-1.91-2.837.402.791.03-1.704.550.040.14-2.103.70-1.67-2.83-4.96
-4.37-6.227.97-2.00-8.02-9.106.04-7.52-9.39-8.585.24-2.03-3.20-4.998.310.56-4.50-6.535.55-3.49-4.24-5.044.97-1.76-3.44-5.044.71-2.06-1.96-3.872.09-3.20-1.65-4.613.61-0.85-0.83-3.921.48-4.72-4.29-6.324.10-0.92-1.08-3.573.31-2.72-3.45-3.714.350.87-0.10-2.072.83-0.82-0.33-2.351.52-3.16-3.86-5.46