Akzo Nobel Financial Ratios for Analysis 2009-2024 | AKZOY

Fifteen years of historical annual and quarterly financial ratios and margins for Akzo Nobel (AKZOY).

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
1.061.091.101.641.583.161.431.391.241.251.261.391.371.411.37
0.410.420.260.320.240.130.270.270.240.290.310.320.240.230.30
1.221.290.630.490.340.200.520.390.370.530.600.550.360.400.47
39.6936.1740.2144.3742.7742.4344.0542.3240.8839.3138.6537.6538.4040.7739.31
9.656.5311.6611.299.076.548.5810.7010.596.907.526.056.598.136.26
9.656.5311.6611.299.076.548.5810.7010.596.907.526.056.598.136.26
12.999.9215.3215.5212.959.1214.9014.9714.8011.2311.7424.2110.5512.5010.70
7.355.5511.5310.778.466.197.9510.209.935.965.29-9.734.636.263.48
4.143.258.657.395.8172.108.666.836.594.325.43-10.853.455.722.61
0.730.740.690.650.710.490.590.880.930.880.910.860.790.730.74
3.903.763.474.094.664.684.925.355.845.626.286.215.035.175.85
4.304.434.104.284.354.324.895.095.425.215.755.705.385.255.42
84.9582.3589.0585.3283.9384.4374.5871.6567.3370.0363.4463.9967.8369.5167.36
10.738.5315.2411.408.453.788.1014.9815.199.3310.7310.936.509.094.31
10581.5144.1428.3018.865.3017.6340.2137.5427.5130.5527.6926.9339.2841.44
3.352.636.195.154.272.423.166.516.643.594.024.473.194.301.88
6.334.9211.267.776.453.295.9410.8911.606.657.447.484.966.983.03
9.619.3712.2111.8912.2618.5110.5711.4611.68------
2.380.531.292.430.060.251.622.111.891.644.441.492.253.452.20
1.78-0.060.681.91-0.320.000.601.080.810.450.31-0.18-2.492.311.27

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
1.211.101.121.061.161.131.101.091.161.171.301.101.171.431.641.641.681.631.451.581.641.762.073.161.461.401.411.431.401.341.321.391.471.401.211.241.241.181.251.251.161.101.111.261.241.221.201.391.481.261.241.371.421.411.391.411.421.451.481.371.451.361.23
0.430.400.400.410.440.450.420.420.390.390.360.260.260.320.310.320.310.310.230.240.230.220.190.130.260.260.260.270.280.280.270.270.280.270.240.240.250.250.270.290.250.270.270.310.300.290.300.320.330.230.240.240.220.230.230.230.250.270.290.300.300.300.28
1.301.151.071.221.301.381.251.290.991.050.920.630.540.570.470.490.480.490.350.340.390.370.310.200.560.590.580.520.400.440.430.390.410.400.410.370.430.490.500.530.490.570.580.600.650.620.650.550.550.420.420.360.340.350.410.400.430.430.440.470.470.480.55
40.5940.9841.1740.4640.9340.3536.9635.4434.1736.2138.8537.3338.4641.1844.5144.1444.6844.1444.5142.7442.5443.9041.7841.1742.9943.1742.2815.8540.2041.3542.2440.5442.7243.5742.2440.1141.6641.4442.1842.5041.5640.6038.3137.0638.0139.5338.9124.0438.6939.2938.0148.3438.0240.3029.0338.8941.1242.3141.1340.1737.1840.2237.71
9.719.709.898.4112.9210.186.853.675.877.199.1912.299.3815.299.0910.8514.3210.429.097.7510.3012.575.172.9310.197.854.9627.229.3311.6510.416.0712.6113.2310.419.7611.5812.294.11-8.095.538.037.187.0510.888.645.6930.275.728.514.86-28.017.438.3332.233.309.6511.646.902.9413.898.583.12
9.719.709.898.4112.9210.186.853.675.877.199.1912.299.3815.299.0910.8514.3210.429.097.7510.3012.575.172.9310.197.854.9627.229.3311.6510.416.0712.6113.2310.419.7611.5812.294.11-8.095.538.037.187.0510.888.645.6930.275.728.514.86-28.017.438.3332.233.309.6511.646.902.9413.898.583.12
---------------------------------------------------------------
9.268.769.553.8910.738.725.681.604.936.389.0312.378.8415.458.7910.4213.939.418.797.129.4212.044.812.129.506.956.0228.298.4711.3610.205.2811.9712.8510.209.3711.0111.837.680.998.548.745.422.126.447.614.567.97-53.606.763.28-1.705.929.204.303.348.288.934.34-0.376.816.330.09
6.116.366.861.586.904.313.540.022.943.726.1011.216.8110.395.547.429.676.495.543.626.769.422.9726212.9411.0811.63-8.225.967.957.003.727.928.417.005.707.588.384.460.205.565.533.811.464.1011.102.57-1.61-55.654.561.79-1.803.686.543.404.486.727.653.05-1.306.024.77-0.21
0.170.190.180.170.180.180.180.170.180.180.160.180.180.180.160.170.170.150.160.170.170.170.140.120.140.150.13-0.070.230.240.210.210.220.220.210.220.240.240.200.180.230.240.230.220.230.220.190.210.230.210.190.180.210.210.260.180.190.190.170.190.200.190.17
0.880.890.870.910.940.930.910.890.920.860.830.960.951.060.991.111.110.940.941.121.131.121.041.151.151.191.08-0.831.331.361.211.301.321.321.261.401.391.411.261.311.401.451.371.581.551.501.301.201.371.331.211.531.331.311.271.371.401.381.311.461.491.391.16
0.940.960.941.010.970.981.011.040.990.980.971.081.011.001.031.151.020.910.911.041.000.980.911.041.021.010.98-0.551.171.191.081.211.221.191.141.281.231.191.061.091.201.231.191.411.381.281.141.411.331.291.201.211.301.261.661.331.261.231.141.371.361.161.09
95.5394.2396.1088.8693.1991.6789.0286.7490.6091.6192.4283.1988.8889.8287.2078.1088.1099.2498.4086.4990.2391.4799.1086.3688.0389.1992.15-164.6776.8175.7683.0774.6873.6575.4078.6970.3072.9575.7284.9682.4975.1873.0875.3664.0165.3470.3278.7663.6667.7969.9074.8774.3968.9871.3354.3667.6871.4573.2679.1065.7566.1977.5982.74
3.544.064.051.094.293.012.280.201.682.122.935.242.884.472.083.123.882.211.901.21-3.06-0.342.331.882.06-4.583.284.813.692.024.394.633.772.744.385.202.31-0.103.253.692.340.602.554.671.49-0.52-31.091.970.72-0.591.542.661.931.402.722.891.00-0.502.931.99-0.19
21.2829.2527.5810.7042.7635.0917.761.898.4410.118.5315.177.9311.545.307.759.305.404.062.704.845.681.380.484.693.914.36-9.988.4412.839.545.4310.4510.439.036.7712.0715.926.69-0.2810.3313.488.271.698.0013.524.85-1.32-87.637.672.95-2.465.9410.847.906.0514.4914.035.30-4.8226.0522.22-1.96
1.111.321.360.341.320.890.720.060.580.711.062.131.231.910.961.411.771.010.960.611.251.570.460.220.930.730.80-1.791.432.041.580.881.872.041.631.201.802.040.92-0.041.261.340.850.220.931.760.53-0.21-12.840.940.34-0.290.761.300.920.661.181.300.45-0.221.280.85-0.08
2.002.422.440.652.391.641.330.111.031.301.883.872.143.051.432.132.671.521.460.921.932.400.680.291.731.391.52-3.362.373.462.691.473.173.402.882.093.293.881.68-0.072.432.691.700.411.783.321.05-0.36-20.731.510.54-0.451.202.041.481.072.032.100.72-0.352.041.38-0.14
10.329.9010.209.619.629.409.739.3710.0910.8411.9712.2111.9912.4712.8411.8912.3611.6612.8612.2610.17-14.9218.5111.3411.4311.6710.5712.0010.9811.3111.4611.2612.1911.48----------------------------
0.59-0.04-0.362.381.170.54-0.100.53-0.05-0.31-0.211.290.910.29-0.332.431.240.28-0.300.06-0.47-0.99-1.170.25-0.27-0.78-0.831.620.770.04-0.452.111.19-0.56-0.561.900.62-0.36-1.071.650.67-0.33-1.171.470.83-0.29-0.841.490.24-0.73-1.612.250.13-0.82-0.833.440.46-0.25-0.963.981.910.13-0.53
0.18-0.28-0.451.780.810.29-0.23-0.06-0.43-0.56-0.330.680.510.04-0.431.910.920.11-0.39-0.32-0.72-1.14-1.230.00-0.45-0.90-0.890.600.06-0.40-0.641.080.52-0.77-0.760.81-0.09-0.80-1.280.45-0.15-0.89-1.410.10-0.05-0.90-1.11-0.18-0.78-1.37-1.91-2.49-0.89-1.49-1.042.30-0.17-0.67-1.142.291.16-0.33-0.75