Albemarle Financial Ratios for Analysis 2009-2024 | ALB

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

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
1.471.891.061.221.581.692.062.901.132.943.403.663.383.702.92
0.270.280.260.380.410.270.270.350.480.600.380.260.310.370.38
0.430.390.410.800.750.450.480.601.121.970.620.360.450.580.65
12.3342.0029.9931.8035.0436.0736.0136.2430.4431.5235.5235.6833.2931.4024.13
2.6233.7423.9916.1718.5627.0118.6122.4512.2111.0924.0915.8718.0517.019.29
2.6233.7423.9916.1718.5627.0118.6122.4512.2111.0924.0915.8718.0517.019.29
7.0937.8531.6223.5824.5132.9625.0230.9021.4115.3328.5719.8021.4221.0614.30
2.5733.244.0211.9415.6823.5514.5419.2510.998.7222.4914.6216.7516.057.99
16.3636.753.7212.0114.8620.551.7924.0411.855.4517.2612.3713.6713.368.89
0.530.470.300.300.360.450.400.330.290.470.670.730.900.770.72
3.902.052.922.843.033.083.323.794.474.673.543.784.444.164.38
5.585.325.345.285.285.135.375.075.985.634.875.967.336.316.09
65.3668.6568.3469.1569.1771.1467.9971.9961.0764.8775.0061.2649.8257.8859.92
17.2834.373.449.9914.7619.662.6112.149.6315.4825.0016.8725.0322.3215.13
21.4944.795.1318.2027.9840.935.5723.3721.0419.1831.8020.8832.9530.8223.41
9.1418.211.824.276.139.751.285.863.414.4112.159.4813.1210.746.84
12.6524.682.566.178.6914.331.907.895.016.2115.5812.4417.3114.159.34
82.3669.9149.6141.8238.6035.5934.5335.0430.3119.0821.7721.7318.9016.1113.70
11.2516.202.957.486.774.992.706.503.236.235.135.445.333.593.90
-7.005.49-5.23-0.48-1.15-1.41-0.124.761.194.833.292.313.242.782.80

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
2.442.672.841.471.811.741.901.891.731.881.111.061.312.182.111.221.381.611.811.581.391.451.551.691.832.192.482.062.112.241.982.901.451.321.321.131.301.211.162.941.861.873.493.403.393.413.233.663.633.513.393.383.603.693.533.703.493.413.032.922.933.133.10
0.250.230.230.270.260.260.250.280.310.340.250.260.260.240.250.380.400.430.430.410.260.260.270.270.280.270.270.270.260.270.270.350.470.480.460.480.520.520.520.600.300.300.380.380.400.420.270.260.270.290.290.310.340.300.310.370.340.390.390.380.390.420.46
0.340.310.300.430.360.350.340.390.480.550.410.410.340.320.340.800.820.840.780.750.480.480.470.450.460.420.370.480.440.440.450.601.001.060.971.121.171.201.241.970.660.650.620.620.680.740.370.360.380.420.420.450.530.430.460.580.530.640.650.650.660.730.86
-7.68-0.742.86-29.882.3823.5649.4738.2049.9039.2339.8226.4630.0132.1031.8030.1934.0230.5432.7634.1035.2236.8234.0734.7636.0736.4637.1235.4136.5236.8935.3134.5536.5437.0736.9032.1731.6029.5229.2227.1431.9834.2932.6142.7035.4633.2331.1139.2032.9336.4035.2629.9735.6933.9533.4531.8133.6431.7628.3426.7726.0224.6618.60
-81.85-34.44-13.19-36.07-6.065.9142.7031.7842.5929.3427.66-3.5015.8470.0818.7914.2319.3414.6816.7914.0121.1620.9918.6518.9721.0645.7222.2319.1819.5318.7216.8615.7619.1018.4536.9426.9112.4711.044.15-3.9016.5718.2312.9938.4221.7918.7917.915.5121.8610.5022.199.3322.1720.0920.4416.2820.6118.0013.1411.3612.216.965.94
-81.85-34.44-13.19-36.07-6.065.9142.7031.7842.5929.3427.66-3.5015.8470.0818.7914.2319.3414.6816.7914.0121.1620.9918.6518.9721.0645.7222.2319.1819.5318.7216.8615.7619.1018.4536.9426.9112.4711.044.15-3.9016.5718.2312.9938.4221.7918.7917.915.5121.8610.5022.199.3322.1720.0920.4416.2820.6118.0013.1411.3612.216.965.94
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-87.02-34.55-12.32-39.09-6.857.1044.8632.9341.5627.1326.57-0.90-62.2269.1614.875.5116.2711.5315.637.8918.6118.8818.4914.0719.8743.5516.8716.5517.1716.527.4010.0717.1215.7534.6525.199.708.215.75-8.1414.1816.6211.7236.7520.1217.1916.433.7721.029.1620.958.0420.9618.7419.1115.2419.7816.8712.299.9411.085.884.42
-81.99-16.07-0.67-26.2213.0927.4348.0043.2142.8927.4922.47-0.43-47.2954.8711.549.6313.1611.2114.519.1117.6317.4216.0514.0616.6835.4216.04-25.4615.7214.027.0986.4319.61-47.0434.7232.859.437.264.88-3.0911.333.719.4326.6715.3114.3413.098.1816.557.3116.057.8116.0615.3815.3012.7316.0113.8010.9111.1710.128.645.22
0.080.080.070.130.120.120.150.170.150.120.100.080.080.070.080.080.070.080.080.100.110.110.110.120.100.110.110.110.100.100.100.090.070.070.070.060.070.070.090.110.190.180.170.160.170.170.190.130.200.210.210.220.220.230.220.200.200.220.210.200.190.170.18
0.880.800.691.420.660.500.410.780.650.740.670.820.780.720.820.820.600.620.580.850.710.690.730.860.680.820.780.930.790.820.901.010.820.810.780.820.750.841.011.221.191.070.960.770.790.851.020.660.900.871.001.150.981.111.151.061.041.251.251.181.050.870.90
1.331.191.041.371.351.341.551.901.791.361.541.441.441.511.401.481.291.291.251.461.221.211.261.401.311.391.261.501.321.371.281.321.331.361.011.121.001.011.251.381.511.351.301.191.321.281.411.091.581.651.671.811.641.621.561.611.581.541.431.701.581.471.55
67.6675.3686.8165.7966.5267.2558.0647.2850.3766.1058.2662.7162.5359.7164.4160.6969.6170.0472.1761.6874.0374.2371.4564.2368.5964.8771.2460.0467.9865.8370.1768.2167.6465.9989.4280.2390.1889.0372.2565.3559.4866.4869.4575.7468.0070.4063.8282.4957.0154.6853.8549.8254.7755.4557.6955.7457.0358.3962.8353.0856.9061.1858.05
-12.85-1.910.17-6.243.166.7113.5014.1813.376.994.670.18-6.357.011.982.292.712.473.062.604.284.403.923.893.898.103.52-5.423.222.921.661.283.322.895.915.041.831.481.45-0.875.555.503.829.206.176.044.712.036.022.996.563.567.366.866.845.526.756.895.235.204.613.482.53
-12.32-1.830.17-7.763.878.2716.9318.4817.799.856.760.27-9.4810.162.964.164.924.535.784.928.128.607.878.098.4516.837.43-11.606.496.003.432.467.226.58-22.5511.01-4.17-3.53-3.34-1.086.836.794.8611.708.068.035.812.517.463.758.474.699.809.039.187.629.5110.127.928.057.235.664.19
-6.08-0.960.09-3.301.703.547.277.526.733.522.470.10-3.464.131.140.981.141.021.261.082.112.161.931.931.924.121.84-2.671.731.560.850.621.221.032.311.790.620.500.48-0.252.592.591.854.472.802.652.591.143.401.623.531.873.763.763.622.653.303.152.352.352.061.511.00
-7.55-1.180.11-4.572.354.9710.0610.199.244.633.510.13-4.735.311.481.411.611.411.731.533.183.262.882.832.815.922.58-3.962.392.141.210.831.761.513.212.620.880.720.69-0.353.883.872.375.733.693.493.461.504.402.114.652.464.824.834.703.504.424.233.183.212.812.031.38
89.2597.7110082.3686.6085.9780.6469.9159.4553.8051.5349.6150.4054.4350.9141.8240.6339.5638.0138.6037.8037.5036.4735.5934.7235.3935.6034.5336.5635.3334.1735.0430.6929.4232.9030.3129.1829.5628.9519.0820.2820.7721.7221.7719.3818.0121.6021.7321.3020.0420.2718.9018.8219.6418.1416.1115.7313.6913.5913.7013.5412.6011.66
5.973.920.8311.2512.096.756.1216.208.110.511.752.954.193.291.397.484.321.951.466.773.251.870.524.993.482.021.092.700.67-0.490.736.504.002.231.533.232.821.180.426.235.473.731.865.133.882.121.115.443.412.051.375.333.141.580.503.592.991.460.203.902.811.160.01
-5.35-4.82-4.10-7.00-0.35-1.062.595.491.18-3.76-0.22-5.23-1.39-0.09-0.19-0.48-1.49-1.98-0.56-1.15-2.38-1.94-1.42-1.41-0.87-0.52-0.09-0.12-1.01-1.360.254.762.761.351.021.191.350.19-0.104.834.503.141.573.292.230.900.492.310.980.650.763.241.740.850.162.782.451.090.022.801.910.51-0.36