Autoliv Financial Ratios for Analysis 2009-2024 | ALV

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

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
0.981.021.301.361.251.151.581.591.811.931.521.781.441.471.29
0.340.290.390.470.450.460.240.250.300.310.070.130.100.180.25
0.720.670.761.000.991.180.320.390.440.470.150.170.200.250.47
17.3915.7918.3616.7518.5319.7220.6420.5520.1119.5219.3619.9120.9922.2016.56
6.587.458.205.128.487.9010.5610.497.947.828.658.5310.8012.121.35
6.587.458.205.128.487.9010.5610.497.947.828.658.5310.8012.121.35
10.1911.5612.9910.1012.5912.4818.6815.3311.4211.1211.9011.8414.0616.057.48
5.846.827.463.917.587.069.749.907.377.228.348.0910.0611.230.11
4.664.785.292.515.402.195.257.164.985.065.525.847.578.240.20
1.261.151.090.911.261.290.950.961.221.241.261.261.351.270.99
8.557.688.657.779.409.199.178.1410.3011.0110.7310.8410.449.938.74
4.644.514.723.995.175.104.683.975.045.255.055.385.555.144.73
78.6880.9977.3991.4670.6071.5577.9691.9772.4969.5672.3167.8665.7770.9677.20
19.0316.1816.507.7621.7719.9014.1014.2613.1913.6312.2512.8618.7220.260.52
41.2734.1634.8818.6064.8779.6121.5430.3827.3326.3421.1823.4738.4048.921.78
5.875.515.802.306.825.626.886.806.086.307.027.3910.2510.510.24
12.5611.5510.144.1512.0010.7710.7310.669.219.4511.4511.1916.8916.650.39
31.1130.4630.2627.7224.3421.7847.9244.5239.3738.8142.3839.5437.5033.0228.63
11.538.188.609.707.336.7710.679.828.497.718.747.248.0910.005.83
4.852.633.425.821.890.414.184.183.402.814.783.454.287.584.29

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
0.981.100.981.011.041.151.021.041.071.281.301.321.331.381.361.251.571.491.251.261.261.141.151.251.231.551.581.551.541.601.591.711.671.681.811.811.821.781.931.931.981.491.521.711.701.771.781.671.611.501.441.481.441.481.471.401.371.351.291.551.502.07
0.400.430.340.340.340.380.290.290.290.380.390.400.400.450.470.490.570.520.450.480.480.450.460.450.460.230.240.240.240.240.250.270.270.280.300.310.310.320.310.290.280.060.070.100.100.130.130.120.120.120.100.130.130.170.180.200.210.240.250.330.320.43
0.860.880.720.750.690.820.670.690.630.750.760.800.790.921.001.441.571.240.991.051.091.031.181.101.140.320.320.360.370.380.390.380.390.400.440.470.480.510.470.480.450.160.150.160.160.170.170.180.180.200.200.210.210.240.250.300.340.370.470.560.530.86
18.2316.9419.3017.9116.9615.2017.0916.6415.6713.5617.3716.3018.9920.4319.9519.641.3417.9319.4618.7018.5517.4219.3918.9919.8820.5420.5420.2220.9320.8023.2820.1220.4220.6220.6720.1520.0719.4719.8819.3119.4819.4019.3419.1119.5919.4119.2719.9120.2120.2420.9920.3820.4522.1022.1721.4722.8722.2920.4518.0115.628.67
7.957.428.518.983.575.139.767.475.966.368.355.368.0610.5312.128.54-22.147.2610.437.597.877.970.969.4710.3610.8616.028.5611.088.3449.147.768.258.4411.167.229.113.689.217.925.858.358.628.608.838.548.499.629.127.0410.9610.169.9612.0812.7211.6112.7211.366.564.53-1.03-9.57
7.957.428.518.983.575.139.767.475.966.368.355.368.0610.5312.128.54-22.147.2610.437.597.877.970.969.4710.3610.8616.028.5611.088.3449.147.768.258.4411.167.229.113.689.217.925.858.358.628.608.838.548.499.629.127.0410.9610.169.9612.0812.7211.6112.7211.366.564.53-1.03-9.57
--------------------------------------------------------------
7.036.657.967.743.154.379.166.655.625.607.464.717.529.6811.057.31-23.576.019.556.637.007.070.108.439.5010.2115.467.7210.147.4546.137.527.777.8310.516.958.492.978.647.095.168.038.278.338.777.978.298.998.736.4810.319.558.9711.3712.1010.8911.4310.415.832.96-2.34-11.17
5.304.828.295.122.012.976.684.563.803.915.383.255.147.007.514.81-16.704.067.124.215.065.12-4.155.781.685.653.934.656.545.5232.695.605.765.487.364.535.971.646.304.823.475.684.245.856.315.786.766.036.054.617.756.867.038.619.318.058.137.353.662.47-1.73-6.84
0.330.310.330.330.330.300.300.310.300.270.280.250.260.270.310.260.150.260.320.310.320.320.330.300.330.250.190.230.240.310.050.300.310.300.330.300.310.300.320.280.290.320.340.300.320.320.310.300.330.340.330.330.340.350.340.310.340.330.320.260.250.17
2.282.182.202.172.312.142.002.081.942.012.251.681.822.082.532.291.361.962.382.252.382.422.332.172.502.061.801.871.962.720.452.462.732.522.812.522.682.682.792.602.812.792.872.672.862.802.712.502.802.802.592.592.622.702.642.422.752.622.722.362.351.86
1.251.191.251.191.201.181.191.221.171.161.211.171.181.211.351.260.891.291.331.221.271.241.291.131.160.930.920.940.941.210.231.241.231.211.381.291.281.221.341.291.291.261.351.241.281.281.341.231.331.311.381.321.281.301.371.201.331.311.551.281.291.20
72.2175.5171.9175.5474.7776.0375.6274.0176.9477.2974.1276.7576.5174.1066.7571.3910169.6367.9073.5670.8272.4369.8279.5777.7396.6398.2495.8995.5474.2739872.8273.0274.0865.0569.5870.5373.8267.3369.8169.6171.5966.7472.6670.3070.5967.4172.9167.6568.6065.2968.1570.2969.3765.7875.1267.8968.8058.2170.2770.0474.95
6.015.208.835.392.072.845.984.253.093.104.382.333.986.237.804.68-8.953.677.314.305.375.65-4.895.759.623.664.882.523.313.463.633.363.753.455.362.994.091.114.302.902.113.282.513.103.573.273.713.193.522.954.774.214.475.866.085.035.625.062.611.43-0.88-2.80
14.9111.9519.1612.094.515.9612.629.456.706.479.265.118.5914.0818.6913.98-31.6611.6821.7814.5317.6120.09-19.5718.8233.466.397.464.976.697.007.737.128.247.5411.116.538.122.278.315.313.685.664.355.346.295.886.775.936.745.899.788.839.5613.1714.6913.0916.3216.008.985.41-3.52-11.62
1.741.532.721.680.670.922.031.451.121.071.540.801.361.912.321.26-2.441.082.291.311.611.65-1.381.752.851.792.381.241.611.671.731.631.801.642.471.361.850.491.991.371.011.841.441.782.031.862.131.811.971.592.612.312.393.013.162.502.752.441.220.65-0.42-1.18
3.612.975.833.561.381.774.273.002.181.922.691.412.403.444.172.40-3.871.764.032.252.813.12-2.653.165.242.813.721.922.502.622.712.462.742.493.742.062.820.752.982.051.523.062.352.803.212.853.232.813.112.604.303.683.894.865.004.054.433.851.950.95-0.60-1.59
28.8530.0431.1129.5629.9430.7830.4628.7029.3730.6330.2629.4429.9228.8427.7224.2122.3923.4124.3422.9323.3722.6421.7823.5823.0849.9147.9248.4447.3246.5144.5245.7744.8143.8339.3737.6837.9436.6538.8140.6042.4742.6942.3842.0540.8139.9939.5438.8037.5438.4137.5036.9836.5634.9133.0231.6529.6229.7028.6327.7927.3026.86
5.701.4711.536.293.89-0.538.182.880.220.808.604.982.842.129.704.340.321.787.333.761.521.766.773.450.720.1810.676.273.731.699.826.493.432.278.494.862.690.957.715.262.901.978.745.603.461.477.244.673.331.048.094.972.911.5110.006.454.361.645.832.791.39-0.12
2.17-0.224.851.360.78-2.202.63-0.79-1.570.603.421.560.671.065.824.38-1.420.781.89-0.34-1.180.520.41-1.38-2.76-1.424.186.410.780.314.182.650.931.243.401.080.01-0.492.811.720.680.984.782.821.650.573.451.941.610.214.282.231.090.657.584.913.461.244.291.780.62-0.60