Amgen Financial Ratios for Analysis 2009-2024 | AMGN

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

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
1.651.411.591.811.442.795.494.114.454.953.443.814.803.524.89
0.910.910.830.780.740.700.580.500.510.540.570.560.530.310.17
10.3710.644.973.513.092.711.401.161.121.191.451.391.130.560.20
70.0275.6675.1675.7781.3582.7382.1981.9080.4977.9682.0881.4782.6285.2585.72
28.0136.3429.4035.9541.4143.2243.6542.6039.1030.8631.4132.3027.6736.8437.60
28.0136.3429.4035.9541.4143.2243.6542.6039.1030.8631.4132.3027.6736.8437.60
42.4549.3242.4850.1150.8551.4152.2051.7648.8341.2938.3038.6034.4843.5944.77
27.8627.9125.7931.9939.1140.1942.0039.8536.8327.8428.1929.0126.6335.3235.54
23.8324.8922.6828.5733.5735.358.6633.5932.0325.7127.2125.1723.6430.7431.45
0.290.400.420.400.390.360.290.300.300.290.280.320.320.350.37
0.891.301.581.581.221.391.441.521.741.671.111.171.091.100.94
3.884.735.315.625.766.637.067.267.237.886.926.865.386.456.94
94.1177.1468.7764.9663.3955.0351.7150.2550.4746.3252.7153.2367.8456.6252.57
10817987.9677.2081.0767.157.8425.8524.7120.0123.0022.8019.3519.3220.32
-14.91-23.44-25.21-33.22-32.08-87.06106159419-302.88-82.8317978.4544.5852.54
6.9110.069.6311.5413.1312.642.489.959.717.477.688.007.5410.6411.62
9.6815.9714.7617.1721.4119.983.3312.8612.129.219.8210.089.1213.2916.94
11.646.8612.0016.2716.3619.8534.9540.4737.2533.9029.2825.2023.9225.6922.78
15.7517.9716.1617.7915.0216.9915.2113.7312.7011.638.227.475.616.006.21
13.6816.2414.6316.7614.0115.8814.3012.7512.2910.707.346.604.995.405.69

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
1.321.261.421.652.862.773.141.411.681.531.441.591.641.311.661.812.282.181.591.442.892.892.772.793.083.393.885.496.076.204.414.114.353.974.954.455.425.485.534.954.224.363.453.446.336.205.583.813.903.683.244.804.605.565.103.523.663.373.024.894.073.893.44
0.880.910.920.910.890.900.920.910.910.940.980.830.800.780.770.780.760.760.760.740.720.720.730.700.670.670.680.580.510.510.500.500.500.480.530.510.520.530.530.540.550.560.560.570.560.540.550.560.550.530.500.530.370.080.080.310.090.090.090.170.160.170.18
8.0210.5712.7510.377.909.0811.5210.6410.6015.1040.234.974.573.983.503.513.133.213.363.092.732.843.052.712.402.312.281.401.111.111.111.161.151.101.201.121.141.161.141.191.301.371.411.451.251.161.231.391.331.271.131.130.610.090.090.560.200.200.210.200.240.250.27
61.0761.4257.0362.0373.8474.0571.8374.4676.1377.1074.9874.9176.0174.9274.7575.9375.7076.0275.4479.7881.9482.7681.0182.4182.4483.1083.0081.7582.8582.3881.7782.1182.3381.5481.5880.6581.9379.7279.4877.8178.7779.1375.8979.4783.4083.2282.4479.1582.0683.2081.4776.4284.6684.7984.7885.1184.6285.4685.8685.8885.7085.7085.58
24.0722.7613.3115.5129.2838.4231.4732.6139.9933.0040.0833.6535.4612.6936.0830.2738.1937.4338.2233.0543.1645.6144.4838.2339.3546.7449.0838.6942.2546.4447.4241.6643.4941.8443.4636.7240.8738.6640.1727.3729.1436.7230.1723.6935.5533.1334.0324.6132.9535.4936.4929.2513.3133.6434.8927.8138.7639.8841.2329.4842.1039.2439.93
24.0722.7613.3115.5129.2838.4231.4732.6139.9933.0040.0833.6535.4612.6936.0830.2738.1937.4338.2233.0543.1645.6144.4838.2339.3546.7449.0838.6942.2546.4447.4241.6643.4941.8443.4636.7240.8738.6640.1727.3729.1436.7230.1723.6935.5533.1334.0324.6132.9535.4936.4929.2513.3133.6434.8927.8138.7639.8841.2329.4842.1039.2439.93
---------------------------------------------------------------
36.479.47-0.9110.4028.2123.1056.3825.5635.9623.2226.8531.1332.148.5531.4728.2934.3532.7132.7932.0039.6943.6741.6435.0735.4743.6947.1638.1641.2443.7545.0238.2741.6138.7540.8534.5638.3037.1937.2724.1226.5833.9426.6320.2431.6630.0331.6920.8829.2432.5433.7526.4511.5133.8235.2426.0137.5838.4939.5328.2240.4036.5537.24
33.288.89-1.529.3625.0619.7446.5423.6332.2219.9723.6627.7428.097.1127.8924.3431.4729.0529.6227.4834.3037.1135.8530.9531.4937.8941.61-73.4935.0137.0237.9032.4434.7132.8834.3832.5132.5530.7832.2524.2724.7329.8623.7320.3828.8126.8933.8417.8225.6328.2829.2523.5111.5129.5530.3626.6132.3931.6032.4924.4436.3634.1830.80
0.090.090.080.080.080.080.070.110.100.110.110.110.100.110.090.110.100.100.100.100.100.100.090.090.090.090.080.070.070.070.070.080.070.080.070.080.080.080.070.080.070.070.070.080.080.090.080.080.080.090.080.080.090.080.090.090.090.090.090.100.090.100.09
0.450.400.370.330.360.360.340.350.330.330.350.420.390.400.370.410.400.390.410.350.320.320.350.370.340.330.320.370.340.350.350.390.380.390.400.440.410.420.380.450.370.370.370.340.280.280.270.340.280.290.300.380.260.270.270.280.290.260.230.240.250.260.23
1.161.211.101.131.121.201.061.231.251.241.231.401.411.461.331.471.571.161.231.531.591.541.471.741.721.731.531.791.701.631.681.881.821.851.801.851.971.931.982.092.141.921.801.861.471.751.681.761.601.651.351.371.451.461.471.651.561.721.581.811.641.701.65
77.4574.4081.8979.8180.1275.1184.5673.2172.0672.7173.2564.3563.9561.7767.4661.3957.3777.8273.1758.9256.5758.2761.0751.7252.4552.0558.8750.2153.0755.1553.5047.7549.3448.7050.1248.6945.6246.5845.5642.9842.1346.8650.0548.4461.2351.4353.6951.2656.1854.4466.4365.6062.1861.6761.1354.7157.6252.2456.9049.8355.0352.8954.66
37.6012.59-2.2512.3122.6020.3453.1244.1458.6654.4416128.3422.935.6317.6317.1618.4416.9219.2417.6118.0120.1918.3915.4212.9615.4014.80-16.896.276.786.766.486.556.216.626.416.666.016.125.024.916.344.724.626.306.117.364.135.566.586.274.911.934.574.504.275.135.195.224.116.065.945.10
-7.07-1.740.25-1.70-8.24-5.90-11.11-5.78-8.76-4.99-5.17-8.13-8.93-2.13-7.73-7.39-9.64-8.21-7.65-6.97-18.78-20.35-18.14-20.00-22.90-27.80-29.14-227.9023.5529.0934.7639.9438.1943.8478.19109111214-338.13-75.98-48.03-39.06-18.97-16.6424.9929.6747.9632.4330.4737.8935.7919.894.9910.6010.549.8511.8612.7713.6610.6215.6617.5317.72
3.110.82-0.120.791.911.533.202.483.362.222.493.102.900.782.632.573.132.772.962.853.313.673.112.902.763.393.25-5.332.522.702.662.492.582.482.532.522.592.322.351.881.762.221.601.542.402.392.781.452.002.422.401.910.992.492.632.352.842.952.892.353.393.272.73
4.401.18-0.171.112.592.084.303.945.253.454.004.764.541.264.073.824.484.034.624.655.095.654.964.594.255.094.72-7.173.063.293.403.223.293.223.133.143.192.842.882.312.232.802.051.972.802.833.311.832.523.073.122.311.214.194.132.944.694.734.763.435.084.934.20
14.0011.039.3611.6414.3112.6810.016.866.854.521.7112.0014.5414.4816.2216.2718.7818.1816.1316.3618.3317.9317.6319.8522.4022.9723.4434.9544.3643.4141.6240.4741.3240.2438.1837.2537.0536.2134.8633.9033.3032.1130.0429.2828.8127.3526.0025.2025.9125.0124.1623.9226.8027.7226.7825.6925.2824.1923.1322.7822.5021.0419.75
12.405.821.2915.7514.759.631.9817.9713.157.623.9316.1611.327.013.6217.7914.178.413.5915.0211.025.342.9516.9912.487.323.8415.2111.146.383.2213.739.636.072.5212.7010.026.211.9211.637.924.391.498.225.823.471.377.476.484.261.225.613.872.741.096.003.932.570.926.214.422.500.83
11.064.950.8613.6813.148.491.3416.2412.046.813.5814.6310.286.403.3416.7613.437.903.3514.0110.314.922.7615.8811.696.803.6214.3010.445.912.9912.758.955.622.3112.299.876.171.7710.707.263.941.267.345.173.051.176.605.853.861.044.993.492.510.995.403.512.290.835.694.042.240.72