Amplify Energy Financial Ratios for Analysis 2009-2024 | AMPY

Fifteen years of historical annual and quarterly financial ratios and margins for Amplify Energy (AMPY).

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
1.020.710.761.000.862.091.852.200.071.090.760.660.56-0.99
0.231.021.391.150.400.410.210.19-0.790.830.510.45-0.11
0.29-46.20-4.37-7.720.660.710.260.23-1.433.665.001.020.82-0.13
54.6271.2864.6040.7855.0366.3765.0171.8277.6989.9884.3687.6992.3079.6056.55
24.7815.70-7.47-218.60-4.3423.972.27-80.35-450.1832.84-86.778.298.94-24.81-48.48
24.7815.70-7.47-218.60-4.3423.972.27-80.35-450.1832.84-86.778.298.94-24.81-48.48
34.5321.070.90-197.0616.3540.0926.36-50.70-396.7767.82-32.1759.6153.1342.022.49
46.7412.65-9.35-229.50-12.7916.05-29.22551-494.8315.53-104.473.147.95-24.80-48.45
12212.03-9.35-229.55-12.7715.34-28.51544-492.458.47-76.59-63.237.95-24.80-48.45
0.421.000.750.530.310.410.460.320.540.320.200.150.34-0.09
------------2.82-9.58
7.875.703.736.548.3111.528.765.535.745.943.214.927.63--
46.3964.0597.8955.8043.9031.6741.6666.0263.6461.4811474.1347.85--
100-1,267.8049.461,375-8.1113.11-18.4723713625.10-101.17-22.165.83--
100-1,267.8049.461,375-8.1113.11-18.4723713625.10-101.17-22.165.83--4.99
53.2412.60-7.05-120.60-4.016.53-13.03175-264.624.78-14.69-8.912.67--4.14
77.6131.21-19.42-204.62-4.897.69-14.611931365.38-16.85-10.943.20--4.43
9.99-0.12-1.71-0.9011.5618.7819.2922.48-122.0466.594.9410.17---
3.631.681.661.981.615.688.813.4227.6252.9136.132.290.000.000.00
2.830.770.871.02-0.904.136.44-2.84-10.51-7.94-52.71-4.75---

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312009-12-31
1.060.840.791.020.720.870.850.710.690.590.590.760.510.550.781.001.221.272.090.861.290.870.862.090.640.620.791.852.032.212.142.201.011.040.150.071.551.670.901.090.700.660.580.760.630.700.800.660.320.610.290.56-----
0.220.230.230.230.270.250.261.021.211.632.011.391.771.591.261.150.990.930.820.400.370.120.110.410.050.050.140.210.170.180.180.19----1.741.200.860.790.830.870.870.830.710.700.560.510.380.290.440.45-----
0.290.300.300.290.370.340.36-46.20-5.80-3.54-1.99-4.37-2.30-2.69-4.80-7.7267.0313.434.680.660.580.140.120.710.060.060.160.260.210.210.220.23-0.16-0.17-1.42-1.43-2.35-5.966.353.664.996.426.605.002.452.371.251.020.610.410.880.82-----
52.4054.3349.8255.4052.4651.5058.7366.2274.6372.6770.4668.4664.4564.3660.1149.1647.6020.8838.5554.1454.8055.8455.6366.2567.8459.9569.7255.4568.5172.7175.6270.4872.5074.2569.6774.3682.9670.8979.0891.7792.4586.6786.0987.4680.4686.0580.4787.0274.6794.2378.6212595.8294.3380.20--
46.6717.05-11.9070.07-16.059.1633.3135.0940.5326.51-41.4641.11-10.65-46.46-22.33-59.80-27.19-98.45-618.17-29.5820.3039.52-41.8244.523.75-0.5811.88-23.4110.6824.6729.9310.43-20.16-84.33-260.04-683.32-411.18-740.54-149.3761.4449.4321.40-35.93-258.70-9.7517.42-2.908.49-110.1655.94-52.32-96.8153.1236.62-122.65--
46.6717.05-11.9070.07-16.059.1633.3135.0940.5326.51-41.4641.11-10.65-46.46-22.33-59.80-27.19-98.45-618.17-29.5820.3039.52-41.8244.523.75-0.5811.88-23.4110.6824.6729.9310.43-20.16-84.33-260.04-683.32-411.18-740.54-149.3761.4449.4321.40-35.93-258.70-9.7517.42-2.908.49-110.1655.94-52.32-96.8153.1236.62-122.65--
---------------------------------------------------------
41.1012.34-16.6565.35-21.714.1813230.4737.4023.99-43.6338.42-13.89-43.56-26.67-67.35-33.53-117.29-631.62-35.317.0731.31-48.3933.51-3.04-3.648.19-91.787.3722.6528.432,446-59.7914.33-345.02-743.08-447.92-800.54-182.1948.6234.18-1.45-59.39-277.14-33.024.23-18.19-2.08-113.3555.12-57.89-100.2652.4736.42-122.59--
30.888.52-12.3154.19-17.4613.0442131.3135.6022.84-43.6338.42-13.89-43.56-26.67-67.41-33.53-117.53-631.62-34.216.8930.09-48.3132.08-3.04-3.647.98-89.477.2022.0527.592,419-59.7914.17-345.02-742.21-448.06-801.44-174.1841.2820.55-4.67-59.63-199.91-23.470.36-16.99-10.02-68.65-109.55-57.89-100.2652.4736.42-122.59--
0.090.110.110.110.110.100.110.220.280.270.240.200.240.200.190.150.130.080.110.090.080.110.110.200.140.070.080.200.060.080.080.080.090.090.070.100.090.040.050.110.100.070.060.070.040.050.040.050.030.130.040.06-----
------------------------------------------------0.930.911.04-1.94-----
2.162.192.092.021.601.141.211.231.601.571.211.012.172.032.051.821.961.302.362.352.244.153.235.542.581.201.423.881.481.751.601.441.611.481.291.081.580.721.052.071.611.010.881.100.931.501.141.771.115.241.391.43-----
41.6141.1043.1044.5556.1178.8174.3573.1856.2457.5074.2588.9541.5244.3843.9949.5845.9169.4338.1738.2840.1621.7127.8316.2634.8374.8063.3423.2160.8251.5556.2962.4255.7960.7469.5983.2556.8912585.4343.5055.8889.1510381.7496.8960.0578.6950.9180.8917.1764.9663.08-----
5.461.82-2.4711.14-3.872.74102-657.94-133.72-35.0443.02-55.1413.4540.0836.28112-438.18-194.48-591.34-6.341.074.26-6.6513.14-0.51-0.310.81-25.860.602.303.162742.50-0.6011.9238.5260.58185-70.8227.4922.32-0.81-32.45-92.87-3.610.52-1.25-0.36-5.04-30.36--13.75-----
5.461.82-2.4711.14-3.872.74102-657.94-133.72-35.0443.02-55.1413.4540.0836.28112-438.18-194.48-591.34-6.341.074.26-6.6513.14-0.51-0.310.81-25.860.602.303.162742.50-0.6011.9238.5260.58185-70.8227.4922.32-0.81-32.45-92.87-3.610.52-1.25-0.36-5.04-30.36-6.53-13.75-----
3.060.99-1.325.91-1.871.3749.046.5410.316.40-10.667.86-3.32-8.86-4.94-9.83-4.19-9.11-72.41-3.140.563.47-5.506.54-0.43-0.260.62-18.250.461.712.34203-5.521.23-22.90-75.22-38.08-33.32-8.525.233.27-0.09-3.59-13.48-0.870.13-0.44-0.14-2.08-14.20-2.54-6.29-----
4.241.40-1.898.61-2.832.0574.7416.2027.8422.20-43.4121.65-10.37-23.72-9.56-16.67-6.56-14.41-104.29-3.830.683.74-5.917.70-0.49-0.300.70-20.460.501.892.602232.50-0.6011.9238.52-44.94-37.36-9.645.903.72-0.11-4.27-15.47-1.040.15-0.55-0.18-3.13-21.53-3.66-7.55-----
10.429.859.629.998.869.198.90-0.12-0.92-2.18-2.95-1.71-2.64-2.30-1.40-0.900.110.571.6511.5612.0121.4323.2018.7819.9919.4819.4819.2924.1623.8823.3722.48-142.40-138.83-139.66-122.04-74.93-45.053.8166.594.763.663.664.949.559.379.3210.175.315.564.03------
0.980.580.203.632.902.442.331.681.280.790.251.661.460.960.411.981.691.140.351.610.771.500.495.684.651.950.888.813.562.521.293.427.344.842.8127.6234.5120.4716.8052.9146.1926.121.6036.132.731.060.952.291.440.980.000.000.000.000.410.000.00
-0.41-0.42-0.342.832.302.012.120.770.600.460.120.870.830.640.301.020.840.430.01-0.90-1.08-0.010.024.133.531.51-0.386.440.030.400.30-2.84-4.77-4.59-2.71-10.510.66-1.670.28-7.944.096.85-0.26-52.71-3.91-2.73-1.07-4.75-2.90-2.04-----0.39--