Andersons Financial Ratios for Analysis 2009-2024 | ANDE

Fifteen years of historical annual and quarterly financial ratios and margins for Andersons (ANDE).

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
1.721.371.371.251.351.231.351.321.271.221.231.311.391.361.64
0.270.260.310.430.460.360.340.330.360.270.340.410.310.370.43
0.420.610.871.171.030.820.600.600.610.460.590.760.641.170.79
5.053.954.704.545.769.928.658.808.958.756.526.797.718.308.45
1.131.261.27-0.140.121.24-1.040.52-1.661.721.552.112.702.541.86
1.131.261.27-0.140.121.24-1.040.52-1.661.721.552.112.702.541.86
1.972.032.692.201.954.212.912.671.543.092.543.043.603.693.05
1.151.121.27-0.340.161.75-0.560.54-0.284.062.672.283.233.072.03
0.690.760.820.100.231.361.150.30-0.312.401.601.502.071.901.27
3.833.762.761.892.051.271.701.761.781.922.472.422.642.002.36
12.009.616.625.956.443.975.195.245.115.218.526.335.554.816.79
19.3413.8715.1012.5714.9214.6920.1220.1624.5724.8032.2225.2427.3022.2922.05
18.8726.3124.1729.0324.4624.8418.1418.1114.8614.7211.3314.4613.3716.3716.55
8.7410.8410.06-1.390.324.705.181.83-1.4414.8813.2112.3617.9713.979.74
10.1712.9212.40-1.820.445.346.052.33-1.8917.9014.3713.5717.9713.979.74
3.443.362.88-0.380.101.721.970.65-0.485.194.213.465.583.823.08
6.378.066.89-0.790.183.003.431.22-0.9310.928.707.2812.458.755.54
44.8742.5338.6234.5935.8630.7729.0128.0128.0328.4525.7021.8619.4216.8014.82
27.548.34-1.51-2.2410.53-1.252.661.395.45-0.3511.9611.7210.39-8.626.54
23.355.50-3.23-4.763.07-9.34-2.31-2.351.54-4.4410.488.567.64-9.605.36

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
2.072.041.721.801.821.441.371.411.391.291.371.451.321.271.251.401.511.321.351.401.361.301.231.271.341.231.351.361.351.301.321.421.341.231.271.251.321.231.221.331.411.281.231.351.521.291.311.271.341.321.391.571.571.321.361.491.901.741.642.092.091.80
0.270.270.270.280.290.270.260.260.280.300.310.310.410.430.430.390.460.470.460.490.500.500.360.340.340.350.340.330.320.320.330.340.340.340.360.340.340.290.270.270.280.290.340.360.380.400.410.340.350.280.310.310.330.350.370.370.390.410.430.440.450.46
0.380.400.420.420.490.900.610.891.261.580.870.751.341.551.170.771.451.311.031.161.471.470.820.690.751.140.600.590.720.870.600.570.810.950.610.650.710.820.460.940.530.840.590.630.771.200.761.031.111.110.640.730.951.591.170.880.690.760.790.860.911.04
6.274.726.784.345.523.813.633.885.193.005.134.065.054.374.254.945.623.414.735.506.915.5511.567.869.9310.028.458.338.848.979.328.969.127.638.389.379.119.078.968.919.267.656.926.196.596.235.426.887.807.556.666.929.177.867.157.5110.808.117.628.499.048.80
2.100.332.650.862.64-1.450.721.142.660.441.980.391.790.630.560.030.85-2.26-2.280.102.18-0.193.22-1.772.67-0.09-1.090.18-2.39-0.601.13-0.202.03-1.37-8.07-0.392.060.511.500.863.450.581.500.332.671.361.281.783.302.271.791.124.862.492.930.424.491.821.66-0.053.282.13
2.100.332.650.862.64-1.450.721.142.660.441.980.391.790.630.560.030.85-2.26-2.280.102.18-0.193.22-1.772.67-0.09-1.090.18-2.39-0.601.13-0.202.03-1.37-8.07-0.392.060.511.500.863.450.581.500.332.671.361.281.783.302.271.791.124.862.492.930.424.491.821.66-0.053.282.13
--------------------------------------------------------------
2.050.512.861.062.60-1.670.670.822.650.272.030.541.660.540.82-0.130.41-2.840.31-0.661.74-0.993.68-0.533.20-0.36-0.090.60-1.92-0.651.500.522.17-2.58-5.45-0.274.240.553.123.105.723.983.252.403.081.681.312.143.482.462.541.675.382.713.550.114.973.063.000.383.080.96
1.290.211.590.271.37-0.380.190.871.790.140.780.521.340.580.66-0.061.61-2.030.39-0.211.29-0.712.92-0.312.36-0.276.940.30-2.68-0.360.910.201.35-1.66-3.97-0.132.610.452.021.763.362.261.931.451.880.990.891.472.211.611.671.163.361.722.220.203.101.701.770.211.960.71
0.850.830.831.011.130.951.020.950.940.770.830.810.800.610.570.550.570.490.440.600.650.540.340.320.430.270.460.430.520.390.500.430.510.380.500.410.550.400.540.460.690.470.700.630.860.590.770.570.730.620.750.640.870.550.680.520.700.600.710.570.740.59
3.822.602.573.533.832.412.602.612.611.981.982.833.401.931.802.402.891.741.402.532.871.821.041.291.660.781.421.611.961.211.481.831.991.171.451.562.121.121.462.192.751.282.402.583.291.582.051.552.031.331.591.912.591.191.661.513.041.772.072.883.601.67
3.763.874.214.453.903.453.754.263.903.794.534.084.603.833.803.703.523.433.203.793.263.233.923.324.172.945.484.265.334.475.724.955.014.276.924.514.984.376.955.876.925.239.116.607.246.438.055.726.425.567.745.915.574.547.584.926.115.066.685.936.204.51
23.9423.2321.3620.2223.0626.0924.0321.1323.0823.7619.8722.0719.5523.4923.7024.3425.5726.2128.0923.7427.5727.8322.9627.0921.5730.5816.4221.1116.8820.1415.7418.1717.9821.0613.0019.9618.0820.5812.9515.3313.0117.229.8813.6312.4314.0011.1915.7514.0216.1811.6315.2216.1619.8311.8718.2814.7317.7813.4815.1714.5219.94
3.450.865.172.115.75-4.391.481.747.230.495.010.993.590.821.130.161.77-4.59-0.46-0.582.88-1.422.70-0.222.53-0.248.480.35-3.57-0.391.430.431.97-2.03-5.96-0.123.940.493.392.416.243.504.782.694.701.972.322.524.833.184.112.118.783.615.610.085.833.024.530.424.071.06
3.451.005.172.485.75-5.271.762.088.660.606.171.244.551.061.480.212.40-6.30-0.62-0.854.23-2.113.07-0.252.91-0.289.910.43-4.37-0.501.820.552.55-2.66-7.79-0.175.610.614.082.596.743.805.202.955.132.162.542.605.003.184.112.118.783.615.610.085.833.024.530.424.071.06
1.590.392.030.852.32-1.440.460.562.160.131.430.331.090.230.310.050.61-1.36-0.14-0.180.82-0.390.99-0.091.01-0.083.230.13-1.40-0.140.510.170.73-0.67-1.98-0.041.510.171.180.932.611.221.520.961.690.570.650.761.590.971.280.772.980.951.530.032.231.051.430.151.420.33
2.540.623.771.514.10-3.221.101.295.170.343.430.692.130.470.640.100.95-2.43-0.25-0.301.45-0.711.72-0.151.67-0.165.620.23-2.42-0.270.950.281.31-1.33-3.83-0.082.610.352.491.774.522.483.151.722.891.191.361.663.142.282.851.465.862.343.520.053.561.792.570.232.240.57
44.9643.3444.8742.8842.5739.8642.5342.2441.6838.7438.6236.7036.3835.1334.5933.8933.7333.2235.8630.5330.7629.9330.7729.5829.7328.8929.0126.4526.3827.4128.0127.6327.7327.2228.0328.5628.9227.9328.4528.2027.8426.1625.7023.8423.2622.2321.8621.5421.0719.9319.4219.1818.8317.2716.8015.9816.0115.1814.8214.1214.0313.52
1.89-7.0027.5420.316.07-9.928.34-4.46-20.97-31.36-1.513.54-7.31-13.27-2.245.944.41-6.9610.539.80-2.59-3.76-1.251.02-1.55-13.412.662.13-1.60-8.111.391.46-6.86-9.535.452.06-2.09-9.95-0.353.61-9.18-17.6711.964.57-2.12-11.9711.72-1.38-4.82-6.6810.397.962.26-7.95-8.62-5.293.80-2.306.546.924.78-1.85
0.27-7.7823.3517.313.88-10.595.50-6.15-21.84-32.05-3.232.47-7.89-13.68-4.763.822.50-7.883.074.16-6.33-5.55-9.34-2.69-3.18-14.98-2.310.05-3.66-8.50-2.351.44-8.68-10.051.54-1.13-4.04-10.55-4.441.95-9.94-17.4510.484.04-2.90-12.488.56-6.88-8.36-8.037.646.261.30-8.16-9.60-5.993.38-2.565.365.974.27-2.08