Assa Abloy AB Financial Ratios for Analysis 2011-2025 | ASAZY

Fifteen years of historical annual and quarterly financial ratios and margins for Assa Abloy AB (ASAZY).

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
2023202220212020201920182017201620152014201320122011
1.101.201.261.211.141.041.071.181.141.121.051.000.87
0.350.190.220.280.260.270.250.260.270.300.320.300.24
0.650.350.360.440.450.520.450.440.480.550.630.540.63
40.1539.6839.7639.1539.9138.9139.3937.8438.7638.5737.9539.5335.79
15.4815.3414.9314.2115.547.2516.2113.5516.2716.0514.0915.9412.35
15.4815.3414.9314.2115.547.2516.2113.5516.2716.0514.0915.9412.35
19.1615.3418.9718.5219.149.5918.4315.7618.3718.1016.1418.1614.80
13.6814.5114.2513.3214.436.3015.3312.5615.2515.3013.1614.4410.91
9.6911.0011.4710.4610.633.2811.349.3311.3011.329.8510.999.26
0.720.780.730.750.800.790.770.750.790.710.740.780.75
4.533.794.115.295.014.544.894.635.004.454.634.774.70
5.665.425.055.395.255.165.044.945.114.655.465.915.76
64.4767.4072.2167.7469.5470.7072.3573.8271.4578.4766.8861.8063.32
14.8815.4615.6615.5816.905.3117.0514.0318.5014.7919.0319.4714.59
-37.82-272.96-161.63-67.58-89.25-21.26-80.31-67.11-74.81-48.71-57.92-67.60-44.87
6.958.608.397.818.472.598.686.958.936.678.348.696.26
9.6312.4812.1411.2912.463.8612.7910.3313.4610.3713.0113.7211.12
3.883.833.652.882.812.682.67-2.22----
0.900.640.650.670.600.480.490.530.460.440.430.400.00
0.800.550.570.590.520.410.380.440.390.360.350.36-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-31
1.181.101.131.101.061.201.281.201.361.261.311.261.241.191.251.211.221.241.231.141.040.991.061.041.041.091.161.071.131.191.211.181.141.051.141.141.211.111.161.121.071.021.111.051.071.001.141.001.000.910.930.870.850.850.91
0.350.340.340.350.350.380.180.190.200.210.210.220.230.250.260.280.290.290.280.260.270.270.270.270.280.290.250.250.260.270.250.260.260.270.270.270.300.300.290.300.300.320.330.320.290.300.310.300.310.290.280.240.250.270.29
0.640.650.630.650.660.750.300.350.320.360.340.360.380.400.410.440.520.520.490.450.520.580.520.520.580.600.460.450.480.490.430.440.510.580.530.480.570.640.560.550.630.710.670.630.590.590.540.540.700.780.700.630.781.181.11
42.1141.7741.2840.3340.0441.2538.9340.1439.6839.4739.4039.3339.8539.9140.0037.2840.6138.3340.4739.3140.0540.3539.9737.0039.6039.4739.7439.2439.6139.1039.6333.0839.6139.2939.6138.5738.4338.8040.5043.2440.4039.7938.9433.4738.5139.0341.3539.4939.8738.8339.7426.2938.8238.5640.92
16.6015.9915.3614.9814.6719.9412.2315.7415.6314.9515.0115.6714.1715.1814.628.7624.7610.5112.4114.9816.2115.8515.0910.8816.16-12.7015.2516.5516.7516.0615.376.2316.7516.2715.1716.8817.5615.6812.165.9713.1612.5114.958.6219.9515.9312.5016.4316.6215.9015.203.4216.0215.2515.76
16.6015.9915.3614.9814.6719.9412.2315.7415.6314.9515.0115.6714.1715.1814.628.7624.7610.5112.4114.9816.2115.8515.0910.8816.16-12.7015.2516.5516.7516.0615.376.2316.7516.2715.1716.8817.5615.6812.165.9713.1612.5114.958.6219.9515.9312.5016.4316.6215.9015.203.4216.0215.2515.76
-------------------------------------------------------
14.2513.7613.0612.6712.2318.6511.1714.5114.8814.2814.3314.9213.5114.5513.968.0123.969.4811.3613.9115.1714.7013.949.8815.20-13.6014.3115.9115.7815.1914.295.5015.7815.2513.9015.6315.9014.9514.8218.3516.7915.3613.897.9915.6514.9414.5414.9015.1413.8913.662.1514.5913.9013.97
10.6810.329.8110.719.1810.378.3811.3811.1610.7010.7511.8610.0013.5810.336.0119.967.018.4110.1011.2210.8810.327.0011.25-15.2410.5911.6711.7711.2310.574.0711.7711.3210.3111.5811.8511.0510.6011.9211.8810.9910.275.9512.1511.2110.4711.3211.2110.7810.520.6115.2511.0110.84
0.180.180.170.190.180.160.210.200.210.200.200.190.190.190.180.210.170.160.170.210.200.200.190.210.200.200.180.210.190.200.190.190.190.200.180.210.200.200.170.160.190.190.180.200.210.200.180.210.190.200.190.200.190.170.15
1.051.101.021.191.040.941.040.980.960.981.011.081.141.251.191.531.151.071.081.321.141.141.051.251.101.151.081.361.131.171.091.291.121.221.101.341.221.201.061.171.191.181.091.361.161.171.071.281.111.141.081.461.081.090.94
1.211.251.141.491.271.181.251.411.161.151.141.321.181.201.111.521.091.051.031.371.151.181.131.371.131.151.071.401.101.181.111.281.101.101.061.361.441.441.291.081.421.441.411.491.591.511.411.581.531.561.521.561.541.551.38
74.1072.0478.8460.5071.1276.1571.8263.9877.8778.5978.9668.0576.1174.9280.8859.4082.5785.7587.7165.6878.0276.0179.6565.5279.6878.5084.4864.3082.0976.3881.0470.3281.8481.8884.8366.1762.4762.6669.6183.6863.5362.5163.6360.4856.7359.6564.0057.0359.0057.7759.3957.6058.4458.0365.14
---4.34---4.15---4.24---2.51---4.20---3.02---4.90---1.59---5.05---4.34---2.73---5.28----1.41---
-11.46-10.83-9.66-11.04-8.84-9.09-128.87-73.30-176.19-56.00-73.28-43.71-32.76-31.37-19.41-10.90-30.49-11.91-15.89-22.16-19.52-17.64-18.20-12.08-18.6325.05-20.26-23.10-24.86-23.50-23.97-7.59-22.39-18.22-17.21-20.42-17.89-14.85-13.23-14.30-17.83-14.15-13.15-8.31-22.34-16.57-15.13-18.33-14.88-13.37-13.974.34-21.32-13.09-12.92
1.891.861.642.031.631.701.752.312.302.182.112.271.882.611.831.263.461.151.462.102.212.191.931.472.24-3.091.872.502.242.292.000.792.262.211.862.442.382.191.801.962.262.101.871.202.532.231.872.362.142.122.01-0.602.951.891.63
2.582.592.272.812.292.352.503.353.293.183.063.282.753.792.621.825.071.682.123.093.413.462.942.193.45-4.702.713.683.293.412.941.173.443.472.813.683.633.452.793.043.543.342.851.873.963.612.853.723.563.723.37-1.075.293.993.18
---3.88---3.83---3.65-3.423.422.883.162.752.942.812.722.562.712.682.522.513.002.672.62-2.47-2.382.332.27--------------------
0.600.340.130.900.620.400.180.640.350.190.040.650.490.320.140.670.420.210.050.600.240.200.040.480.250.120.010.490.220.130.020.530.230.10-0.030.460.260.100.000.440.230.10-0.020.430.260.110.010.400.220.090.010.000.000.000.00
0.530.300.110.800.550.350.150.550.300.150.030.570.430.280.120.590.360.170.030.520.240.160.030.410.190.08-0.010.380.140.130.010.440.180.06-0.050.390.200.07-0.020.360.170.10-0.040.350.200.070.000.360.220.090.01----