ATI Financial Ratios for Analysis 2009-2024 | ATI

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

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
2.802.572.693.162.712.682.692.492.722.772.442.882.982.673.20
0.590.600.670.710.390.440.450.550.410.360.340.360.370.300.33
1.471.512.212.440.640.770.841.300.680.560.650.570.590.500.51
19.2318.6211.909.8215.4815.5814.107.111.628.966.2513.4015.3112.1113.37
11.178.244.20-43.688.898.953.82-17.28-9.932.51-2.266.518.604.583.03
11.178.244.20-43.688.898.953.82-17.28-9.932.51-2.266.518.604.583.03
14.6811.979.34-38.8812.5512.818.38-11.85-4.836.702.4410.6712.228.087.38
7.079.248.34-49.695.746.12-2.45-23.42-12.850.04-3.834.986.693.112.12
9.848.436.59-52.736.125.50-2.61-20.45-10.16-0.063.813.394.451.751.04
0.840.860.650.740.730.740.680.610.650.640.590.750.800.900.70
2.702.612.362.703.022.822.572.812.882.612.872.632.943.473.21
6.686.625.968.627.447.676.466.939.297.007.667.616.797.427.79
54.6655.1161.2742.3249.0647.6156.4652.6439.2852.1747.6847.9753.7849.1846.84
28.6029.3024.81-243.1612.0811.88-4.32-43.40-16.750.38-3.056.188.233.701.82
33.7836.4634.16-389.2215.8916.25-6.07-78.10-23.870.53-4.028.6611.544.092.02
8.497.634.82-38.654.704.30-1.54-12.13-6.360.16-1.322.563.501.750.87
11.6711.848.12-71.177.406.71-2.36-19.50-9.950.24-2.023.955.222.581.22
11.679.026.545.0617.3915.8514.6613.2620.0124.9227.7324.0924.1821.6121.31
0.571.490.111.321.572.690.20-0.411.220.523.453.672.610.272.23
-0.740.64-0.760.291.051.76-0.89-2.29-0.12-1.59-2.290.420.16-1.95-2.01

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
2.942.132.812.803.132.742.812.572.882.892.612.692.233.333.043.163.703.582.372.713.172.982.872.682.912.872.702.692.682.572.222.492.933.222.172.722.852.682.632.772.882.782.312.442.301.973.012.883.203.072.942.982.752.693.042.673.043.173.023.203.523.893.20
0.490.560.610.590.610.560.580.600.640.660.680.670.710.730.720.710.450.450.390.390.400.420.430.440.420.430.440.450.560.550.540.550.540.470.420.410.370.360.360.360.340.340.340.340.380.290.360.360.350.360.360.370.340.350.390.300.330.330.330.330.330.330.19
0.991.481.581.471.611.351.421.511.841.942.292.213.372.682.652.440.830.830.780.640.680.720.750.770.750.760.810.841.321.281.311.301.200.890.790.680.600.560.560.560.510.520.660.650.770.570.570.570.540.560.580.590.570.590.710.500.500.500.510.510.500.500.25
21.3920.7618.9319.3318.9719.9918.6118.3817.8118.2720.3115.9711.376.9312.396.876.379.7014.1116.6415.6816.4513.0514.2215.7217.2115.1815.6712.1214.1214.4119.806.525.95-4.38-13.20-3.457.539.7311.649.078.007.111.235.468.309.149.3212.6114.6515.3110.5115.9516.5016.7312.278.4814.4313.5019.4213.4910.599.70
13.5313.0211.0510.1812.2111.5010.8513.6110.97-1.219.238.784.12-1.834.59-165.29-1.61-35.497.169.699.2810.186.287.209.3011.008.329.02-8.486.747.739.30-64.75-1.49-13.84-44.55-10.950.454.124.922.652.130.25-13.38-1.801.952.563.275.757.977.666.178.819.159.513.712.267.215.258.781.491.52-0.01
13.5313.0211.0510.1812.2111.5010.8513.6110.97-1.219.238.784.12-1.834.59-165.29-1.61-35.497.169.699.2810.186.287.209.3011.008.329.02-8.486.747.739.30-64.75-1.49-13.84-44.55-10.950.454.124.922.652.130.25-13.38-1.801.952.563.275.757.977.666.178.819.159.513.712.267.215.258.781.491.52-0.01
---------------------------------------------------------------
10.9310.138.180.769.659.298.7627.516.53-3.224.8125.2810.64-6.560.45-173.60-7.73-42.493.601.5811.687.801.703.786.137.976.690.04-13.961.282.67-3.62-68.98-5.11-17.47-48.60-14.16-2.111.832.560.38-0.30-2.63-15.38-3.630.621.351.264.256.616.223.707.057.427.642.180.905.763.677.600.370.000.04
7.877.486.3413.698.798.648.1426.675.92-3.963.7025.226.71-7.98-1.14-170.29-8.38-54.862.215.0510.906.951.493.964.957.215.920.19-13.951.152.021.24-68.89-2.32-13.36-30.71-17.37-1.600.892.11-0.07-0.36-2.0318.94-3.480.420.911.273.124.164.163.604.614.744.591.460.093.462.024.630.20-1.890.71
0.210.220.220.210.220.240.240.230.240.230.200.180.160.160.170.160.120.150.160.180.180.190.180.190.190.190.180.180.170.170.170.150.150.140.130.130.140.160.170.160.160.170.140.130.150.170.180.130.190.220.220.150.220.220.240.230.240.240.200.190.160.160.21
0.580.660.660.690.610.610.650.690.700.620.560.610.610.540.580.610.540.630.690.740.740.740.700.740.690.670.690.650.690.700.700.620.670.700.680.660.640.640.690.630.690.730.650.680.680.640.650.490.680.770.760.570.790.770.830.890.960.850.800.800.820.921.01
1.441.521.451.701.501.471.431.741.521.531.491.631.451.701.631.901.541.591.611.841.711.861.781.971.731.621.611.671.651.631.721.761.701.651.711.851.671.721.631.741.711.721.771.731.691.611.611.351.651.821.801.241.761.671.771.901.701.851.902.081.681.781.85
62.5259.1562.1852.8759.9461.1062.9151.5959.1458.8260.2155.2762.2652.9055.0947.2858.3956.5055.8948.9652.7248.4350.6245.7751.9055.4455.7553.9454.4655.0752.4551.1153.0354.6952.5648.7653.7752.2355.2551.8652.4852.3550.8251.9453.3955.8255.8166.8654.5449.3550.1172.4651.1953.8150.8947.3152.9648.7047.2943.2553.6450.4848.57
4.535.834.9810.086.947.147.1323.666.86-3.844.4223.808.12-7.33-0.39-174.04-2.54-22.791.082.505.063.670.802.262.673.703.080.28-8.250.881.420.95-33.74-0.74-4.68-10.22-5.64-0.510.470.850.12-0.02-0.54-2.72-1.050.230.440.371.212.192.230.892.262.372.660.820.151.790.941.930.19-0.540.26
5.146.905.9711.908.348.648.7729.449.06-5.146.1932.7712.23-12.19-0.65-278.59-2.92-26.151.413.296.574.861.083.093.595.004.230.40-13.041.542.491.71-57.41-1.07-6.77-14.57-8.19-0.720.651.200.16-0.02-0.73-3.60-1.460.320.610.521.663.033.111.243.063.162.940.910.171.981.052.150.20-0.600.29
1.711.741.432.991.992.112.026.161.50-0.810.834.631.19-1.12-0.06-27.67-0.93-8.120.410.972.051.410.300.821.031.401.130.10-2.350.260.410.27-10.15-0.26-1.72-3.88-2.29-0.210.190.350.06-0.01-0.23-1.18-0.410.100.180.150.550.970.960.381.051.091.130.390.070.870.450.930.09-0.270.13
2.302.581.944.112.693.112.979.562.44-1.321.417.792.34-2.01-0.11-50.94-1.39-12.500.661.533.022.140.461.281.542.111.730.15-3.590.400.650.43-15.36-0.39-2.73-6.07-3.53-0.330.300.550.08-0.01-0.36-1.80-0.650.160.280.240.791.411.420.561.481.541.620.570.101.210.631.290.12-0.370.21
13.4111.7911.0411.6710.6310.189.459.027.256.886.416.545.354.764.795.0614.5914.5317.3217.3918.0816.9616.2415.8516.5716.2515.6314.6613.3013.9113.6913.2614.3519.2719.2720.0122.9424.7324.8024.9227.4127.4027.3327.7323.7423.9524.0524.0925.6024.9724.4124.1826.7226.1522.2721.6121.6321.6121.2921.3121.9621.9020.63
0.200.02-0.670.57-2.59-1.45-1.901.49-0.66-1.78-1.420.11-1.60-0.81-0.541.320.36-0.11-0.791.57-0.07-0.71-1.032.690.800.24-0.320.20-0.50-0.67-0.86-0.41-1.04-0.31-0.571.221.010.850.110.52-0.35-0.35-0.533.452.130.54-0.543.672.110.51-0.162.610.92-0.63-0.460.27-0.65-1.78-0.732.231.520.841.73
-1.20-0.81-1.11-0.74-3.71-2.12-2.300.64-1.32-2.22-1.59-0.76-2.27-1.27-0.730.29-0.36-0.61-0.971.05-0.11-0.86-1.221.760.11-0.24-0.61-0.89-1.29-1.10-1.05-2.29-2.67-1.67-1.22-0.120.090.26-0.10-1.59-1.79-1.26-0.90-2.29-1.57-1.55-1.340.420.01-0.90-0.760.16-0.53-1.47-0.85-1.95-2.00-2.68-1.25-2.01-1.62-1.340.62