Atlas Copco AB Financial Ratios for Analysis 2009-2024 | ATLKY

Fifteen years of historical annual and quarterly financial ratios and margins for Atlas Copco AB (ATLKY).

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
1.591.311.671.621.771.532.061.851.842.092.352.441.862.462.23
0.250.230.240.290.280.250.280.300.320.300.330.360.370.400.45
0.360.450.370.460.440.480.410.460.490.480.640.600.710.690.93
43.5042.0241.9541.2743.1143.2341.5039.5839.2837.4038.2938.3938.3637.7933.14
21.4621.3621.2119.1521.0922.2120.7819.5319.3018.1520.3321.0721.2619.7514.22
21.4621.3621.2119.1521.0922.2120.7819.5319.3018.1520.3321.0721.2619.7514.22
25.9525.8426.1424.3525.6226.3225.1723.8623.5622.1123.5524.0124.3623.3318.10
21.1121.2621.1118.8720.7921.8619.8718.5518.4217.1719.3920.4821.2819.3112.97
16.2416.6116.3514.8115.9211114.3211.7711.4712.9814.4015.3715.9914.239.84
0.950.820.810.880.930.990.930.870.990.890.951.121.080.980.94
3.333.013.624.364.074.263.703.623.673.193.083.162.853.363.75
3.833.463.653.873.723.893.873.663.933.603.864.283.784.004.13
95.2810699.9294.2998.0193.7894.4299.7092.8410194.5385.2996.4791.2888.34
30.6629.3426.8127.6131.0438.4627.6025.9225.0823.9930.6542.0711.36--
11718110519298.8213165.5589.8188.6169.3554.1876.7724.2970.4648.37
15.3613.6313.2713.0414.8116.9013.3311.8911.3811.5613.8818.214.3615.609.25
23.0922.6220.4819.6622.4528.7219.8718.0617.0816.6920.4026.747.1522.8313.45
1.771.631.621.201.161.011.471.281.141.52-----
0.540.430.550.500.350.400.520.440.440.490.380.420.270.310.40
0.470.360.510.470.330.350.480.410.410.450.340.370.210.290.37

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
1.561.511.711.591.471.341.531.311.241.291.691.671.561.491.701.621.631.501.701.771.551.511.691.531.391.312.052.061.851.741.901.851.721.511.891.841.811.792.212.091.982.122.012.352.172.042.752.442.232.122.111.861.851.742.442.462.282.152.162.232.242.132.22
0.230.240.230.250.250.270.250.230.230.250.220.240.260.280.260.290.280.290.270.280.290.280.260.250.280.300.200.280.300.310.290.300.320.280.310.320.320.370.290.300.330.370.320.330.350.370.400.360.390.420.400.370.390.430.390.400.430.450.440.450.500.510.52
0.330.350.330.360.400.460.380.450.450.450.380.370.400.450.390.460.450.470.420.440.460.440.400.480.550.600.340.410.450.490.440.460.490.520.470.490.500.610.430.480.570.640.610.640.710.770.690.600.670.740.770.710.790.900.650.690.780.850.870.931.111.191.13
43.4542.7743.8143.7642.8743.6243.7842.4441.8241.4342.3541.9142.0142.2341.6441.7540.9239.6442.6443.1342.4743.7343.1542.4043.5343.1843.8340.9841.3642.0941.6640.9139.1438.6639.7237.9739.9839.6039.6342.3737.6838.8638.4237.0037.4538.4139.8436.4438.9338.5538.3937.7938.0739.4838.6835.7136.0835.9536.2933.8234.4631.8232.83
21.6621.1321.8020.1422.7421.1921.8219.2922.0021.9822.4321.0421.5621.5220.7020.5719.1616.1420.4220.5521.9021.0320.8822.3522.2322.2022.0620.1321.9920.6320.3822.3918.9318.7718.0221.7420.6519.3615.169.2414.6415.6516.2520.2823.0120.5218.6223.2622.8019.8021.1119.6422.5817.5024.5025.3828.0422.3316.9014.1115.9212.5313.10
21.6621.1321.8020.1422.7421.1921.8219.2922.0021.9822.4321.0421.5621.5220.7020.5719.1616.1420.4220.5521.9021.0320.8822.3522.2322.2022.0620.1321.9920.6320.3822.3918.9318.7718.0221.7420.6519.3615.169.2414.6415.6516.2520.2823.0120.5218.6223.2622.8019.8021.1119.6422.5817.5024.5025.3828.0422.3316.9014.1115.9212.5313.10
---------------------------------------------------------------
21.3120.7021.8319.6722.3220.8121.7118.8922.1922.0622.1721.1721.3721.3320.5320.3818.9015.8719.9620.4121.6620.7820.2923.5821.8321.3820.6019.1921.2919.3619.6121.8617.7817.3817.2817.5219.6018.5917.9819.5717.0318.5217.0818.2818.9319.6520.4818.8821.2821.0720.0719.9222.6821.3121.5118.8918.9418.9716.3214.3414.6512.0310.82
16.6317.0616.7315.1017.5316.0016.3615.0117.1617.1517.3316.5716.3816.5915.8116.1614.5612.9815.2815.8616.5615.9515.2919.1815.9537920.1513.5115.4714.0314.309.1412.7812.5212.564.2714.7913.9813.0713.1512.2013.7412.8613.6514.8514.3614.7714.9615.7615.4215.3015.1117.3614.9516.6415.0314.8814.4812.1210.6611.479.098.31
0.210.230.220.250.230.230.230.220.220.220.200.210.210.220.210.240.210.210.210.240.230.250.240.250.260.270.160.250.230.240.230.210.230.240.220.260.250.250.210.200.230.240.230.240.250.250.230.300.280.290.270.280.290.290.260.300.290.260.220.250.230.230.21
0.830.850.780.860.790.750.750.810.820.820.850.930.971.041.031.181.000.910.891.050.990.990.981.101.021.081.021.010.930.930.920.870.870.850.790.910.850.830.770.800.810.780.730.790.730.740.700.810.720.760.740.760.760.790.780.980.870.870.841.020.780.730.66
0.930.940.901.000.940.920.950.940.940.900.930.940.910.930.911.060.900.860.890.960.940.930.920.990.970.960.931.051.011.000.930.890.940.940.891.010.960.950.880.810.900.910.910.990.970.960.931.141.030.981.000.991.011.001.071.251.171.000.961.120.950.910.81
96.3095.8599.5290.2895.8098.2294.6695.7396.0699.4896.8995.4799.3597.0298.5484.8199.4710510193.3296.1796.2697.5490.6292.3694.0596.5685.6789.1189.7296.7810195.6895.6010188.9493.8394.5210211110098.9899.2390.9992.4893.4196.9978.7287.1791.6289.7190.6088.7890.0283.9472.1476.8989.7893.5080.4294.7498.43111
---7.42---7.21---7.01---8.26---8.01---11.91---7.148.12--7.736.716.90-2.41---5.47---7.37---10.30---11.1713.5812.8410.56-1,7611,475-----
24.0929.8622.3828.2836.7552.7734.9444.5170.0762.8222.4527.4337.6555.7330.7757.4643.7164.1721.9525.4835.0431.6822.3540.6652.4882.178.6516.9422.4726.3520.7726.7930.4627.0918.518.5229.5039.5915.4915.8120.9723.8316.9713.0216.1018.0114.5418.7922.3826.1321.1723.8928.4931.6518.9320.6622.9522.3714.5214.2016.2214.5711.14
3.583.863.613.724.023.623.713.353.843.803.523.473.453.693.343.903.042.683.203.823.863.993.645.234.224.262.483.453.663.433.293.552.922.992.741.093.633.482.802.642.813.342.893.343.663.633.374.464.474.554.174.295.004.354.364.574.283.802.712.712.592.091.78
5.405.925.285.596.315.895.665.566.546.485.465.365.435.895.005.884.544.064.775.796.196.635.748.907.527.843.965.145.725.445.015.394.594.964.101.645.515.344.023.814.144.844.364.905.725.834.856.556.827.016.487.038.227.356.456.706.335.613.973.953.733.082.59
2.021.882.061.771.761.67-1.63---1.62---1.20---1.16---1.01---1.47---1.28---1.14---------------------------
0.490.310.150.540.340.190.120.430.280.160.080.550.360.240.130.500.340.180.100.350.230.130.070.400.260.170.110.520.380.200.090.440.280.160.090.440.310.180.070.490.310.190.080.380.290.200.080.420.270.140.060.270.190.100.060.310.230.150.080.400.120.170.09
0.430.270.130.470.280.150.100.360.230.120.060.510.330.220.120.470.320.170.090.330.210.110.060.350.230.150.100.480.350.180.080.410.260.140.090.410.290.160.060.450.280.170.070.340.260.180.070.370.230.120.050.210.150.080.050.290.210.140.070.370.110.150.08