Avient Financial Ratios for Analysis 2009-2024 | AVNT

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

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
1.821.811.942.002.151.791.871.861.931.662.061.931.902.161.91
0.470.480.510.520.530.710.680.630.620.550.500.530.540.460.52
0.890.931.041.091.172.512.181.731.631.301.011.121.200.881.15
28.4025.9928.4729.8022.9621.6923.0223.0222.2418.4617.5618.5615.8416.3515.71
6.267.168.445.045.486.206.689.118.804.046.144.817.496.666.65
6.267.168.445.045.486.206.689.118.804.046.855.6213.108.268.36
12.2712.9812.8810.708.539.3810.4812.7112.757.539.798.0615.2210.3711.51
2.781.886.142.763.823.534.327.715.942.304.002.916.234.254.52
2.4120.706.965.9420.565.55-2.235.624.942.066.462.516.376.205.18
0.530.560.660.450.871.060.961.071.131.441.281.341.301.571.46
6.496.757.764.758.457.936.088.497.9310.129.089.539.3710.389.46
7.867.717.544.298.678.306.609.038.449.678.819.118.448.907.51
46.4447.3448.4385.1342.0843.9955.2940.4443.2437.7641.4240.0543.2441.0048.60
3.263.538.474.257.1916.1718.5422.9121.069.939.498.4326.0831.5129.83
-7.85-9.07-36.14-12.04-74.00-16.78-27.03-110.87-62.63-43.84173-46.63-102.8857.2387.10
1.281.373.031.492.313.214.116.085.722.903.162.507.389.737.54
1.731.834.162.043.344.665.928.468.104.474.753.9911.8717.1414.29
25.6425.8819.5518.7513.696.967.418.788.278.7010.297.056.635.503.87
2.204.322.542.453.873.162.472.692.712.231.131.190.771.472.46
0.983.241.451.742.822.261.501.701.681.543.190.550.201.062.12

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
0.971.901.821.881.951.871.811.281.291.241.941.921.991.992.001.954.142.892.151.881.681.811.791.861.761.811.871.962.081.901.861.901.791.831.931.801.771.901.661.941.952.042.062.071.991.941.931.991.901.921.902.062.022.202.161.981.711.661.911.711.621.60
0.380.470.470.470.480.480.480.590.410.410.510.510.510.520.520.540.540.440.530.700.710.720.710.680.690.690.680.700.710.640.630.620.610.630.620.580.550.580.550.530.510.510.500.500.510.550.530.530.540.530.540.400.390.410.460.510.450.470.520.580.670.68
0.890.890.890.910.930.920.931.801.021.021.041.041.051.091.091.161.200.801.172.412.472.572.512.182.242.312.182.382.511.771.731.671.561.721.631.471.321.461.301.131.071.031.010.991.041.211.121.121.161.151.200.710.690.700.881.070.961.051.151.502.312.48
30.3233.5629.0525.9129.2029.2821.7623.7329.2828.5113726.3623.3726.02-425.8322.7424.5824.1023.2822.7623.4322.4021.6321.5621.4822.0229.0721.9323.0822.8724.3622.2423.9921.9038.8120.0920.9319.4517.5519.0518.3518.7812.4417.9719.6320.2618.3919.0919.0317.7513.0415.4916.8117.0814.0816.3518.3016.4515.5819.3316.2910.96
8.5311.345.994.557.566.750.054.9311.2311.45-1.606.458.7510.3642.053.626.247.423.116.116.166.28-7.846.688.468.74-32.678.039.5810.297.269.6410.798.4211.628.229.058.03-1.656.644.915.635.276.117.785.062.046.155.725.02-14.355.786.5725.024.826.939.225.3514.3710.012.80-2.40
8.5311.345.994.557.566.750.054.9311.2311.45-1.606.458.7510.3642.053.626.247.423.116.116.166.28-7.846.688.468.74-32.678.039.5810.297.269.6410.798.4211.628.229.058.03-1.656.644.915.638.176.117.785.075.586.155.725.07-10.635.786.5743.668.428.4810.355.5815.5710.964.830.47
--------------------------------------------------------------
5.308.022.870.663.973.43-9.79-3.529.609.49-24.304.337.278.8367.880.575.146.322.934.004.094.17-17.284.646.737.14-44.106.297.798.547.827.618.826.731.806.117.156.10-3.594.843.313.983.643.856.061.96-0.174.323.973.19-16.294.535.6823.813.451.477.943.9712.698.240.89-5.72
3.955.963.980.682.682.3568.89-1.259.519.4429.806.475.576.82-246.030.183.744.6170.656.105.635.093.406.895.615.2023.604.74-22.285.895.765.666.594.620.955.297.533.46-1.683.413.152.932.662.2817.431.910.483.393.252.712.532.943.7115.3414.550.536.943.3314.128.81-0.38-3.82
0.140.140.120.130.140.140.130.130.180.180.020.160.240.24-0.010.200.140.190.200.240.260.250.120.260.330.330.060.310.300.290.210.270.290.320.130.320.330.320.330.350.350.350.310.340.340.280.310.330.350.350.230.410.410.390.370.420.450.430.390.390.360.36
1.621.561.471.601.631.611.661.421.281.34-0.121.262.292.41-0.482.291.901.991.941.931.621.550.921.712.242.180.352.072.121.821.671.781.852.040.702.352.332.362.322.542.602.442.362.422.271.812.172.242.382.421.742.592.502.502.512.432.492.562.542.802.782.61
1.751.741.801.731.631.751.791.631.181.180.231.161.751.81-0.061.801.961.862.001.911.581.560.971.541.871.840.411.901.871.761.801.791.761.970.942.072.051.962.192.092.011.982.162.001.991.522.071.891.861.851.522.001.941.882.101.951.921.852.011.841.741.83
51.5451.6050.0652.1755.2851.5550.1755.1676.0276.4539677.3551.3849.73-1,539.5350.0745.8948.3745.1047.0556.9957.5893.1158.3248.2148.9921947.4048.1751.2349.9550.4251.2045.6195.5043.5643.8045.8741.0843.1044.8745.5741.7145.0545.2359.1143.4047.6548.2648.7259.4145.0246.4947.9142.9046.1946.8648.6344.7048.7851.7749.18
1.452.131.180.220.950.90-0.71-1.603.443.54-1.731.873.884.630.800.161.512.150.613.993,3143,214-8.194,0636,4385,300-4.505,0256,2006,0384.734,7565,5674,3330.964,0456,0913,356-1.932,4852,3621,9472.111,1502,1285240.02808767638-1.173.55--17.42---21.81---
-3.90-5.47-2.84-0.54-2.31-2.311.812.17-21.06-18.067.37-7.31-15.77-14.95-2.26-0.395.698.42-6.26-4.17-3.79-3.588.50-6.97-10.43-10.006.57-9.02-11.18-15.13-22.88-14.92-19.90-13.25-2.87-23.68-46.92-16.038.52-64.34-295.1915138.3632.7654.64-21.53-0.09-19.68-15.00-12.934.635.837.3329.4031.641.8927.6015.3563.6780.376.0538.73
0.570.850.460.090.370.35-0.27-0.441.251.28-0.620.671.381.620.280.060.540.880.200.800.790.76-1.631.171.861.74-1.001.521.831.741.251.561.911.490.261.692.491.12-0.561.171.081.020.700.781.250.380.000.900.860.72-0.331.201.536.035.380.223.141.435.513.40-0.14-1.38
0.901.130.630.120.490.47-0.37-0.662.042.10-0.850.921.912.230.380.080.691.200.281.181.181.12-2.361.682.722.51-1.442.132.562.401.752.142.702.090.372.493.731.67-0.871.761.631.521.051.161.900.570.011.451.411.16-0.532.122.7410.519.470.426.533.0010.447.16-0.33-3.10
25.5725.6125.6425.2625.8926.0625.8819.1020.0920.0119.5519.5119.5418.8418.7517.6316.9816.8313.697.707.437.316.967.697.447.327.417.046.828.988.789.038.708.258.278.689.028.518.709.559.8910.0810.2910.3610.278.797.057.096.856.856.636.706.806.595.504.524.384.003.873.092.111.96
0.68-0.472.200.51-0.27-0.244.322.461.160.202.541.190.740.042.450.750.83-0.153.872.571.28-0.323.162.121.350.332.471.360.53-0.292.691.570.64-0.272.711.450.67-0.642.231.420.46-0.781.13-0.05-0.25-0.991.190.960.36-0.220.770.20-0.09-0.411.470.860.430.032.462.311.460.76
0.08-0.730.98-0.30-0.77-0.463.241.860.790.061.450.510.28-0.141.740.330.60-0.282.821.950.94-0.442.261.480.960.171.500.720.24-0.471.700.880.28-0.501.680.760.25-0.811.540.760.06-0.973.19-0.48-0.52-1.130.550.600.17-0.310.20-0.14-0.31-0.491.060.660.31-0.022.122.141.320.69