Avery Dennison Financial Ratios for Analysis 2009-2024 | AVY

Fifteen years of historical annual and quarterly financial ratios and margins for Avery Dennison (AVY).

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
1.040.991.071.251.041.151.140.951.221.211.351.161.351.070.93
0.550.550.590.580.550.650.560.440.500.470.390.310.370.370.44
1.521.531.611.431.612.061.511.401.101.090.690.770.710.811.19
27.2326.6027.5127.5926.9326.7627.4027.9327.5826.0826.6726.0625.2426.1824.23
9.3611.8812.5910.6010.9010.0310.149.707.876.706.955.303.654.13-0.19
9.3611.8812.5911.6110.9010.0310.149.707.876.706.955.304.865.45-0.19
12.9315.1015.4914.5513.4312.5612.8412.6611.029.8810.299.069.089.7421.01
8.3111.0611.8110.583.537.758.917.846.855.705.964.053.654.13-17.87
6.018.388.807.974.296.534.265.274.603.873.473.673.255.48-14.40
1.021.141.051.151.291.381.291.381.441.451.331.151.181.131.04
6.616.576.727.047.798.057.888.459.039.519.119.169.208.218.23
5.916.585.905.645.836.025.606.086.196.616.046.036.665.805.65
61.7455.5061.8464.6762.5860.6665.1460.0359.0155.2460.4360.5654.7762.8864.65
23.6437.2638.4637.4425.2248.9426.9434.6528.4123.6016.209.978.5414.69-61.25
-68.45-112.92-85.22450207-357.61-267.8749211795.5937.4722.7919.2050.80-557.89
6.139.529.289.145.539.035.497.296.645.685.243.092.854.74-16.68
10.5916.6915.7115.7211.2317.1411.9319.5714.2212.449.896.905.429.29-34.05
26.4425.1523.3017.8614.4411.2711.8910.4810.7311.5815.5215.8215.6115.6212.94
10.1911.6912.498.938.785.177.176.425.103.713.194.963.964.565.49
6.688.099.266.445.852.384.724.233.551.921.773.472.733.544.52

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
0.900.871.041.031.091.130.991.010.981.061.071.061.321.281.251.311.221.141.041.031.041.141.151.001.101.121.141.131.121.240.950.981.221.181.221.301.291.221.211.271.311.351.351.381.301.181.161.141.131.151.351.171.141.111.071.131.040.980.930.920.890.87
0.470.480.550.560.590.590.550.550.560.590.590.610.540.560.580.600.620.630.550.580.590.640.650.550.560.550.560.530.540.550.440.410.500.500.500.480.470.480.470.420.400.390.390.380.390.310.310.310.310.300.370.350.350.350.370.410.430.440.440.460.490.51
1.411.471.521.611.761.741.531.561.671.691.611.781.211.351.431.611.872.401.611.891.942.132.061.781.641.571.511.481.611.561.401.251.211.271.101.001.051.181.090.850.820.750.690.680.920.860.770.870.880.790.710.790.870.880.810.991.131.231.191.371.601.80
29.6529.3928.2427.9226.4726.2624.6926.7227.4227.3026.8026.7627.4229.1028.6928.0025.0528.1527.3426.7826.8626.7526.6626.1027.0427.2126.8326.8927.8228.1427.4327.6828.1628.4526.9727.6527.5528.1425.8725.6926.5026.2726.2826.7326.9026.8025.7626.3326.0426.1324.5424.4525.6626.1724.8927.6129.1928.3527.2828.1426.8224.20
11.7111.8310.449.867.929.219.2012.6113.1012.2512.0711.6612.8413.8410.2012.358.0811.5610.1611.3411.6410.4410.9710.898.469.8910.119.9610.559.9312.519.467.449.347.338.917.697.557.097.345.746.667.486.038.016.224.405.016.195.59-2.804.256.785.264.595.868.746.072.945.004.16-3.95
11.7111.8310.449.867.929.219.2012.6113.1012.2512.0711.6612.8413.8413.7112.358.0811.5610.1611.3411.6410.4410.9710.898.469.8910.119.9610.559.9312.519.467.449.347.338.917.697.557.097.345.746.667.486.038.016.224.405.016.195.592.784.256.785.264.595.868.746.072.945.004.16-3.95
--------------------------------------------------------------
10.6710.909.558.806.718.158.3511.7612.2711.4811.1810.8312.1513.1112.8211.446.7610.509.3210.2110.51-16.344.969.557.558.969.068.749.198.648.148.486.448.316.297.916.686.546.036.354.775.666.354.977.055.413.183.774.944.321.373.075.644.103.304.697.494.951.743.762.76-64.22
7.918.016.786.594.805.876.079.569.148.448.377.928.7410.219.628.705.217.799.178.217.99-8.445.498.505.167.05-3.436.457.437.144.005.915.196.033.925.574.204.714.443.862.634.592.533.094.433.863.304.034.313.041.743.324.752.937.813.914.993.523.284.032.73-63.03
0.270.260.260.260.250.250.250.290.290.290.270.260.330.330.330.300.270.280.320.330.330.330.340.340.360.340.340.320.320.330.350.330.360.350.350.350.350.350.370.350.350.340.340.320.300.290.290.280.290.280.260.300.290.290.290.310.330.310.300.300.290.29
1.601.561.641.621.551.451.511.671.721.781.761.731.851.851.981.881.581.711.941.941.961.851.991.912.051.912.081.981.901.952.171.932.112.052.222.072.142.162.422.122.122.092.362.082.232.132.332.002.112.052.021.981.791.792.112.062.112.152.322.182.052.03
1.461.461.491.471.481.511.471.461.501.511.531.441.571.581.611.431.371.411.461.441.461.451.491.421.501.431.471.421.431.431.551.411.501.461.511.471.501.551.681.431.451.431.561.431.541.521.521.441.521.501.451.401.361.421.471.521.591.611.661.541.491.65
61.5561.8360.3461.1760.9359.6761.0661.5960.0259.4358.7262.6157.3357.1055.8463.1265.6363.8661.5462.5561.7562.0060.5463.2060.0062.8261.2263.4962.9662.9458.0963.8160.0461.7459.6861.2460.0458.1953.7362.7662.0863.0757.7663.1258.5359.3759.0362.2959.3059.9962.0064.4565.9963.2261.2959.2056.5655.7554.3358.5960.3354.54
7.737.826.726.704.985.936.0511.0311.0710.269.499.1210.7913.2412.9011.286.5711.4413.5013.6813.50-14.8110.1714.289.3611.49-5.709.5411.3011.066.708.558.369.255.857.705.907.016.724.663.114.792.823.944.674.241.772.263.132.680.982.022.942.126.074.195.953.963.664.813.31-82.68
-35.11-28.10-19.47-17.89-11.76-17.88-18.33-32.93-26.76-22.83-21.04-15.9553.7695.92155185-372.44-256.601111,830-982.19171-74.29-273.81-108.88-151.5756.65-880.48-248.2510795.0959.4434.9238.6424.1825.9018.8926.8227.2112.417.5611.106.538.6510.769.554.055.257.306.022.215.788.476.6320.9918.1831.9527.2833.3693.99-251.90944
2.132.091.741.701.211.471.552.752.652.442.292.062.863.343.152.631.412.142.962.712.66-2.741.882.891.852.37-1.162.062.372.351.411.941.862.111.371.911.491.671.621.360.961.560.911.311.361.300.550.700.970.880.330.700.990.691.961.231.661.101.001.230.79-18.48
4.084.033.012.972.042.452.714.964.844.213.883.574.945.815.414.492.484.256.015.695.59-5.343.566.384.145.15-2.524.455.154.953.785.084.174.642.934.023.133.653.542.701.872.931.722.462.872.941.231.572.161.880.621.311.921.373.842.473.392.232.042.591.70-40.37
28.3927.3526.4325.6224.9925.2725.1524.7423.8023.5623.3021.7220.5419.0517.8615.9914.5514.0814.4412.6512.6111.7511.2712.0311.6612.3811.8912.8812.1011.4410.4811.6910.7610.8510.7311.5611.9811.3011.5814.1415.1815.6215.5216.1915.3815.7215.8215.9015.3515.9315.6116.4817.0516.4415.6214.4813.3313.0912.9412.3611.4310.36
3.921.4810.196.352.360.0211.697.514.801.5212.499.115.692.498.935.262.200.058.785.512.810.425.172.122.350.187.174.341.950.156.424.042.38-0.075.103.031.830.053.712.100.10-1.103.190.960.46-0.654.962.090.390.103.961.13-0.89-1.104.512.651.34-0.265.352.991.260.16
2.580.796.684.030.80-0.838.095.133.410.869.267.454.632.186.444.011.30-0.425.853.711.80-0.052.380.481.41-0.224.722.871.05-0.264.232.741.67-0.373.552.051.21-0.211.920.86-0.74-1.591.770.13-0.02-0.933.471.19-0.18-0.242.730.23-1.54-1.393.512.020.99-0.444.412.370.83-0.07