American Axle & Manufacturing Holdings Financial Ratios for Analysis 2009-2024 | AXL

Fifteen years of historical annual and quarterly financial ratios and margins for American Axle & Manufacturing Holdings (AXL).

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
1.671.661.781.921.811.501.601.991.611.661.511.451.321.061.16
0.820.820.870.900.790.710.720.740.820.930.971.091.551.862.09
4.584.666.789.263.712.562.582.794.5713.3838.50-12.04-2.81-2.16-1.91
10.2712.1514.0212.3713.8215.6917.8618.3916.2814.1514.9313.6417.6117.60-2.04
2.414.204.67-8.41-4.621.468.679.649.177.247.495.348.648.94-13.39
2.414.204.67-8.41-4.621.468.679.649.177.247.495.348.648.94-13.39
10.4312.6815.222.673.608.7415.5014.7514.2612.6513.0110.5314.0314.70-4.54
-0.401.140.02-12.96-8.16-1.575.437.576.994.782.691.075.345.20-19.53
-0.551.060.11-11.92-7.42-0.795.385.965.903.792.8912.555.525.05-16.63
1.141.060.920.800.980.970.791.151.221.141.061.021.111.080.77
11.3010.9910.8012.7715.0713.3313.1317.6714.1812.7510.4211.2812.0214.4417.14
7.437.076.765.948.017.526.057.057.246.947.006.327.7615.5711.73
49.1451.5953.9961.4645.5748.5260.3451.7750.4152.6152.1857.7147.0623.4431.11
-5.5510.251.29-150.35-49.38-3.8221.9247.7478.14126233-303.56-32.67-24.4645.24
30.55-37.71-1.3994.5983.017.41-25.4474.82160-343.75-81.54-132.29-23.82-18.3535.79
-0.631.180.10-9.48-7.29-0.764.287.037.364.413.1212.795.895.41-12.75
-1.001.850.17-14.71-10.54-1.106.1312.6314.058.845.9127.5018.0321.13-49.52
5.175.474.023.298.7113.3113.846.593.961.500.54-1.49-5.29-6.30-7.60
3.403.894.724.024.986.916.295.304.954.202.96-2.34-0.753.230.30
1.722.413.152.131.162.251.542.362.421.590.06-4.82-2.971.73-2.28

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
1.681.691.671.711.711.671.661.691.691.771.781.821.691.901.921.871.561.681.811.781.561.471.501.631.621.601.601.721.753.331.991.851.771.691.611.781.751.671.661.601.591.591.511.551.531.541.451.571.251.411.321.201.081.101.061.111.061.001.161.070.311.14
0.820.810.820.820.820.820.820.860.870.860.870.880.880.890.900.910.950.900.790.720.700.710.710.680.690.700.720.740.760.800.740.730.750.780.820.870.880.910.930.900.920.950.971.031.071.071.091.461.511.431.551.551.591.701.861.872.062.162.092.83-0.031.70
4.474.444.584.664.454.664.666.156.506.366.787.217.338.419.2610.4320.809.513.712.622.352.492.562.122.212.382.582.913.224.072.792.703.083.584.576.737.4610.7913.388.9910.7818.9538.50-33.60-15.22-14.55-12.04-3.17-2.98-3.32-2.81-2.81-2.70-2.43-2.16-2.16-1.95-1.86-1.91-1.59-1.72-2.42
13.3112.3510.598.4211.3510.7512.0111.5612.0613.0111.3413.6514.8115.9416.4517.67-19.1914.5412.8314.8314.5712.9213.3014.7217.4317.0216.9717.2618.0020.0718.9618.0018.6717.9516.6716.2916.3815.7711.8414.8015.7414.1915.2715.2715.2813.8011.4012.9011.6018.5217.4515.9819.0217.8717.4218.4217.6716.7314.7421.61-87.586.73
5.304.791.971.543.682.423.854.064.014.892.623.825.176.707.1610.75-39.90-33.15-28.78-6.227.045.49-23.277.4110.019.468.578.597.6410.667.3410.0610.8710.159.099.559.358.704.118.079.247.557.998.227.725.922.524.284.1010.308.016.8710.459.098.749.829.018.056.2510.86-106.11-4.15
5.304.791.971.543.682.423.854.064.014.892.623.825.176.707.1610.75-39.90-33.15-28.78-6.227.045.49-23.277.4110.019.468.578.597.6410.667.3410.0610.8710.159.099.559.358.704.118.079.247.557.998.227.725.922.524.284.1010.308.016.8710.459.098.749.829.018.056.2510.86-106.11-4.15
--------------------------------------------------------------
2.172.27-0.91-1.250.85-0.341.291.351.630.28-3.93-1.321.433.333.486.70-49.89-37.06-32.58-9.813.442.25-26.574.168.065.785.395.343.918.185.437.908.947.886.637.757.126.442.255.426.714.731.504.593.900.65-2.73-1.040.876.994.433.856.955.995.736.394.953.49-0.676.13-114.90-9.17
1.071.28-1.30-1.120.50-0.340.801.731.590.07-3.59-0.201.202.602.867.93-41.37-37.31-31.69-7.403.082.35-20.823.407.694.696.434.893.697.294.706.136.766.166.306.125.705.491.314.535.403.913.363.853.230.9743.42-1.150.646.815.143.837.175.845.986.284.543.1210.474.79-117.51-8.13
0.310.300.270.280.290.270.250.270.250.250.220.220.220.240.240.240.090.220.220.230.230.230.230.220.240.230.220.210.220.220.280.290.300.290.300.290.300.290.290.290.300.270.270.260.270.250.260.260.300.300.260.290.310.300.280.300.280.270.230.210.130.19
3.022.952.713.092.922.872.643.042.693.032.672.512.773.543.723.691.712.913.343.543.173.313.203.493.683.823.673.603.753.794.213.763.683.463.463.493.533.423.333.253.122.862.692.772.902.712.912.533.143.022.823.453.743.973.704.043.954.354.373.654.463.20
1.751.671.791.751.711.671.701.581.551.551.621.641.611.671.811.570.941.691.751.721.501.431.751.431.521.501.671.541.561.491.691.471.601.511.781.521.571.451.761.581.461.311.811.381.431.411.591.511.561.501.821.683.453.083.983.273.253.133.582.714.122.23
51.5853.8050.3551.3452.7853.7453.0057.1458.1558.1655.5854.8755.9753.8649.6557.3396.1053.2451.3252.4260.1062.9351.3563.0059.3559.9653.7758.5657.6660.2253.2561.1156.3259.7950.6359.4057.2762.0451.0356.8161.6168.5549.6465.4562.9863.7656.6159.5857.6960.0149.5353.4826.1029.2322.6227.5027.7328.7625.1633.2221.8440.37
2.993.30-3.16-2.841.24-0.822.225.454.880.21-10.11-0.553.639.629.6734.12-107.24-127.73-46.35-8.803.352.74-24.333.488.575.316.926.015.1112.339.3011.8715.5215.7920.8626.8528.5637.3911.6425.6436.4040.3473.58-67.52-25.39-6.77-264.821.65-1.19-13.36-7.15-6.05-13.38-8.81-7.33-8.25-4.86-2.97-8.66-2.6539.237.23
-28.71-28.3917.3614.43-7.203.29-8.15-8.05-6.20-0.2710.940.51-3.32-7.11-6.09-18.2726.4979.3777.9220.70-8.34-5.9447.17-6.89-14.76-7.64-8.03-5.93-4.1619.5014.5816.8823.4326.3142.7684.23116-443.34-31.73275-407.81-45.96-25.71-15.54-10.01-2.76-115.401.25-0.85-9.44-5.21-4.27-9.31-6.40-5.50-6.27-3.79-2.34-6.85-2.2132.675.45
0.340.38-0.36-0.320.15-0.090.250.470.400.02-0.82-0.040.270.650.611.97-3.52-8.10-6.84-1.700.700.55-4.810.781.871.101.351.070.841.611.371.762.071.851.961.791.741.610.411.361.631.070.981.010.860.2411.16-0.310.192.011.291.012.181.691.621.871.250.822.441.00-15.03-1.58
0.550.61-0.57-0.500.23-0.150.400.770.650.03-1.31-0.070.451.030.953.01-5.67-12.84-9.89-2.441.000.80-6.991.122.681.581.931.541.212.442.463.213.823.453.753.513.403.200.822.593.092.021.862.071.790.5023.99-0.760.605.773.943.347.906.186.337.145.143.459.484.8640.41-5.09
5.185.295.175.245.515.315.474.254.104.234.023.793.873.523.293.031.753.478.7112.5313.9813.5413.3116.4815.8115.0913.8412.9111.658.276.596.805.985.063.962.982.701.881.502.271.891.100.54-0.62-1.36-1.44-1.49-6.65-5.27-5.03-5.29-4.96-4.75-5.51-6.30-6.57-7.29-7.63-7.60-13.31-13.29-8.16
1.360.153.402.931.410.283.892.591.870.604.723.823.031.584.022.17-0.031.244.983.371.21-0.716.914.552.580.606.293.771.940.815.303.782.390.344.953.512.020.084.203.051.09-0.732.961.330.43-0.35-2.34-2.620.33-0.95-0.75-0.871.550.013.232.602.211.060.30-0.35-0.48-0.38
0.57-0.231.721.750.64-0.122.411.611.290.383.152.822.321.232.130.90-0.950.621.160.40-0.88-1.822.251.100.15-0.571.541.170.620.342.361.731.02-0.312.421.780.83-0.491.591.11-0.17-1.260.06-0.61-0.88-0.93-4.82-4.51-0.89-1.53-2.97-2.230.70-0.391.731.691.630.77-2.28-2.41-1.93-1.18