Boeing Financial Ratios for Analysis 2009-2024 | BA

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

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
1.141.221.331.391.051.081.141.251.351.411.261.271.211.151.07
1.581.441.351.411.710.960.850.920.580.480.350.600.740.800.85
-3.04-3.60-3.91-3.52-3.2933.776.4911.351.561.030.641.743.434.345.81
9.935.304.90-9.705.9119.4918.5815.5414.6615.5115.5016.0918.9119.6317.45
-0.99-5.28-4.61-21.95-2.5811.8511.006.987.748.237.587.708.477.733.07
-0.99-5.28-4.61-21.88-2.5011.9211.087.047.818.317.667.838.697.983.33
1.40-2.31-1.17-18.020.4714.0113.269.069.7210.419.7910.0511.1310.695.78
-2.58-7.54-8.08-24.89-2.9511.4710.756.197.447.867.197.237.857.012.54
-2.86-7.41-6.75-20.42-0.8310.348.995.385.385.995.294.775.835.131.92
0.570.490.450.380.570.860.841.041.020.980.930.920.860.941.10
0.880.810.750.780.941.301.251.831.741.641.711.821.732.133.33
7.035.895.475.796.147.048.2510.1010.7711.4612.5713.6810.9611.2711.10
51.9261.9566.6863.0859.4651.8444.2536.1533.8931.8529.0326.6833.2932.3932.89
13.0131.8828.9066.067.662,55149457480.9161.9630.5865.4111111660.00
8.1819.2716.8441.183.23-96.33-131.77-72.05-373.4567966.44-179.12-91.55-65.51-26.86
-1.64-3.69-3.10-7.85-0.488.917.535.595.485.864.954.395.014.832.15
-7.50-14.05-10.22-27.25-5.4594.5273.5848.2034.2232.1719.8826.1229.4423.109.24
-28.27-26.52-25.21-31.04-14.740.722.901.429.6012.4420.077.904.843.893.06
9.845.90-5.81-32.38-4.3326.1721.8816.3313.4712.0210.669.865.363.987.85
7.363.91-6.58-34.15-6.9823.4319.1812.3210.019.037.997.753.202.556.23

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
1.121.181.141.141.151.171.161.221.221.251.301.331.361.351.331.391.421.411.171.051.111.031.071.081.101.111.151.141.181.191.251.251.281.271.321.351.171.171.201.411.231.231.231.261.291.311.301.271.261.221.211.211.231.191.161.151.151.121.101.070.940.960.93
1.801.511.571.581.551.481.481.441.521.401.381.351.331.411.451.411.251.241.381.711.231.500.980.961.131.150.890.850.901.240.990.920.820.940.680.580.550.590.530.480.330.340.330.350.490.530.520.600.540.600.630.740.640.680.730.800.720.780.790.851.100.961.06
-2.45-3.22-2.82-3.04-3.13-3.37-3.58-3.60-3.24-3.87-3.78-3.91-4.38-3.86-3.56-3.52-5.28-5.39-4.16-3.29-6.47-3.8963.5533.77-9.82-8.829.596.499.40-5.4569.6711.354.8617.022.431.561.331.431.131.030.610.630.610.641.061.261.211.741.461.902.273.432.042.412.924.342.734.084.265.81-12.5927.29-18.22
-19.667.2911.3212.256.449.8210.739.33-5.1112.762.52-16.9511.2514.239.32-37.107.38-9.820.90-4.3815.34-12.9718.7222.1216.4019.5419.5619.8117.7318.9217.7620.3716.779.8815.6912.5016.5013.0816.5715.4215.6715.3915.5714.3715.7015.5116.7014.7116.1716.4217.2417.0219.1920.3819.4119.1719.2319.7420.4619.3613.4819.7616.99
-32.29-6.46-0.521.29-4.46-0.50-0.83-1.73-17.504.68-8.31-27.982.156.02-0.55-52.59-2.84-25.10-8.00-12.316.30-21.4610.2514.738.8611.1712.3012.0210.8610.9810.0512.959.55-1.697.904.939.986.869.128.288.918.117.536.378.157.878.097.287.797.718.078.059.679.276.716.668.178.397.729.44-12.898.916.21
-32.29-6.46-0.521.29-4.46-0.50-0.83-1.73-17.504.68-8.31-28.152.206.07-0.49-52.53-2.77-25.01-7.93-12.236.38-21.3610.3314.798.9311.2412.3612.0910.9711.0310.1013.019.61-1.637.974.9910.046.939.198.348.998.187.626.458.237.958.197.397.937.838.248.349.859.456.936.888.428.667.999.68-12.649.166.50
---------------------------------------------------------------
-34.89-8.98-2.28-0.04-6.08-2.03-2.77-3.25-19.632.26-11.56-31.77-2.033.23-3.76-56.36-6.54-28.99-8.89-13.085.89-21.7610.1814.288.4810.6612.1411.7810.6610.689.7710.449.22-1.947.694.669.626.618.797.898.547.797.136.037.807.497.616.887.337.237.557.389.268.615.926.067.337.776.908.64-13.468.725.65
-34.59-8.53-2.07-0.10-9.04-0.75-2.31-3.17-20.531.16-8.71-28.01-0.713.45-3.53-55.02-3.18-20.12-3.71-5.625.84-18.689.3712.079.399.0510.5813.407.467.597.187.989.52-0.955.384.366.584.526.025.995.727.494.715.185.224.985.844.425.144.834.757.086.195.693.936.984.935.053.417.07-9.375.823.70
0.130.120.120.160.130.150.130.150.120.120.100.110.100.110.100.100.090.070.120.130.150.120.190.240.220.210.210.220.270.260.240.250.270.280.250.250.260.250.230.260.260.240.220.260.230.240.210.250.240.250.240.240.240.230.220.240.260.240.240.290.280.300.30
0.260.180.180.240.210.230.200.230.210.180.170.220.170.180.170.260.150.150.210.240.230.260.290.350.340.320.310.320.460.440.420.410.470.500.400.440.440.440.380.440.430.400.380.470.450.460.390.500.460.480.490.500.470.450.450.550.630.610.640.850.900.800.88
1.401.311.311.991.471.591.411.771.311.331.211.301.241.441.351.521.211.031.331.441.351.151.611.971.901.871.822.172.192.292.212.402.422.462.272.642.853.022.683.092.952.782.693.453.183.242.773.733.483.212.833.122.692.582.372.902.522.262.292.922.362.432.50
64.1068.7068.9245.2361.1756.4463.7050.9268.5067.7174.3369.2272.6562.3066.4459.1174.6187.4967.7362.6666.7078.3355.8345.6147.4648.1849.5341.4141.1639.2540.6337.5237.2436.5739.6434.0831.6229.8433.6129.1330.4832.3833.4126.0728.3427.7532.4524.1025.8928.0631.7928.8533.4634.9437.9631.0435.7039.7739.2330.8738.0736.9935.95
26.208.002.090.179.800.962.744.1818.76-1.088.1328.050.93-3.443.1446.694.0321.046.8512.17-30.6459.52926835-195.45-159.83191194158-88.421,019202106-36.1729.6916.0425.1117.6016.6416.689.3111.656.598.2212.7914.2414.6316.3913.4616.4118.0538.4418.0519.5314.6740.7418.3924.8717.0857.66178299-120.83
18.335.111.310.116.080.581.652.5311.79-0.634.8116.340.53-2.081.9629.102.0710.663.105.13-7.5517.56-19.13-31.53-24.98-23.32-36.51-51.72-26.93-17.68-20.55-25.33-41.693.33-33.67-74.03-163.53-70.161,15218320.7927.3614.6417.86110-257.58-196.10-44.88-494.74-47.33-32.73-31.66-55.45-28.84-15.19-23.07-25.01-19.97-12.49-25.8119.28-16.40-9.06
-4.48-1.01-0.26-0.02-1.22-0.11-0.31-0.48-2.400.12-0.91-3.01-0.090.38-0.37-5.55-0.29-1.47-0.45-0.760.88-2.331.792.922.061.942.182.951.991.941.761.972.56-0.261.331.091.721.131.371.581.471.781.051.331.231.181.221.101.241.191.151.731.481.310.861.701.281.240.822.07-2.661.731.11
-20.85-4.09-1.19-0.10-5.34-0.46-1.33-1.84-9.690.43-3.11-9.92-0.311.40-1.41-19.26-1.02-5.09-2.63-8.667.08-29.6718.5330.9425.4724.0421.0528.8816.5721.6514.9116.9519.03-2.239.506.7811.227.307.898.666.217.704.405.346.546.666.996.556.196.616.6310.186.506.223.998.135.235.403.588.88-16.9811.047.47
-38.14-29.21-27.74-28.27-27.65-25.70-25.75-26.52-29.61-24.92-25.82-25.21-24.28-28.14-30.53-31.04-20.47-20.17-16.59-14.74-6.77-8.780.410.72-2.12-2.392.222.901.92-3.330.261.423.471.036.429.6010.119.2611.5712.4420.5019.6620.0220.0712.0610.129.977.9010.197.846.844.848.166.515.433.896.214.344.173.06-1.260.48-0.73
-13.95-11.82-5.499.844.254.23-0.535.900.09-5.26-5.44-5.81-7.02-6.56-5.79-32.38-25.44-16.93-7.61-4.33-0.403.894.8826.1721.3313.295.2621.8817.2211.573.3816.3312.147.031.9213.479.084.850.1212.025.283.951.4810.668.865.180.689.864.382.301.115.361.450.85-1.273.982.47-0.03-0.397.853.411.690.27
-16.43-13.35-6.397.362.472.98-1.303.91-1.38-6.26-6.01-6.58-7.65-7.34-6.28-34.15-26.79-18.13-8.26-6.98-2.252.854.1923.4319.4212.054.6419.1815.1210.132.6512.328.974.820.8110.016.463.07-0.689.033.172.700.847.997.023.970.057.752.831.290.553.200.01-0.13-1.812.551.56-0.59-0.636.232.070.68-0.32