Ball Financial Ratios for Analysis 2009-2024 | BALL

Fifteen years of historical annual and quarterly financial ratios and margins for Ball (BALL).

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
0.790.780.881.050.880.960.921.231.021.151.281.391.251.671.58
0.660.680.680.700.680.650.620.670.800.710.690.710.660.620.59
2.232.542.102.342.591.891.722.134.012.562.552.562.281.701.64
19.0316.8319.7420.8619.7919.8220.6319.4819.2219.4518.8117.8817.9618.0317.77
9.077.919.358.518.128.047.305.117.589.799.399.059.7010.029.74
9.077.919.358.518.128.047.305.117.589.799.399.059.7010.029.74
13.9612.2914.4214.1814.0314.0713.9410.1111.1513.0712.9312.2913.1913.5013.37
5.805.767.305.835.305.444.681.384.337.546.896.827.647.958.00
5.044.686.364.974.933.903.412.903.515.484.804.545.146.135.78
0.730.770.700.650.660.700.640.560.821.131.081.161.181.101.03
7.295.866.186.897.227.345.715.167.196.796.696.876.605.776.26
6.015.925.396.787.036.466.726.089.048.959.859.399.488.9812.55
60.7261.6967.6653.8551.8856.5354.3060.0640.3940.7637.0438.8638.5040.6529.09
18.5320.7523.8317.4417.7512.729.397.5124.0340.1730.6932.7234.0133.0924.67
-40.35-34.45-36.88-19.21-15.76-14.61-11.35-7.63-27.27-31.38-27.84-26.36-34.34-59.91-48.16
3.683.684.453.193.092.742.211.643.126.585.565.626.437.926.02
6.276.617.705.235.734.503.602.454.8611.769.459.6511.5012.5810.10
12.1511.2311.4910.199.3010.6211.5610.134.434.534.984.314.304.824.21
5.880.945.314.304.554.444.140.603.573.552.812.702.811.401.47
2.58-4.220.100.962.792.132.58-1.281.702.181.541.731.500.721.06

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
1.181.210.790.810.780.760.780.941.000.970.880.970.850.851.051.070.971.060.881.011.101.090.961.011.231.070.921.041.121.291.231.390.971.041.021.051.141.211.151.181.231.321.281.541.481.501.391.401.331.391.251.441.561.611.671.221.361.271.581.721.271.37
0.440.430.660.650.660.660.680.700.710.680.680.670.650.660.700.720.720.730.680.660.660.650.650.640.640.630.620.660.660.670.670.670.680.830.800.700.690.730.710.680.690.720.690.720.740.730.710.670.690.700.660.660.640.660.620.540.600.610.590.630.610.68
0.830.792.232.392.502.612.542.492.582.162.102.262.092.172.342.612.712.962.592.022.051.951.891.781.841.801.722.082.032.142.132.122.965.384.012.542.433.032.562.342.512.942.552.673.173.052.562.272.582.692.282.202.002.091.701.521.872.111.641.881.812.39
20.3420.5620.0218.9618.2918.4214.6017.1116.6718.8418.8619.7620.2120.2221.0821.4420.3920.4720.6019.9819.5219.1019.8719.8219.9019.6822.3219.6020.4920.1420.3717.3321.3819.3620.5519.4118.2818.8219.4819.2819.4419.6320.5718.9218.3217.4518.2018.2417.6617.3817.0117.5418.3718.9217.8318.7518.1517.2117.2318.8017.6817.22
8.486.829.559.108.488.965.3013.24-2.5916.4210.346.7010.789.609.5412.096.355.577.586.7110.187.947.069.107.848.1112.344.266.556.156.424.8013.74-6.267.203.6212.626.556.7810.1811.1710.8311.889.299.247.187.209.5810.358.917.8110.1211.009.658.8611.4511.068.3310.8610.359.737.96
8.486.829.559.108.488.965.3013.24-2.5916.4210.346.7010.789.609.5412.096.355.577.586.7110.187.947.069.107.848.1112.344.266.556.156.424.8013.74-6.267.203.6212.626.556.7810.1811.1710.8311.889.299.247.187.209.5810.358.917.8110.1211.009.658.8611.4511.068.3310.8610.359.737.96
--------------------------------------------------------------
6.763.516.945.684.925.172.1411.24-4.2814.568.144.768.887.467.329.863.961.584.524.037.495.034.396.525.355.469.761.723.923.403.651.829.46-11.903.490.8110.961.464.868.399.397.189.597.235.864.935.057.648.405.955.748.229.047.336.699.688.846.206.238.7510.316.33
5.341283.495.685.645.941.559.92-4.2112.008.085.045.846.407.327.793.360.835.883.126.534.205.392.003.844.495.791.653.472.752.061.1315.12-7.233.052.157.371.093.746.586.684.666.245.064.323.622.535.046.084.323.785.856.204.544.6211.183.444.985.195.727.644.38
0.160.140.230.180.150.150.180.200.200.180.190.180.180.170.170.180.170.170.160.180.180.160.170.180.180.160.160.170.170.150.160.160.080.170.190.270.280.250.270.290.290.260.260.300.280.260.280.300.310.270.280.300.290.260.290.290.300.230.240.270.280.25
1.651.522.301.711.261.111.391.491.391.301.661.741.851.781.811.861.611.641.692.002.051.771.771.901.981.551.401.631.491.271.421.601.081.481.601.931.911.511.611.861.801.491.541.881.631.441.661.881.831.501.591.701.581.311.511.841.881.291.471.621.431.21
1.090.942.141.731.341.161.371.371.321.191.441.431.321.481.781.751.551.501.671.511.541.481.561.571.541.331.681.621.741.461.691.541.061.722.041.911.821.842.122.132.142.052.322.091.961.882.271.892.011.862.252.041.901.862.351.811.891.612.931.611.961.82
82.4695.5141.9851.8967.2377.3265.8065.5468.3475.7662.7163.0568.1760.9150.4351.5658.1660.1753.9959.6458.3560.9257.8657.1958.4267.5453.5355.4951.6061.6953.1958.5184.6852.3844.1347.1249.3948.8542.3842.1842.1644.0038.7442.9745.9347.8139.5947.5744.8048.5239.9444.1447.3548.3138.3349.5947.6555.7730.7055.9346.0249.57
2.281.076.625.093.203.451.5911.10-4.6711.308.064.755.465.636.808.133.250.854.312.665.533.214.181.583.003.023.931.402.701.881.470.898.01-11.785.154.0211.922.437.1310.4911.118.189.519.238.216.314.958.2910.656.936.168.858.385.915.9912.7710.005.454.867.3710.316.26
9.734.02-15.29-13.34-7.23-6.61-2.64-19.907.20-22.42-12.47-7.54-7.98-7.48-7.49-7.17-2.72-0.66-3.82-3.14-6.63-4.04-4.80-1.97-4.25-3.83-4.75-1.36-2.73-2.09-1.49-0.99-9.036.94-5.85-3.22-10.52-1.73-5.57-10.23-10.01-6.18-8.62-7.57-5.89-4.95-3.99-9.65-10.33-6.49-6.22-12.03-12.89-8.51-10.84-27.68-16.02-8.45-9.48-14.49-15.62-6.72
0.840.401.321.020.620.640.281.96-0.792.141.510.891.061.111.241.410.550.140.750.571.150.690.900.360.680.710.930.300.600.420.320.201.22-1.260.670.652.040.371.171.952.011.351.721.581.271.020.851.621.921.241.171.841.851.281.433.182.181.171.191.602.141.08
1.270.612.241.781.101.160.513.31-1.333.662.601.551.891.912.042.260.920.231.390.911.881.131.480.571.071.111.510.470.910.630.480.292.54-1.961.041.213.700.652.093.353.452.262.932.572.121.701.462.773.322.092.083.052.992.042.285.854.012.151.992.724.062.01
22.8223.5712.1512.7112.4011.7911.2311.3111.2312.3411.4911.5911.3310.8310.199.038.678.289.3010.5310.7410.9110.6210.9911.5311.8211.5610.4010.5510.6110.1310.9313.503.814.434.564.864.194.535.145.084.604.984.554.144.224.314.784.334.314.304.825.214.994.824.903.954.074.213.933.482.96
-3.19-3.935.883.551.14-0.870.94-0.71-1.26-2.475.312.640.50-1.434.301.04-0.70-2.134.551.930.74-0.384.442.941.22-0.214.142.080.73-1.120.60-1.220.12-1.363.572.120.75-0.643.552.290.74-0.472.811.39-0.29-1.072.701.240.23-0.682.811.320.47-0.221.401.020.08-0.721.470.020.02-0.81
-4.02-4.412.580.94-0.78-1.95-4.22-4.69-3.84-3.580.10-0.99-1.77-2.520.96-1.02-2.05-2.772.790.68-0.06-0.832.131.18-0.03-0.882.580.950.06-1.47-1.28-2.34-0.82-1.851.700.85-0.06-1.012.181.410.26-0.691.540.34-0.96-1.361.730.58-0.20-0.911.500.35-0.15-0.490.720.66-0.10-0.811.06-0.29-0.22-0.99