BASF SE Financial Ratios for Analysis 2009-2024 | BASFY

Fifteen years of historical annual and quarterly financial ratios and margins for BASF SE (BASFY).

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
1.981.831.751.831.871.852.091.691.731.731.841.661.641.601.68
0.320.270.250.320.260.300.310.280.260.300.290.260.260.340.40
0.530.460.410.560.430.580.520.500.480.550.520.520.510.660.67
24.2424.1225.1925.5427.4029.2931.8731.7727.0824.8725.0026.3026.5529.0627.64
3.257.509.77-0.326.839.6313.2210.908.8710.269.8311.4011.6810.375.43
3.257.509.77-0.326.839.6313.2210.908.8710.269.8311.4011.6810.375.43
10.4212.3114.4611.0913.9415.6119.7518.3615.1814.9114.1515.9216.3315.6812.81
2.061.369.48-2.645.578.4412.109.377.889.699.0710.7212.2011.546.07
0.33-0.727.03-1.7914.207.519.437.055.666.946.556.208.427.132.78
0.891.030.900.740.680.720.820.750.991.041.151.221.201.080.99
3.764.134.244.403.843.644.263.925.304.965.785.845.375.225.41
4.624.684.494.184.604.544.514.105.595.165.695.775.804.554.62
79.0377.9381.3187.2579.2880.3980.9388.9865.3470.8064.1763.2562.9280.2978.92
1.03-0.9614.30-4.286.0111.4917.4912.4512.6418.2817.4218.9121.6223.247.58
1.55-1.4121.06-6.929.1521.2228.7223.3020.9833.8531.1335.9740.7650.5617.28
0.49-0.466.89-1.832.934.797.725.305.637.227.527.588.978.862.75
0.71-0.7010.78-2.934.448.0712.098.999.3412.8812.4313.9715.9515.344.54
11.1112.0613.5510.7012.9111.6110.699.819.5310.209.739.03---
2.452.252.331.682.282.5410.812.322.852.522.762.362.692.332.39
0.820.971.190.711.111.305.891.081.100.601.120.901.401.411.43

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.091.981.991.901.991.831.721.631.701.751.701.701.811.831.661.621.621.871.781.681.841.851.962.072.072.091.991.881.951.691.671.641.651.731.671.571.681.731.741.701.991.841.641.741.721.661.631.581.691.641.771.651.771.601.791.581.731.681.541.501.56
0.330.320.310.310.290.270.240.250.260.250.270.280.290.320.320.300.250.260.280.280.300.300.310.320.290.310.300.310.290.280.260.270.250.260.270.270.290.300.290.300.310.290.270.290.260.260.250.260.250.260.310.310.330.340.380.370.400.400.410.440.37
0.550.530.530.580.490.460.450.510.490.410.490.510.520.560.620.680.530.430.480.520.580.580.560.570.490.520.490.540.490.500.530.550.540.480.520.580.540.550.570.630.530.520.540.560.480.520.500.550.500.510.550.610.590.660.730.790.660.670.871.030.77
28.1923.3722.9323.9426.2522.1322.2525.4226.0123.7424.9525.7226.2825.3824.7824.6927.0223.1826.9928.0430.4322.7628.8031.6132.3632.6931.6931.1531.8930.9330.9632.2732.9329.9326.1926.3826.5923.5524.4426.5024.8324.2225.3225.7524.6523.8126.6627.2326.1524.8826.0426.8626.4828.6328.8430.2230.0927.8728.6828.3125.38
9.63-6.252.515.629.33-0.165.9010.2212.076.019.2611.7211.916.29-19.100.478.692.819.033.6210.87-2.138.9413.6515.1412.1512.8413.4114.548.1910.4511.8613.132.1810.8410.699.948.399.8810.9411.539.009.499.6610.9910.0113.6511.4415.1914.079.3410.4718.216.2412.4311.087.465.286.226.174.16
9.63-6.252.515.629.33-0.165.9010.2212.076.019.2611.7211.916.29-19.100.478.692.819.033.6210.87-2.138.9413.6515.1412.1512.8413.4114.548.1910.4511.8613.132.1810.8410.699.948.399.8810.9411.539.009.499.6610.9910.0113.6511.4415.1914.079.3410.4718.216.2412.4311.087.465.286.226.174.16
-------------------------------------------------------------
10.10-8.30-0.244.929.65-25.225.6511.578.146.069.0311.0811.586.14-20.17-7.287.161.397.922.279.66-3.758.0512.4514.0310.8711.6212.3413.646.628.4310.6411.810.669.849.899.128.838.9610.2010.598.448.548.7810.356.839.5910.8714.7910.079.7711.3516.179.7312.9912.2511.966.346.245.705.94
7.79-9.97-1.582.887.81-26.454.149.105.294.396.378.378.866.64-15.36-6.925.28-3.125.9842.628.692.177.698.8210.099.608.769.2010.144.586.347.549.762.376.946.635.857.415.707.047.576.276.186.307.334.994.986.318.256.266.777.8812.456.707.897.306.663.451.852.743.07
0.210.200.190.210.230.220.230.240.250.220.230.240.230.210.160.140.180.140.170.170.180.150.180.210.210.210.200.220.210.190.190.200.190.190.240.250.250.240.260.270.290.260.270.290.300.310.310.300.320.280.290.310.350.280.290.290.270.270.240.240.25
0.880.870.800.850.920.901.001.071.151.051.181.321.351.240.990.881.090.860.920.880.900.830.921.071.091.101.041.131.121.000.981.020.990.981.321.361.331.151.321.381.491.331.401.461.501.511.291.361.551.321.281.421.591.381.411.431.531.481.391.421.56
0.991.060.930.940.991.001.000.991.041.091.061.051.051.180.960.901.020.981.071.010.970.941.041.071.041.181.051.061.021.031.051.020.981.081.251.221.171.171.351.311.321.291.291.291.331.481.241.561.591.361.251.281.391.201.211.181.521.271.211.541.17
90.9084.8896.3796.1191.2790.4389.8590.7286.8382.4784.5286.0585.6576.6093.7510188.3592.1984.1888.6993.1595.2886.2683.9086.8376.1685.3885.2288.5287.2785.5587.9791.6283.5472.2773.8377.2376.8466.6068.4768.1069.6769.7669.9867.4360.8572.6357.6256.5066.0971.7370.2664.7675.1874.2276.4859.1870.7274.1058.3677.05
3.66-4.26-0.521.413.81-12.001.944.703.102.203.514.714.642.22-6.29-2.312.030.362.260.693.08-0.302.824.194.614.674.014.614.942.042.993.774.491.024.024.143.924.443.764.835.203.794.054.435.223.903.864.946.384.255.016.3311.074.976.615.965.162.591.302.052.11
5.35-6.39-0.762.105.52-17.752.726.684.553.245.267.177.033.59-10.35-3.783.130.553.721.155.47-0.555.226.777.287.666.938.288.783.815.036.517.401.696.967.317.338.216.798.759.086.777.548.369.647.427.299.6011.528.0210.0212.9322.4410.8214.9013.5511.895.903.236.074.73
1.73-2.02-0.250.661.86-5.810.982.251.411.061.652.162.130.95-2.50-0.980.950.181.040.321.27-0.121.211.812.092.061.761.982.160.871.211.511.880.451.671.671.491.751.481.902.171.641.671.802.171.561.531.912.641.771.992.454.321.902.282.091.790.940.450.640.76
2.45-2.90-0.360.972.72-8.751.473.522.291.662.563.383.311.52-4.26-1.611.530.271.630.502.16-0.211.942.853.283.222.813.203.501.472.212.753.360.752.923.002.793.122.663.413.592.702.963.143.852.882.903.644.783.143.474.387.413.284.093.753.111.550.771.151.33
-11.11---12.06---13.55-12.49-10.70-11.50-12.91-12.5011.6911.6111.6011.46-10.6910.679.7110.039.819.038.919.289.539.119.209.2110.2010.0210.0310.599.739.759.299.95----------------
-0.162.451.170.36-0.312.250.910.27-0.092.331.250.66-0.171.681.050.36-0.312.281.320.710.122.542.031.120.4110.812.431.140.242.321.781.030.312.852.571.550.732.521.720.990.642.762.161.430.732.341.761.210.572.691.941.190.842.341.860.950.382.402.111.340.74
-0.440.820.15-0.30-0.570.970.21-0.16-0.281.190.600.26-0.320.710.41-0.02-0.481.110.510.18-0.111.301.260.650.205.891.600.650.021.080.890.420.011.101.240.690.340.600.480.190.291.121.060.760.440.900.810.630.311.401.130.690.641.421.330.640.231.441.390.860.54