Chord Energy Financial Ratios for Analysis 2009-2024 | CHRD

Fifteen years of historical annual and quarterly financial ratios and margins for Chord Energy (CHRD).

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
1.221.091.320.800.730.910.660.630.990.880.961.493.422.502.38
0.070.080.240.200.410.410.370.440.500.590.650.600.56-0.17
0.080.080.320.260.710.700.600.790.991.431.881.511.26-0.20
56.8863.1258.1849.2253.1358.8764.8567.0868.9775.0080.2281.1279.8578.3766.89
32.6743.4351.23-520.25-4.675.1311.13-18.57-14.4646.4444.1740.3446.1717.06-25.31
32.6743.4351.23-520.25-4.675.1311.13-18.57-14.4646.4444.1740.3446.1717.06-25.31
48.0553.6562.08-482.8937.5133.7853.5751.0648.5676.8971.4370.8569.3446.7719.10
34.3637.9411.90-440.90-18.17-1.09-5.86-52.73-7.1458.5931.7935.8138.1910.29-40.28
26.2750.9020.23-387.45-6.64-1.529.57-34.49-5.1036.4619.9622.3424.03-23.03-40.28
0.560.550.520.440.260.300.200.110.140.240.240.270.190.190.16
23.1624.7222.8222.3725.6728.8323.4821.7822.1316.2710.946.2618.7921.089.94
4.134.674.194.715.205.993.483.454.004.543.623.252.682.222.52
88.3478.2487.1477.5070.1760.9310510691.2480.46101112136164145
20.1730.5715.47-388.35-8.29-0.503.63-8.31-1.7427.0716.9019.2912.52-5.38-8.85
20.1730.5715.47-388.35-8.29-0.503.63-8.31-1.7427.0716.9019.2912.52-5.38-8.85
14.7821.576.24-182.16-4.24-0.261.92-3.93-0.718.584.846.074.60-4.29-6.35
18.7128.1911.71-309.02-4.86-0.292.27-4.66-0.8711.165.877.695.54-5.38-7.35
12311363.3750.4011.9412.3113.0512.3716.6818.4813.398.526.865.98-
41.9359.6644.2714.922.833.242.141.242.768.697.474.241.910.540.00
12.7338.595.39-2.180.210.59-0.56-1.01-3.75-2.02-18.80-7.12-4.72-2.86-

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-09-302009-06-30
0.961.141.221.020.961.181.090.980.891.061.321.131.060.830.800.591.161.310.730.830.840.780.910.590.510.630.660.760.850.760.630.770.621.160.990.870.690.850.880.790.670.810.963.361.151.231.491.811.251.963.422.524.066.642.505.898.40---
0.100.070.070.070.080.080.080.080.250.210.240.490.510.410.20-3.241.271.220.410.420.430.420.410.420.440.410.370.430.440.440.440.470.470.470.500.510.510.500.590.600.600.600.650.710.570.590.600.620.520.550.560.380.410.42------
0.120.080.080.080.080.080.080.090.330.270.320.951.020.700.26-1.33-4.68-5.570.710.720.750.730.700.720.770.690.600.770.790.780.790.890.900.900.991.031.031.021.431.511.471.491.882.421.311.411.511.601.101.231.260.620.690.73------
51.4148.5061.4152.7152.5061.6865.3468.6654.4160.0864.0259.5751.1955.04-3.3662.6152.8555.5728.0163.4358.4754.5552.8658.2660.0965.8662.6366.3166.9864.9167.6065.9669.4264.5367.4868.3871.4168.0170.9374.5477.4976.3477.1980.7081.8182.0880.8079.4381.9283.0080.0278.9180.6080.0678.3479.6078.9475.6572.0657.45
22.9325.1535.5931.4027.5236.3741.7345.2041.9044.7044.8840.8889.3030.57-94.2214.21-6.75-1,253.88-64.341.7513.528.7611.6126.54-42.3023.8519.1410.632.127.05-0.78-14.50-15.76-57.73-29.20-10.10-3.23-18.655.3136.3844.7294.1536.6149.3844.5647.5040.4139.0040.3841.9746.4945.9848.2343.4826.4432.842.42-12.35-2.98-25.44
22.9325.1535.5931.4027.5236.3741.7345.2041.9044.7044.8840.8889.3030.57-94.2214.21-6.75-1,253.88-64.341.7513.528.7611.6126.54-42.3023.8519.1410.632.127.05-0.78-14.50-15.76-57.73-29.20-10.10-3.23-18.655.3136.3844.7294.1536.6149.3844.5647.5040.4139.0040.3841.9746.4945.9848.2343.4826.4432.842.42-12.35-2.98-25.44
------------------------------------------------------------
23.1123.6740.3924.4631.3343.3732.8979.0916.55-3.2735.9011.3212.49-26.57420-19.27-55.28-1,183.35-92.022.6811.98-19.4049.4213.49-72.730.96-16.61-19.667.4413.98-39.64-28.56-79.53-70.683.1224.06-36.55-14.0994.3753.7316.6877.6726.0528.8841.2233.4031.9016.1181.5018.95-18.5012079.72-18.7411.0722.8613.16-16.10-1.55-97.45
16.9218.3731.2718.6123.6933.1337.1874.1716.5771.3741.7719.5020.15-13.40605-20.55-55.87-1,111.63-22.284.208.08-19.9537.019.24-55.810.1227.71-13.526.528.36-25.09-19.14-50.22-49.472.1813.72-23.14-10.0058.9032.9810.4348.6216.3317.8426.3620.8819.879.9151.0111.87-11.4775.6849.62-11.663.23-5.16-98.56-16.10-1.55-97.45
0.100.150.140.160.140.140.150.180.260.220.170.120.120.140.060.110.060.140.050.060.070.080.080.090.080.060.070.050.040.050.040.030.030.020.030.030.040.030.050.070.070.070.070.070.090.090.080.070.070.080.070.070.060.050.070.050.04---
7.677.155.138.196.835.646.476.118.379.216.485.275.414.976.082.842.125.227.004.807.327.218.538.979.867.028.685.984.686.986.637.096.074.315.354.823.722.634.083.814.754.163.693.212.831.751.991.801.382.266.596.5712.5211.628.044.981.79---
0.991.111.021.091.181.131.301.661.591.291.381.371.201.210.631.340.831.760.921.271.341.261.551.581.521.281.211.071.161.261.070.980.940.660.921.001.000.740.980.951.021.041.061.111.131.151.010.961.010.930.950.880.870.920.850.850.95---
91.0981.4487.9982.6475.9979.4169.2854.2956.4369.5365.0965.7974.7974.3614367.1610951.2197.4271.1567.3471.3858.1657.1259.3170.4774.3184.2877.3271.4784.3691.8995.7013697.5890.4390.2912192.0495.1587.9686.9185.2181.4079.4177.9488.8293.8589.5096.6195.0010210397.8710610694.73---
2.413.935.944.234.486.248.0721.0610.92-1.3615.413.824.09-8.6153.107.3815.15868-7.600.781.32-2.835.791.82-8.850.103.65-1.340.560.81-1.87-1.42-3.81-2.640.171.17-2.34-0.789.437.192.4811.184.045.587.306.115.362.4410.432.53-2.1110.255.76-1.260.29-0.31-4.82---
2.573.935.944.234.486.248.0721.0610.92-1.3615.414.264.60-9.7653.107.3815.15868-7.600.781.32-2.835.791.82-8.850.103.65-1.340.560.81-1.87-1.42-3.81-2.640.171.17-2.34-0.789.437.192.4811.184.045.587.306.115.362.4410.432.53-2.1110.255.76-1.260.29-0.31-4.82---
1.622.844.363.023.294.495.6914.364.27-0.656.221.391.42-3.6024.91-1.88-3.40-151.03-3.890.400.66-1.412.970.89-4.240.051.93-0.640.260.38-0.89-0.63-1.65-1.160.070.47-0.92-0.302.992.230.773.551.161.332.431.961.680.743.730.91-0.785.042.82-0.620.23-0.26-4.20---
2.173.645.513.924.145.767.4419.368.22-1.0711.661.962.02-5.0642.2531.26-4.11-190.20-4.450.450.76-1.643.411.06-5.000.062.28-0.760.310.45-1.05-0.75-2.00-1.390.090.58-1.15-0.383.892.871.014.501.401.633.172.532.130.944.971.13-0.936.333.41-0.720.29-0.31-4.82---
14212212311911611511310860.9373.6763.3754.9351.3447.8850.40-1.99-1.84-1.5411.9412.1412.0111.8312.3111.4411.2412.2513.0512.8912.5412.4412.3713.1813.0813.5416.6816.6016.3616.6918.4816.6815.4615.0213.3910.429.839.078.528.047.837.006.866.996.275.915.985.925.93---
17.389.5141.9329.2420.2210.8659.6633.5431.5413.7644.2731.0216.839.5214.920.490.190.342.832.031.230.563.242.411.700.782.141.280.890.451.240.700.52-0.282.762.051.680.818.696.714.852.087.475.783.861.844.243.051.860.681.911.521.110.250.540.342.550.000.000.00
-6.354.3112.736.242.486.8738.5923.0626.0911.235.3924.1312.738.42-2.18-0.38-0.62-0.090.21-0.11-0.43-0.200.59-1.03-0.01-1.88-0.56-0.60-0.160.05-1.01-1.15-0.72-0.92-3.75-3.36-2.61-2.48-2.020.001.962.49-18.80-2.70-0.76-0.51-7.12-5.36-2.92-2.25-4.72-2.68-1.20-0.74-2.86-1.45-10.01---