Comp En De Mn Cemig ADS Financial Ratios for Analysis 2009-2024 | CIG

Fifteen years of historical annual and quarterly financial ratios and margins for Comp En De Mn Cemig ADS (CIG).

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
0.911.201.211.601.281.190.990.720.720.651.130.840.701.261.07
0.230.310.340.430.440.440.460.440.410.420.360.430.400.490.34
0.420.500.600.870.950.931.041.171.171.200.751.341.341.150.89
22.7519.7719.9821.3422.8120.6119.4523.1325.8734.4852.9632.9237.0435.5064.67
18.4213.9016.0815.0511.4712.7813.3315.2813.9726.0424.1120.7127.9128.3537.25
18.4213.9016.0815.0511.4712.7813.3315.2813.9726.0424.1120.7127.9128.3537.25
21.8817.3319.1918.9711.4716.6017.2419.7317.8930.1429.7426.1333.8435.3243.66
18.5911.9513.9715.0717.608.887.581.9515.7922.9227.7228.9021.2221.9423.20
15.6411.8711.1511.3512.327.824.611.7811.6016.0521.2223.1415.2717.5515.93
0.670.640.650.470.510.370.510.450.520.560.490.450.420.380.39
----503491460294427320181182184202-
5.324.374.083.784.314.124.104.144.375.546.726.436.205.685.70
68.6783.5389.3896.4984.6688.6489.0388.2783.5965.8554.3556.8158.8664.2164.09
23.3918.7919.2816.3918.278.656.992.5819.0127.8022.3235.4718.3820.7321.20
61.3157.1557.6650.5568.0626.7131.5715.8091.0139.6826.5356.4233.3035.6518.32
10.497.637.215.305.822.302.370.796.048.969.4610.485.787.096.52
17.9012.9112.709.3610.334.843.801.4411.3016.0814.2120.2410.9610.5711.80
1.731.471.261.181.411.521.821.501.611.95-----
0.470.450.240.520.000.100.060.140.370.650.660.701.180.820.75
0.390.440.230.52-0.090.050.130.360.630.650.190.900.740.56

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
0.961.150.911.301.341.191.201.271.251.301.211.261.561.621.601.701.561.351.281.321.131.171.191.210.890.920.990.640.670.690.720.840.720.620.720.861.441.290.650.780.841.011.131.271.200.660.840.900.660.900.701.190.821.111.261.551.491.551.071.371.361.40
0.220.270.230.320.320.290.310.330.340.300.340.330.380.420.430.450.440.450.440.420.370.410.440.460.450.430.460.400.410.420.440.420.440.440.410.390.370.400.420.360.360.340.360.350.360.180.430.410.350.460.400.440.350.440.490.490.500.490.340.370.380.39
0.450.470.420.510.520.470.500.550.560.490.600.570.680.830.870.950.961.010.950.890.750.860.931.031.000.931.041.061.091.111.171.141.121.181.170.970.921.021.200.910.850.680.750.720.760.721.341.201.231.251.341.071.111.111.151.101.151.100.890.750.760.78
26.5319.3322.5321.6822.9024.1131.1117.845.1625.0818.8917.5119.8125.0721.2622.7923.9018.0716.0616.0834.7522.3932.4218.0813.7718.9842.92-0.489.6020.0746.1522.2510.8811.28-34.5329.2836.9652.911.0645.5361.0744.2156.8721.0255.9552.58-4.4655.3844.6339.1140.3131.1827.1758.83-27.5630.0399.5861.4511432.0052.4018.82
21.1317.3619.6917.2217.0819.7326.8913.50-3.3818.4616.9812.7816.2519.327.0819.1016.9517.189.35-6.8521.7619.6712.3211.6812.2314.9423.83-0.489.6018.0620.6219.558.5211.28-1.416.0217.8425.7714.892.0336.2038.0616.1870.8513.7432.203.1626.3030.2029.0110.1631.1827.1731.2832.4432.0022.8726.7362.5035.1333.8657.35
21.1317.3619.6917.2217.0819.7326.8913.50-3.3818.4616.9812.7816.2519.327.0819.1016.9517.189.35-6.8521.7619.6712.3211.6812.2314.9423.83-0.489.6018.0620.6219.558.5211.28-1.416.0217.8425.7714.892.0336.2038.0616.1870.8513.7432.203.1626.3030.2029.0110.1631.1827.1731.2832.4432.0022.8726.7362.5035.1333.8657.35
--------------------------------------------------------------
22.7916.5820.2215.7018.3220.2818.5315.09-9.8024.8110.704.9538.444.8129.3510.7025.75-2.666.23-9.7549.4819.0919.855.56-1.9212.8916.08-1.813.6210.52-11.2411.625.570.71-0.463.4814.8335.1924.012.9123.3538.4224.4812.1429.7533.8042.9726.6920.0522.6720.8523.9220.4722.9534.5724.9516.8822.7919.7218.4826.3413.88
17.8912.7319.0013.1214.1116.1615.9612.810.6018.549.864.4226.475.9422.088.5617.59-0.947.28-4.6430.1413.4819.983.91-1.099.419.30-1.632.657.12-7.088.864.250.120.723.499.9125.3831.790.7615.7626.2621.4122.2517.9523.5341.2519.4813.6915.2216.3216.2313.6915.5425.7017.389.8314.4012.8918.9518.599.02
0.170.160.180.170.160.160.170.170.150.150.180.180.140.130.120.020.110.120.120.121070.100.090.140.130.120.150.120.120.120.110.110.110.110.110.120.150.060.170.100.140.150.192640.100.120.120.120.120.110.100.110.110.100.120.100.100.100.120.120.120.16
--------242--------138131134134,65914398.9716614011496.9410598.0380.1552.5410010310415780.5585.0125.5214568.1050.5371.8063.9050,53642.8845.4875.1626.8336.4940.7551.7652.5555.6532.4512247.15-25.73-55.0236.3843.22
1.421.341.441.411.321.131.141.231.050.951.131.191.071.070.950.140.781.051.031.041,1931.010.981.041.231.041.221.141.261.051.051.051.051.020.891.321.450.621.661.171.951.602.583,6981.501.731.771.861.741.601.441.591.631.411.731.451.341.241.741.461.411.91
63.2367.2462.3563.9668.4079.3978.8172.9885.5494.8379.8075.3683.9584.3894.4165611685.4787.1686.400.0888.6992.3086.9472.9386.1673.8579.2171.6785.4685.4885.6785.5588.0510168.1862.1714554.0676.6346.1456.1834.820.0260.0452.0850.8248.2951.8756.1762.3756.4955.2763.9551.9962.0567.3572.6951.8661.4963.8447.10
6.334.547.715.065.276.136.605.610.247.044.712.089.812.368.040.496.19-0.362.79-2.9411,2144.764.551.54-0.563.154.19-0.631.032.58-2.623.041.460.040.241.173.784.0916.530.205.759.009.5413,7114.466.8717.436.774.695.105.115.014.204.388.774.882.653.944.965.695.733.84
15.5111.6520.2212.9313.8517.1520.0915.650.6919.0014.095.7627.356.9024.781.5520.33-1.3810.37-9.0825,97613.3014.046.10-2.3413.0118.93-3.755.6814.00-16.018.486.060.201.151.494.865.4723.600.226.6510.3911.3415,9965.268.0627.7210.167.428.389.268.907.317.1115.096.253.464.914.286.316.324.09
2.982.013.462.202.282.592.682.170.092.851.760.793.620.802.600.161.99-0.110.89-1.013,2261.321.210.53-0.201.141.42-0.200.330.82-0.811.000.470.010.080.431.441.445.330.082.263.944.045,8661.842.775.152.391.611.671.611.781.481.533.001.780.951.411.532.282.271.48
4.963.325.913.463.584.334.543.760.164.923.101.396.101.364.590.273.49-0.201.57-1.707,0482.802.540.82-0.311.802.28-0.380.611.49-1.451.760.820.020.140.712.382.469.570.133.715.956.078,9052.845.669.943.983.072.743.052.822.742.444.472.501.342.032.763.583.562.33
1.79-1.731.751.671.531.471.411.451.801.261.361.31-1.18-1.15-1.41---1.52---1.82---1.50-------------------------------
0.200.000.470.340.190.060.450.370.190.070.240.200.190.050.520.410.290.000.000.000.000.060.100.070.00-0.040.060.250.240.070.140.310.180.060.000.270.130.000.000.000.000.000.000.420.380.090.680.000.420.001.190.000.000.140.000.710.000.290.750.640.240.14
0.18-0.390.290.170.060.440.370.190.060.230.200.190.050.520.400.28----0.060.090.06-0.04-0.040.050.160.190.070.130.310.120.04-0.220.06------0.32-0.120.040.18-0.17-0.91--0.09-0.07-0.290.560.270.050.07