CSX Financial Ratios for Analysis 2009-2024 | CSX

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

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
1.051.561.732.201.521.341.011.221.451.221.071.121.101.131.38
0.600.590.550.550.570.540.440.480.470.460.460.500.510.480.47
1.531.431.211.271.371.170.800.970.900.870.911.081.091.000.91
69.3368.3172.7575.4573.5472.9670.1470.4668.0964.2664.1564.1263.7565.5864.17
37.9440.5544.6741.2241.5939.7532.6130.8330.3428.5228.8829.4529.4228.8725.11
37.9440.5544.6741.2241.5939.7532.6130.8330.3428.5228.8829.4529.4228.8725.11
48.9350.6556.0154.2952.8950.6144.1442.5940.5737.6038.0638.4537.6937.7835.10
33.3736.4539.5434.2736.1635.1327.5424.7626.5724.0324.3025.2624.9323.9419.31
25.3528.0530.1926.1327.9027.0147.9615.4816.6615.2115.5015.8415.7214.7012.64
0.350.350.310.270.310.330.320.310.340.380.380.380.400.380.34
10.0813.8010.068.6012.1012.599.168.0310.7716.5917.1115.4017.8216.7915.96
10.5211.3110.9111.6012.1112.1311.7611.8012.0311.2211.4310.5611.8010.719.09
34.6932.2733.4631.4530.1530.0931.0430.9330.3532.5331.9334.5730.9534.0840.17
30.6233.0028.0121.0928.0826.3037.1614.6616.8717.2417.7520.3921.8917.9712.87
31.9534.3628.9821.1928.0826.3037.1614.6616.8717.2417.7520.3921.8917.9712.87
8.769.949.336.958.719.0115.314.845.665.835.876.066.325.554.20
12.3413.6512.749.4011.9612.1120.647.578.879.319.5510.2410.789.336.77
6.196.116.135.735.115.135.514.204.033.763.472.982.692.612.48
2.762.622.261.852.031.801.271.071.141.111.070.941.070.940.57
1.651.741.701.171.441.240.560.290.320.320.330.250.440.440.18

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
1.391.161.151.041.141.421.451.561.721.161.461.731.722.342.392.201.841.621.731.521.411.551.811.341.431.661.871.011.051.571.171.220.960.981.541.451.301.501.211.221.200.851.031.070.981.031.041.120.790.920.951.100.901.190.981.130.870.911.051.381.331.341.26
0.590.590.590.600.600.590.590.590.580.550.550.550.550.550.550.550.560.570.580.570.570.560.560.540.500.500.490.440.520.500.480.480.460.460.480.470.460.470.460.460.460.440.460.460.470.480.490.500.480.490.500.510.500.480.470.480.460.460.450.470.480.480.49
1.431.471.471.551.541.461.451.431.401.231.241.211.241.221.241.271.301.361.411.371.411.281.271.171.000.980.960.801.081.020.970.970.900.910.910.900.870.870.860.870.860.850.880.910.920.971.011.081.001.021.071.091.050.970.931.000.910.930.900.910.950.981.01
71.2170.6869.5769.4368.0070.4569.4067.6469.0468.8667.5970.1872.1175.8573.3475.4077.7673.9774.5466.3175.9977.8273.7174.8073.4472.5770.8669.1969.4972.7669.0570.9371.0070.5669.2566.9568.8069.8866.6365.7965.5764.5260.9662.5763.9265.4364.7063.4464.8264.7463.4963.5463.9264.1363.3866.7367.0764.5563.7963.0264.3966.7362.66
37.4139.1236.7836.9635.5839.6339.5039.1240.5444.6437.5639.8643.6256.5639.1443.0143.0936.7241.2640.0043.2242.6340.4639.7441.3241.3636.3039.3331.6432.6326.8033.8531.0331.0726.8928.4431.7533.1927.8528.2330.3030.7324.5426.8128.1430.8629.7028.0529.5131.3128.8629.7429.6330.6727.5130.0430.9528.8425.3724.8725.9526.4123.23
37.4139.1236.7836.9635.5839.6339.5039.1240.5444.6437.5639.8643.6256.5639.1443.0143.0936.7241.2640.0043.2242.6340.4639.7441.3241.3636.3039.3331.6432.6326.8033.8531.0331.0726.8928.4431.7533.1927.8528.2330.3030.7324.5426.8128.1430.8629.7028.0529.5131.3128.8629.7429.6330.6727.5130.0430.9528.8425.3724.8725.9526.4123.23
---------------------------------------------------------------
32.7234.2332.1932.3130.8535.0435.1934.9636.5340.8433.0835.1638.8551.1733.3135.1936.5628.9135.4834.0037.7837.4435.3134.9336.7536.8831.7134.3327.3428.2020.2924.7326.3826.1521.7026.6527.1928.9523.4924.2825.2426.2020.1222.2323.7526.5624.6425.0824.9126.8624.1425.4425.1826.2322.7024.8926.3324.1120.1119.5720.1020.5017.09
24.7026.0224.2624.8923.1826.6026.6327.2928.5230.8825.1727.2529.4039.2325.1026.9027.7922.1326.9726.7228.7428.4227.6826.8228.5728.2724.1714516.7317.3912.6215.0816.7916.4613.6016.7617.2518.0514.6015.3815.8016.3113.2114.0515.2417.1015.5915.4615.7217.0015.1416.2815.6616.7614.0615.2715.5315.5512.2413.0212.6713.9610.95
0.080.090.090.090.090.090.090.090.090.090.080.080.080.070.070.070.070.060.070.080.080.080.080.090.080.080.080.080.080.080.080.090.080.080.080.080.090.090.090.100.100.100.100.100.100.100.100.090.100.100.100.100.100.110.100.100.100.100.090.090.080.080.08
2.512.602.482.562.682.562.883.543.303.133.153.013.032.502.522.302.332.392.833.723.043.063.293.012.942.612.272.372.141.872.142.171.982.002.182.632.973.133.474.004.024.194.544.504.033.993.703.863.864.154.314.564.534.314.344.303.904.234.144.233.412.863.36
2.562.592.632.642.552.792.692.842.662.562.672.992.482.512.943.102.702.622.832.932.702.762.723.112.872.992.752.952.802.893.043.242.932.962.862.832.933.002.742.832.873.052.812.883.043.223.042.602.492.652.553.002.582.712.632.842.662.842.572.332.472.472.35
35.1434.7734.2334.0735.2532.2933.4431.6833.9035.1333.6730.1536.2535.8830.6229.0533.3134.3231.7830.7633.2732.6733.0428.9231.3530.0632.7030.4932.1931.1529.5827.8030.7230.3631.5231.7830.7130.0232.7931.8331.3829.4632.0631.2329.5827.9529.6534.6836.1733.9435.2329.9734.8733.1534.2131.7433.7931.7035.0838.6036.4936.4538.37
6.917.637.097.646.938.028.008.068.628.966.516.927.358.735.365.805.784.106.486.507.217.086.706.706.516.254.8328.124.214.403.103.923.903.833.073.994.354.783.904.394.574.853.744.064.615.394.944.895.045.765.285.775.615.664.514.944.794.833.433.443.343.333.10
7.217.977.397.987.238.378.348.409.009.366.747.167.618.735.365.835.784.106.486.507.217.086.706.706.516.254.8328.124.214.403.103.923.903.833.073.994.354.783.904.394.574.853.744.064.615.394.944.895.045.765.285.775.615.664.514.944.794.833.433.443.343.333.10
2.082.272.092.171.982.392.382.432.632.922.122.302.412.931.781.911.871.281.982.022.212.292.192.302.432.381.8611.581.291.421.011.291.311.291.031.341.491.641.331.491.561.651.261.341.471.691.511.451.521.731.541.671.641.761.431.531.531.551.121.121.071.050.96
2.843.152.923.062.773.263.263.343.614.052.943.153.303.952.402.582.551.762.712.773.073.132.963.093.253.162.4715.622.022.181.602.022.112.071.612.102.332.552.122.372.482.742.022.182.442.822.542.462.632.932.622.842.822.952.412.572.602.601.881.811.751.721.57
6.716.516.456.126.056.126.076.116.136.146.076.135.945.965.795.735.555.305.185.115.065.135.135.135.425.445.485.514.074.234.224.204.154.104.054.033.993.923.833.763.733.643.533.473.253.163.052.982.922.852.732.692.622.722.652.612.572.452.542.482.462.402.32
1.991.120.552.762.011.220.612.622.001.170.592.261.701.050.541.851.360.950.512.031.570.940.481.801.330.770.361.271.050.560.371.070.880.560.261.140.850.530.231.110.770.480.201.070.820.510.240.940.740.410.141.070.800.480.150.940.660.410.210.570.450.270.13
1.140.590.291.651.260.750.401.741.350.810.451.701.290.820.411.170.860.620.361.441.160.680.351.240.950.510.240.560.530.230.220.290.320.180.110.320.220.110.030.320.270.170.040.330.270.160.080.250.150.02-0.010.440.360.190.030.440.340.210.120.180.160.090.04