DuPont De Nemours Financial Ratios for Analysis 2009-2024 | DD

Fifteen years of historical annual and quarterly financial ratios and margins for DuPont De Nemours (DD).

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
2.433.022.902.371.201.731.911.882.152.092.092.061.721.741.49
0.240.220.280.290.250.120.230.430.380.450.380.480.440.480.48
0.320.300.400.400.420.130.330.780.660.840.640.960.931.051.06
35.0835.4536.5736.5335.0532.2718.1121.7822.6218.4016.6215.8414.9314.7112.76
7.0414.3314.99-6.782.950.92-16.2110.0320.929.0511.974.156.135.823.02
7.0414.3314.99-6.782.950.92-16.2110.0320.929.0511.974.156.135.823.02
23.2023.0523.9449.9031.2634.3244.0515.9726.0813.8516.669.2910.9411.349.34
4.1811.1211.49-11.31-0.822.66-13.079.1620.369.0511.922.936.005.221.05
3.5145.0851.46-26.523.2317.029.938.2615.065.907.791.484.003.670.75
0.310.310.270.160.220.120.060.610.720.850.820.820.870.770.68
3.653.613.822.952.323.730.565.125.495.865.735.646.736.465.72
5.095.175.824.604.066.660.695.366.226.215.925.876.235.934.88
71.6870.6162.7179.4189.9054.7852868.0558.7158.8161.6962.2158.5761.5074.79
2.163.934.46-3.45-0.300.420.2316.1735.0919.8420.136.1614.4312.453.31
24.3321.8431.38-10.972.390.872.5574.2574.7555.2144.5424.9052.5356.0029.10
1.382.572.64-1.90-0.180.220.125.5411.465.596.931.584.023.340.86
1.643.053.20-2.47-0.220.370.189.2418.369.1210.762.636.695.371.41
57.4958.9752.8553.2156.2712713167.4570.3360.5369.0554.5258.9958.2055.10
4.862.503.395.571.896.13-1.44-7.9018.3916.4318.1910.3910.0510.765.91
6.2423.103.415.35-1.021.28-3.16-17.6015.087.7114.373.924.8210.101.95

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
2.282.212.332.432.152.983.293.022.392.552.822.902.012.662.212.371.811.501.221.201.621.651.721.731.641.701.871.912.011.931.871.881.962.042.002.151.881.941.972.092.132.042.052.092.092.011.952.061.831.841.781.721.691.831.771.741.571.501.431.491.541.651.60
0.230.230.240.240.240.230.220.220.290.290.280.280.280.280.280.290.360.290.250.250.270.270.270.120.210.210.220.230.220.400.420.430.400.410.380.380.410.420.430.450.420.380.380.380.410.420.460.480.420.430.430.440.400.430.440.480.440.460.470.480.490.520.45
0.290.300.320.320.330.300.300.300.460.430.410.400.390.390.460.400.630.510.440.420.420.400.450.130.350.340.330.330.350.730.760.780.700.710.640.660.780.810.850.840.740.640.640.640.740.780.910.960.820.850.860.930.780.800.901.050.931.011.101.061.111.180.98
37.4137.0534.5635.5436.1034.3934.2934.0236.8435.3135.5534.7236.4836.8938.3294.6333.4030.1336.8128.6734.9236.0633.1215.1933.6630.2524.1523.3020.6322.2122.9518.5721.1722.4025.7123.9722.3221.4122.9219.2818.2517.2518.8616.1114.6916.9718.6114.2116.6415.9416.5411.8014.4415.5517.7614.1815.7514.9713.9812.8813.7813.769.99
20.6511.7311.98-18.1516.3214.2214.459.3118.3917.8511.3910.6913.5019.2316.84548-0.61-69.99-37.87-356.4210.76-58.19-1.0015.552.161.307.6020.448.1814.368.70-2.3710.9428.992.8737.8217.8011.3318.287.889.278.8510.199.616.1722.499.19-4.307.037.845.842.926.688.386.205.006.336.635.372.4810.47-2.550.84
20.6511.7311.98-18.1516.3214.2214.459.3118.3917.8511.3910.6913.5019.2316.84548-0.61-69.99-37.87-356.4210.76-58.19-1.0015.552.161.307.6020.448.1814.368.70-2.3710.9428.992.8737.8217.8011.3318.287.889.278.8510.199.616.1722.499.19-4.307.037.845.842.926.688.386.205.006.336.635.372.4810.47-2.550.84
---------------------------------------------------------------
18.369.339.11-21.2613.3411.5111.806.2215.0114.398.527.1510.6015.7212.762545.73-72.39-12.43-61.588.29-17.34-3.0511.862.962.227.1718.197.3313.118.53-1.528.7228.091.5436.1917.1411.7317.837.779.328.8110.319.636.6722.218.79-6.116.056.784.802.517.218.215.714.695.535.804.881.208.33-6.03-0.01
14.225.616.45-0.7610.43-4.238.5213611.0623.6914.916.2812.2215.4017941.11-2.18-75.34-16.78-20.186.86-10.449.62-4.508.8230.205.135.093.359.556.71-0.255.7626.131.5830.7710.728.7911.265.105.915.916.676.694.3316.053.82-5.143.644.472.80-0.145.396.124.243.093.984.163.470.705.90-4.290.27
0.090.090.080.080.080.080.070.080.080.070.070.070.070.070.060.010.050.050.05-0.010.080.080.03-0.060.030.030.11-0.160.080.170.160.160.150.150.160.170.170.190.180.210.210.220.210.210.200.210.210.200.200.210.210.200.230.230.220.200.200.210.200.190.180.170.20
0.890.920.880.870.860.870.810.880.890.910.941.020.710.740.740.010.620.530.53-0.140.820.800.22-2.160.230.260.93-1.390.711.321.241.441.231.131.091.271.201.261.181.431.311.381.291.451.321.371.251.411.321.461.381.641.541.551.491.671.491.671.641.591.491.461.38
1.351.371.241.221.271.341.241.231.471.471.411.501.101.101.160.221.000.910.95-0.231.371.300.29-3.080.290.291.09-1.820.841.271.361.451.371.291.221.461.471.431.421.531.471.441.381.491.401.391.381.441.371.471.401.461.491.491.421.521.341.481.281.361.371.321.38
66.6365.6572.6273.6070.6167.3472.7073.0161.2461.4263.9759.8681.8181.9477.8340489.8598.9294.88-392.4165.7269.36312-29.1931031282.80-49.4510770.6866.0562.0665.6769.8373.6761.6161.0762.9463.5858.6461.2062.5065.0460.3564.0664.6965.1162.5965.7761.3164.2461.4660.2660.3063.2459.1166.9660.6770.1366.3865.6568.3965.03
1.950.740.76-1.211.181.011.010.391.411.400.870.620.951.441.393.850.23-6.36-1.371.640.89-2.59-0.08-0.950.130.031.12-2.550.534.593.230.313.1012.301.2316.376.785.857.914.344.244.094.494.303.2612.093.67-4.202.823.662.590.434.275.123.632.753.213.843.231.044.63-2.680.18
21.7210.1810.40-13.6921.755.705.362.169.839.815.994.34-23.7033.1428.8712.23-2.7749.8710.93-13.13-7.7622.49-1.58-1.951.480.3712.18-28.445.3216.3012.941.429.5938.742.5934.8715.6714.7420.4912.079.598.989.969.518.7134.7813.97-17.008.2311.518.531.5713.0216.3913.5112.3815.0024.4425.339.1529.99-25.910.27
1.280.480.49-0.780.740.660.660.250.810.820.510.370.560.860.812.120.12-3.58-0.810.980.53-1.56-0.04-0.480.070.020.60-1.350.281.651.130.111.013.960.405.342.051.732.241.221.391.411.541.480.983.480.95-1.080.851.070.750.121.351.571.050.740.901.020.820.271.19-0.660.05
1.510.570.58-0.920.900.780.780.301.000.990.620.440.681.041.012.750.14-4.49-1.021.230.65-1.90-0.06-0.840.100.020.87-1.970.412.741.870.181.616.320.648.563.372.833.701.992.112.172.392.301.615.861.62-1.801.371.741.230.202.142.471.681.191.471.681.380.441.91-1.030.10
59.0056.9257.4357.4957.2757.8559.1758.9751.3452.1852.6852.8552.5752.3552.0753.2151.9451.2154.6756.2756.4356.9612612713013013313113472.5669.5867.4581.2080.5070.6370.3365.1763.3560.4160.5368.0069.6969.0869.0561.8960.0054.5654.5262.4560.6660.3758.9963.8363.6060.8458.2058.4354.7554.7955.1055.7353.0642.71
4.192.431.164.863.411.750.882.502.130.960.413.393.171.540.625.573.802.070.971.891.11-0.070.036.13-0.48-0.06-2.75-1.44-4.74-0.25-0.19-7.909.905.810.3718.3912.426.403.0316.439.494.951.4318.1914.049.751.1310.396.423.62-0.1310.054.801.60-0.4510.765.943.37-0.045.911.800.18-0.25
3.181.710.696.242.400.980.3823.101.850.87-0.053.412.370.920.195.353.921.670.90-1.02-1.37-2.34-1.351.28-3.77-2.04-3.74-3.16-9.26-3.67-1.90-17.602.571.78-1.7415.0810.885.364.167.713.491.20-0.1814.3710.657.910.353.922.531.28-1.014.821.00-0.68-1.2910.107.325.89-0.541.950.33-0.67-0.89