Deutsche Lufthansa AG Financial Ratios for Analysis 2009-2024 | DLAKY

Fifteen years of historical annual and quarterly financial ratios and margins for Deutsche Lufthansa AG (DLAKY).

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
0.790.860.920.680.710.660.870.930.720.750.881.000.971.050.99
0.530.610.770.900.450.340.390.450.460.600.440.420.420.430.50
1.441.793.7111.080.980.700.710.921.091.661.040.830.800.861.12
42.5043.0146.7837.8045.5747.9246.5645.9644.9742.4141.6940.8242.2643.7543.01
6.933.76-13.79-52.174.647.818.866.924.852.562.30-4.89-5.403.931.22
6.933.76-13.79-52.174.647.818.866.924.852.562.30-4.89-5.403.931.22
13.6811.22-0.37-18.6712.4313.9514.5112.6710.437.588.091.500.8010.118.88
6.543.20-15.50-63.515.117.778.967.106.320.601.823.451.553.58-1.03
4.722.41-13.03-49.493.336.036.645.615.300.181.093.210.014.18-0.45
0.780.760.400.340.850.940.980.910.990.981.031.061.020.930.84
21.2123.0013.2511.6420.2319.2920.9620.9723.1824.6927.3227.9126.7623.2219.66
8.387.564.274.356.546.366.626.877.177.298.238.428.368.037.35
43.5648.2685.4483.9455.8257.3755.1153.1150.9450.0744.3543.3443.6645.4349.68
19.959.49-48.84-487.8212.1422.9424.9825.2229.461.865.3511.62-0.1614.25-1.89
23.1911.41-76.092,69614.9728.5930.8933.3141.123.077.2014.33-0.2018.48-2.71
4.271.86-5.16-17.142.925.756.615.205.300.251.123.39-0.054.05-0.44
9.333.70-11.23-49.616.6715.0615.2413.9115.830.742.996.77-0.098.16-0.94
8.787.478.892.6524.0223.7923.0216.8813.969.69-----
4.484.550.99-4.959.4910.2712.117.718.134.779.497.977.588.915.95
0.782.47-1.10-6.710.880.274.392.091.48-1.743.112.72-0.293.400.30

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
0.740.790.850.810.820.860.930.920.900.920.850.780.710.680.620.540.610.710.680.640.640.660.780.770.760.871.060.970.920.930.860.800.710.720.790.760.730.750.860.820.810.880.930.900.891.000.980.910.950.970.930.900.991.051.051.010.950.991.031.011.07
0.520.530.510.600.640.610.610.650.730.770.790.810.870.900.750.590.530.450.470.450.430.340.310.380.410.390.430.470.490.450.510.580.500.460.450.470.670.600.520.490.480.440.470.500.520.420.410.440.430.420.400.400.410.430.470.470.470.500.500.430.43
1.441.441.371.811.991.791.731.982.993.714.404.957.6311.083.921.921.530.981.071.050.940.700.570.670.780.710.810.981.070.921.191.801.261.091.041.002.321.661.241.071.011.041.151.271.500.830.820.890.820.800.750.780.830.860.981.011.021.121.130.830.79
33.8240.3644.9145.3737.7143.8344.6442.0240.4646.6349.5744.1944.8433.8839.8142.7737.2345.5947.5646.1742.2950.6148.5249.6646.5645.5149.4347.2742.9745.5248.0546.5143.0943.7147.8844.4043.3314.4745.8543.7838.5741.5042.7442.4238.1141.4842.3641.9036.9443.7643.5442.3935.4543.4645.3044.0449.3243.2042.6942.7942.75
-11.613.7412.7811.57-4.085.3110.664.12-10.81-2.78-1.34-30.08-42.34-53.78-88.16-89.76-24.652.7511.137.04-4.424.658.2810.140.319.1413.3310.550.13-1.0319.426.76-0.301.9112.506.69-3.8663.353.264.57-2.043.496.807.39-7.00-19.767.993.86-14.02-32.995.654.514.975.9011.683.92-27.5527.74-5.07-5.89-16.69
-11.613.7412.7811.57-4.085.3110.664.12-10.81-2.78-1.34-30.08-42.34-53.78-88.16-89.76-24.652.7511.137.04-4.424.658.2810.140.319.1413.3310.550.13-1.0319.426.76-0.301.9112.506.69-3.8663.353.264.57-2.043.496.807.39-7.00-19.767.993.86-14.02-32.995.654.514.975.9011.683.92-27.5527.74-5.07-5.89-16.69
-------------------------------------------------------------
-12.703.1814.4911.30-7.554.4410.714.21-12.87-4.29-1.61-28.68-51.29-64.35-93.72-92.03-41.552.8014.955.44-5.225.148.4210.69-0.518.7814.9610.12-0.72-1.0720.456.44-0.360.3111.347.455.15-8.168.543.22-4.682.527.214.26-8.758.289.422.21-7.560.957.815.00-9.474.3010.444.38-8.03-2.353.89-1.17-5.44
-9.930.5711.609.38-6.664.258.043.06-10.89-4.88-1.38-23.54-40.98-43.31-73.95-78.83-32.982.1611.342.35-4.332.936.487.89-0.755.2712.047.99-0.88-1.2716.115.38-0.12-0.708.886.306.09-5.786.632.25-3.900.915.433.25-6.936.857.722.90-6.00-4.566.123.95-7.878.518.302.83-5.10-2.343.100.77-5.10
0.160.190.220.210.160.210.210.180.120.140.120.080.070.070.070.050.150.200.230.220.18-0.210.690.240.200.250.250.240.200.220.260.230.210.240.270.250.200.230.260.260.220.260.280.270.220.260.280.270.230.230.280.260.230.260.260.230.170.240.220.230.21
5.015.396.276.265.536.157.066.704.554.543.972.682.032.571.871.184.164.805.645.184.74-4.0715.005.024.635.485.775.615.125.055.925.535.255.616.366.535.612.077.096.636.066.727.306.906.266.797.367.016.565.707.337.036.056.216.295.785.225.715.324.914.74
1.522.052.522.571.372.051.961.611.161.461.300.850.750.900.760.561.671.551.671.531.26-1.424.581.521.281.701.621.721.391.641.751.611.441.721.851.711.431.711.731.771.542.082.061.901.572.072.041.751.541.861.951.811.652.201.911.681.272.071.461.711.45
59.1843.8135.7834.9865.8043.8945.8756.0777.9261.6769.0910612099.7111816053.8857.9553.9358.9471.21-63.5619.6559.1170.1753.0455.5752.2264.6954.7951.4856.0262.3752.3348.7252.5863.0352.6451.9650.9558.5043.3143.7847.4657.3443.4244.2151.4358.2948.4146.1349.8354.5940.8647.0353.5370.6143.3961.4752.4962.02
-7.642.7411.4810.80-5.584.528.863.29-10.73-6.06-2.00-24.13-51.36-89.89-58.95-26.38-28.321.9112.922.55-3.44-2.5515.447.57-0.575.0813.8710.21-0.87-1.2229.4512.20-0.06-0.6212.949.1516.34-10.0911.403.49-4.901.138.065.01-10.036.567.612.47-5.21-3.636.133.84-6.837.658.482.71-3.65-2.413.000.69-4.01
-8.853.1913.1012.87-6.775.4410.744.13-15.23-9.45-3.52-49.35-240.64497-124.09-38.35-37.182.3616.393.22-4.27-3.1818.459.35-0.726.2817.6613.71-1.20-1.6145.4722.94-0.10-0.8617.5712.8246.37-16.6517.225.11-6.991.5211.147.15-15.198.099.343.09-6.55-4.517.995.09-8.909.9211.403.70-5.06-3.454.250.83-4.82
-1.540.592.581.93-0.940.881.710.56-1.31-0.64-0.18-1.86-2.74-3.16-5.06-3.77-4.900.462.630.54-0.78-0.644.501.90-0.131.343.091.98-0.16-0.254.161.26-0.01-0.112.411.601.23-1.341.740.58-0.870.241.540.88-1.541.922.200.66-1.37-1.041.711.02-1.832.182.130.66-0.87-0.560.670.18-1.05
-3.701.285.654.34-2.031.763.431.17-2.92-1.39-0.41-4.62-6.78-9.14-14.65-10.87-13.351.056.791.40-1.97-1.6710.584.73-0.343.107.975.39-0.44-0.6714.495.09-0.03-0.337.174.875.32-4.025.431.77-2.570.634.262.51-4.813.824.481.40-2.95-2.113.692.30-4.064.384.521.43-1.93-1.201.500.39-2.30
8.698.789.537.386.787.477.747.065.098.897.296.34-2.65---24.02---23.79---23.02---16.88---13.96---------------------------
1.194.483.942.831.424.554.494.011.400.991.130.04-1.55-4.95-3.610.843.159.498.745.663.7210.279.287.654.2412.1111.187.573.757.717.335.332.638.137.606.023.404.795.925.262.569.268.646.572.800.006.634.672.387.206.795.462.328.956.833.921.706.024.473.150.00
0.300.781.601.050.462.472.992.760.81-1.10-0.79-0.85-1.71-6.71-5.35-0.841.570.881.870.800.660.272.692.412.004.396.034.171.902.093.192.481.241.482.522.711.51-1.75-0.350.460.003.043.753.130.78-2.551.591.35-0.270.992.150.883.422.672.000.530.300.050.45-