Devon Energy Financial Ratios for Analysis 2009-2024 | DVN

Fifteen years of historical annual and quarterly financial ratios and margins for Devon Energy (DVN).

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
1.071.251.382.262.001.991.451.441.221.091.201.491.381.210.79
0.320.350.410.590.420.320.320.440.520.270.280.280.220.170.27
0.500.570.691.420.730.480.490.801.190.430.590.550.460.290.47
80.8185.4182.5476.7480.7687.0487.8373.27100.00100.00100.00100.00100.00100.00100.00
32.5741.6826.09-59.112.2710.615.554.21-145.0622.765.450.7840.4739.88-53.15
32.5741.6826.09-59.112.2710.615.554.21-145.0622.765.450.7840.4739.88-53.15
49.2053.1143.54-31.5226.8724.7221.4728.89-113.8939.2832.1930.3760.1159.30-26.85
30.3040.5623.74-64.00-1.7510.610.62-6.41-151.0719.671.43-3.3437.4835.90-56.47
24.5631.3823.05-55.51-5.7134.4413.81-15.64-98.147.79-0.21-2.1741.1045.77-30.93
0.620.810.580.490.450.450.220.240.450.410.240.220.280.300.27
11.7613.9218.69------------
9.7010.857.916.237.0810.966.574.9811.908.326.467.638.308.276.63
37.6333.6546.1458.5951.5833.3255.5373.2930.6843.8856.4947.8343.9844.1455.01
30.9653.4430.14-84.23-1.337.770.23-4.51-124.176.42-0.10-0.879.9612.12-17.68
32.9957.2632.77-112.22-1.538.470.25-5.55-229.068.44-0.14-1.2213.8417.71-28.56
15.4425.4513.47-25.66-0.583.650.11-2.00-46.333.34-0.05-0.435.197.09-9.27
21.1434.5317.84-34.75-0.775.300.16-2.51-59.214.68-0.07-0.627.7910.11-12.85
19.2217.3014.187.9015.5020.4626.8624.3326.2964.4050.4952.4153.0444.6234.86
10.1913.067.373.885.093.192.391.6512.0314.7913.5212.3914.8912.5610.79
4.095.274.470.891.23-0.070.103.20-2.18-5.67-2.25-4.50-2.837.60-0.25

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
1.111.111.041.070.960.981.091.251.161.551.321.381.211.001.182.262.032.332.612.001.721.491.371.991.481.651.041.451.631.611.531.441.561.361.131.221.231.181.041.091.000.940.661.201.321.311.241.491.721.861.451.381.591.990.971.211.341.481.210.790.760.740.73
0.380.310.310.320.330.360.360.350.360.390.410.410.420.430.450.590.580.560.520.420.400.380.420.320.390.310.410.320.470.480.490.440.520.580.540.520.420.360.310.270.280.310.320.280.280.280.290.280.280.280.230.220.220.220.170.170.170.250.260.270.290.300.31
0.610.480.500.500.520.580.580.570.590.630.690.690.720.760.861.421.371.281.060.730.660.610.740.480.680.470.730.490.870.930.950.801.131.421.191.190.750.600.510.430.450.470.620.590.490.510.620.550.520.480.490.460.440.370.350.290.300.330.360.470.500.540.54
81.0479.8879.1281.6980.2779.1881.8783.3786.4787.0483.7985.8483.9978.7877.6678.8374.6033.2584.7679.6183.1683.6173.7710880.6678.8875.3050.4476.8278.9887.13186100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
29.5528.6221.3638.4630.4028.5232.0241.1045.3844.3533.1145.5927.8112.58-1.564.69-11.90-172.59-100.9610.6414.3212.13-46.0647.022.46-25.136.4651.2211.1213.1212.67-182.2434.61-60.17-164.63-130.49-151.18-128.59-168.306.5133.2539.3318.5222.5227.0135.62-94.22-61.243.7034.2728.3530.2048.6346.5830.3232.6535.2335.0851.4038.8525.1122.12-319.84
29.5528.6221.3638.4630.4028.5232.0241.1045.3844.3533.1145.5927.8112.58-1.564.69-11.90-172.59-100.9610.6414.3212.13-46.0647.022.46-25.136.4651.2211.1213.1212.67-182.2434.61-60.17-164.63-130.49-151.18-128.59-168.306.5133.2539.3318.5222.5227.0135.62-94.22-61.243.7034.2728.3530.2048.6346.5830.3232.6535.2335.0851.4038.8525.1122.12-319.84
---------------------------------------------------------------
26.4426.5521.3634.5027.9525.9732.0236.1245.3844.3533.1138.9027.8112.58-1.56-8.59-18.09-172.59-100.96-1.3210.8812.13-46.0664.39-0.70-25.13-11.1560.8910.719.569.15-182.3827.83-70.14-173.33-143.17-156.15-132.01-172.254.1231.0034.4615.0318.1023.5432.29-99.54-19.42-62.2528.6824.4730.8243.9242.8027.0131.2929.7127.4649.3235.4225.4916.41-324.32
20.1821.5516.5727.7923.7219.9826.0328.3334.8534.0425.9435.2424.1810.5910.39-7.97-8.62-170.05-87.01-40.406.2427.41-29.3843.86118-22.11-8.96-15.949.9810.128.53-123.1123.46-63.14-143.74-103.12-97.42-83.02-110.26-5.6218.8314.978.707.8515.8122.12-67.99-13.60-38.5518.4115.7419.7629.6485.1219.3826.3288.8231.6337.0227.2827.0017.23-208.37
0.130.160.140.170.160.150.160.180.230.240.180.200.160.120.100.130.100.040.190.120.120.110.060.130.110.070.08-0.040.070.080.14-0.070.160.090.070.100.100.080.070.140.110.090.070.060.070.080.050.060.040.060.060.060.090.080.060.060.070.070.110.080.070.070.07
2.603.053.213.053.253.583.273.56---5.31---------------------------------------------------
2.262.472.152.642.072.272.372.432.642.401.902.772.171.971.631.652.160.773.511.812.222.141.043.231.761.681.30-1.161.321.732.69-1.543.882.132.032.612.722.111.962.852.661.961.441.631.792.011.442.071.682.552.261.872.452.231.691.782.291.852.482.021.551.351.43
39.7936.5141.8034.1543.4839.5838.0236.9934.1537.5647.2732.5041.4745.6155.1054.4941.5811825.6249.7940.5741.9686.5827.8951.1853.4369.40-77.5368.0751.8833.46-58.2823.2242.2144.3234.4633.1442.7345.8431.6033.8845.9262.3455.1950.4144.8362.5143.4353.7135.3539.9048.1836.7540.4253.2050.6739.3248.5936.2244.4757.9166.4462.86
5.706.724.939.507.816.269.0310.6617.2618.9510.5516.099.313.062.55-2.42-3.27-20.19-41.830.202.082.16-4.8113.771.75-3.86-1.54-4.891.631.872.9027.1210.01-17.52-33.00-30.52-24.55-13.86-15.59-1.443.892.691.311.012.083.40-6.79-1.68-3.302.151.892.434.930.862.022.482.302.096.333.582.611.39-30.00
6.017.145.2610.138.346.719.6911.4218.5320.4611.4617.4910.163.352.79-3.22-4.30-26.04-51.410.232.392.45-5.3915.001.94-4.13-1.86-5.202.432.884.5633.3716.51-32.84-54.62-56.30-38.52-20.24-21.50-1.895.643.972.071.412.934.83-9.78-2.35-4.592.942.613.386.861.212.973.633.383.229.825.784.382.38-52.23
2.733.402.444.743.802.994.285.088.078.364.577.194.011.301.06-0.74-1.00-6.54-15.170.090.940.91-2.096.470.77-1.70-0.72-2.280.700.791.2112.033.76-5.74-12.11-11.39-11.38-6.88-7.92-0.752.051.370.620.481.051.71-3.22-0.82-1.651.100.971.272.610.481.131.451.351.173.501.881.360.70-15.09
3.534.653.386.495.274.035.816.8911.0411.616.269.525.431.741.39-1.00-1.38-8.85-20.280.121.261.34-2.779.391.06-2.66-0.90-3.310.870.971.4915.084.78-7.35-15.28-14.55-14.31-8.86-10.77-1.052.821.850.890.731.502.44-4.84-1.20-2.381.551.441.903.840.671.692.071.911.574.712.601.860.97-20.66
22.0120.2719.5119.2218.3817.3917.2317.3016.8315.5914.2714.1813.3812.6112.577.908.228.7510.5515.5016.9217.0918.9120.4618.8124.9726.1126.8622.7321.5420.7624.3319.2017.0220.0526.2938.7449.0356.0164.4065.4563.7161.3950.4950.7749.4248.5452.4153.7854.9454.2953.0451.8251.2645.2644.6243.1738.3137.9534.8632.9930.8229.16
7.925.212.7510.197.524.822.5913.0610.176.902.797.374.842.480.913.882.931.801.405.093.722.111.023.193.111.861.172.393.172.211.431.652.370.980.3512.0310.606.774.0614.7912.338.523.4813.529.925.952.4912.399.536.132.5614.8910.256.712.9612.569.836.563.3710.797.464.712.39
-2.342.161.354.092.821.541.045.273.625.112.014.472.731.090.170.890.51-0.080.341.230.710.500.58-0.071.080.86-0.101.350.820.203.202.82-4.16-4.63-2.18-1.04-1.99-1.16-5.67-2.57-7.79-14.73-2.25-2.24-2.82-2.23-4.50-2.55-2.38-2.65-2.83-3.13-2.16-1.337.608.298.623.40-0.25-1.12-1.96-2.00