Eni SpA Financial Ratios for Analysis 2009-2024 | E

Fifteen years of historical annual and quarterly financial ratios and margins for Eni SpA (E).

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
1.301.261.341.391.181.391.471.371.351.461.541.431.071.001.02
0.290.260.350.370.280.280.300.280.270.240.250.240.280.270.28
0.540.490.620.710.510.510.510.510.520.420.420.390.490.500.54
22.1323.3128.5725.3528.3927.7126.0922.1721.7022.1822.4725.9427.7230.5530.82
8.7113.1015.87-7.299.0512.9811.293.80-4.037.147.6611.6715.0416.0914.23
8.7113.1015.87-7.299.0512.9811.293.80-4.037.147.6611.6715.0416.0914.23
16.6018.4924.958.9620.4622.0621.8317.149.9716.1215.7719.0822.6125.0324.62
10.7916.4913.74-13.308.0913.149.641.57-5.776.6212.0312.8916.9116.6514.31
5.0310.397.48-19.210.215.364.75-2.58-12.741.164.456.057.157.436.30
0.660.880.560.410.580.650.620.460.510.760.840.920.770.750.72
11.9413.309.158.6210.7511.9611.359.5213.8111.4311.3411.2210.4510.4810.62
5.576.324.084.055.445.464.513.223.293.884.024.504.424.224.15
65.4857.7689.3890.2267.1366.9080.9311311194.0990.8481.1382.5586.5788.06
9.0625.2813.12-23.010.328.107.02-1.97-13.281.378.127.8810.8412.3811.30
10.2828.0914.70-24.970.358.647.48-2.10-13.911.458.678.4913.2315.4813.70
3.419.184.24-7.870.133.492.94-0.84-5.290.583.583.544.585.244.43
6.4518.718.56-14.530.235.814.95-1.42-9.751.046.056.037.849.078.12
34.4032.5929.2223.7629.5233.1929.9132.3332.8045.5140.4944.39---
9.8410.548.523.087.728.946.354.727.3411.138.098.7811.7610.748.54
4.235.985.380.272.873.902.74-0.851.023.330.461.692.361.94-0.80

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
1.271.281.241.301.441.441.381.261.171.241.231.341.231.361.391.391.291.251.151.181.191.301.321.391.401.411.451.471.271.321.341.371.591.571.511.351.331.351.361.461.531.581.701.541.541.441.371.431.291.211.161.071.051.061.091.000.991.011.021.020.720.990.72
0.290.300.290.290.280.280.270.260.260.300.330.350.350.340.360.370.390.370.300.280.270.270.270.280.280.270.290.300.300.290.280.280.310.290.270.270.240.230.210.240.240.250.260.250.240.230.230.240.230.280.270.280.290.340.270.270.270.240.230.280.310.230.25
0.560.570.560.540.470.520.480.490.470.530.630.620.650.660.680.710.750.710.530.510.470.500.490.510.510.480.490.510.590.550.510.510.550.490.450.520.480.430.410.420.410.430.410.420.410.400.400.390.400.500.470.490.520.650.480.500.500.440.440.540.450.430.34
19.9025.8925.0720.7425.1923.6319.7310.7627.0826.4327.7427.4828.2928.7430.6725.8128.4134.3517.1627.6728.1728.9428.6423.7030.4427.7428.9831.1523.5621.1426.5125.7821.5121.4618.94-4.9421.8923.4923.2717.3423.6623.2723.9425.0623.0618.9022.8023.6523.2825.7429.6625.2229.2126.9930.1526.0731.4633.4232.0442.2625.7830.2524.30
6.476.8611.523.3913.808.899.18-1.7417.6018.7716.4721.2014.5111.9912.581.132.09-31.89-7.77-1.2810.9711.8513.397.3117.3214.0113.2820.416.323.5711.3912.471.421.60-2.56-155.710.321.776.37-2.909.618.2312.421.2711.105.1612.217.3215.229.4018.997.1317.2115.2018.7810.6517.8118.5919.1710.1115.0515.3415.12
6.476.8611.523.3913.808.899.18-1.7417.6018.7716.4721.2014.5111.9912.581.132.09-31.89-7.77-1.2810.9711.8513.397.3117.3214.0113.2820.416.323.5711.3912.471.421.60-2.56-155.710.321.776.37-2.909.618.2312.421.2711.105.1612.217.3215.229.4018.997.1317.2115.2018.7810.6517.8118.5919.1710.1115.0515.3415.12
---------------------------------------------------------------
7.848.9911.764.6015.1810.3813.081.3124.7620.1818.1118.5514.317.1911.90-4.020.03-39.11-16.99-2.8210.8110.4312.659.4716.5914.0512.4116.476.412.1010.818.88-1.910.91-3.51-186.16-0.352.165.48-4.878.858.7912.346.7722.875.4912.152.8615.969.1822.8315.3216.4615.8120.3110.6118.9518.9919.2410.8816.9112.8317.19
2.482.875.230.728.461.488.721.9815.6011.9911.0313.176.251.485.78-8.37-4.78-52.43-20.79-11.723.082.255.811.917.686.645.249.612.180.115.212.09-4.15-3.25-6.28-272.90-5.05-0.512.89-9.536.382.404.44-2.2713.400.974.914.417.880.5210.814.396.765.038.851.957.527.888.862.896.484.558.02
0.150.160.160.170.160.140.190.200.210.190.200.190.140.140.130.110.100.070.120.130.140.150.150.160.160.160.160.190.140.130.150.130.110.110.100.020.130.150.160.180.190.200.210.200.220.210.210.250.210.200.230.200.190.190.220.220.180.180.200.200.190.170.23
2.562.562.763.192.462.493.413.592.702.653.383.172.442.582.322.381.871.333.072.482.602.932.903.202.732.892.973.242.602.562.882.642.332.443.000.831.932.312.462.802.332.543.002.592.642.852.932.952.562.893.042.932.272.583.133.212.312.323.092.672.512.293.96
1.551.401.321.471.541.281.571.471.741.651.351.391.311.211.111.120.980.791.111.241.271.341.101.381.271.201.081.381.041.000.950.940.720.680.600.150.740.790.780.900.960.970.940.951.080.990.961.211.291.221.201.141.121.131.191.221.071.041.061.161.371.011.42
58.0164.3568.3861.4258.4570.3657.4561.3651.8154.6066.4664.5568.4974.3181.4480.1492.0811581.1172.3870.6267.2181.5665.0670.6774.8583.6765.1786.2090.3094.3695.9312513115061012211311610094.1992.8395.8194.8883.4191.3793.4874.6669.9673.6675.2278.8380.6580.0075.9173.5284.0686.6284.8777.9265.8988.9763.40
1.021.262.240.393.380.574.331.1910.177.347.567.873.000.622.15-2.78-1.37-11.34-6.45-3.971.020.832.070.733.012.491.974.350.740.041.821.46-1.12-0.85-1.52-11.71-1.49-0.880.91-4.372.490.952.14-0.956.58-0.202.40-3.263.980.135.712.053.072.974.481.013.193.184.091.47-1.85-
1.161.432.540.453.730.634.811.3211.158.108.428.823.300.682.33-3.02-1.50-12.32-6.94-4.241.090.892.210.783.202.652.094.630.790.041.941.55-1.19-0.90-1.61-12.26-1.58-0.930.96-4.652.641.012.28-1.017.08-0.222.58-3.514.400.146.912.513.782.805.561.264.043.975.181.793.342.254.71
0.390.470.840.151.370.221.700.433.302.342.252.540.900.210.74-0.95-0.46-3.83-2.44-1.540.430.340.860.321.241.060.831.820.300.020.770.62-0.47-0.36-0.65-4.66-0.63-0.380.39-1.861.100.410.95-0.422.99-0.091.06-1.461.640.052.490.871.290.961.940.431.371.421.790.581.260.771.85
0.720.881.590.282.440.403.170.887.575.165.085.131.960.411.38-1.76-0.84-7.15-4.50-2.850.740.611.520.532.161.811.393.060.520.031.321.05-0.77-0.60-1.11-8.60-1.13-0.680.72-3.341.900.721.58-0.714.98-0.161.85-2.493.060.094.171.492.191.953.280.742.342.413.161.061.881.422.91
---34.40---32.59---29.22---23.76---29.52---33.19---29.91---32.33---32.80---45.51---40.49-------------------
6.464.291.279.847.224.841.9110.547.424.371.968.524.632.760.933.082.511.470.607.725.374.211.318.945.953.481.486.354.650.001.154.722.811.890.847.344.493.491.4411.137.154.361.638.095.703.432.048.786.845.983.0411.258.746.923.1410.748.316.363.468.697.555.573.95
2.791.960.204.233.071.900.615.984.492.531.145.382.511.340.250.270.35-0.05-0.342.871.701.61-0.053.902.691.23-0.212.740.72--0.14-0.85-1.55-1.06-0.661.02-0.070.190.033.331.630.76-0.040.460.330.040.171.691.022.881.002.262.202.261.241.942.052.051.76-0.81-0.111.181.66