GrafTech Financial Ratios for Analysis 2009-2024 | EAF

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

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
3.543.432.683.183.101.952.332.944.441.833.593.352.642.472.38
0.920.730.981.301.582.020.340.380.310.250.290.280.220.180.00
11.902.7644.66-4.37-2.71-2.080.550.630.450.530.410.400.300.220.00
5.8443.3147.8953.9558.1062.7815.93-6.908.858.2411.9225.3024.5828.7228.78
-34.5637.0237.7548.0754.3959.395.77-21.49-15.16-14.54-0.2212.5312.5715.6915.22
-34.5637.0237.7548.0754.3959.395.77-21.49-15.16-14.54-0.2212.5312.5715.6915.22
-25.3941.3542.6453.2257.8462.9017.83-2.57-1.26-0.0310.3619.0818.7819.9320.19
-44.1235.3033.9141.6647.0647.620.62-26.58-22.00-19.19-3.4410.7710.8517.245.83
-41.1429.8928.8635.4841.5845.061.45-53.85-28.93-34.59-2.349.4211.6017.342.38
0.480.800.950.851.171.260.460.370.370.450.530.540.610.530.74
1.771.622.422.122.392.402.663.002.231.982.101.822.242.111.91
6.128.806.486.707.257.644.715.446.475.065.855.285.225.605.61
59.6441.4756.2954.4550.3547.8077.4367.1556.4272.0762.4469.1369.9965.1665.07
-326.211131,659-131.87-107.75-79.302.32-18.86-16.11-15.18-2.068.7211.4314.202.72
-326.21230-262.89-86.79-86.36-68.433.21-26.80-20.45-26.10-3.3113.8118.2123.912.77
-19.8023.8727.5030.3248.7956.721.19-9.29-9.18-8.32-1.235.127.069.131.76
-25.2830.1436.3539.1462.9180.551.52-11.66-11.13-11.33-1.466.248.8711.602.72
0.301.320.09-1.23-2.55-3.712.031.91-6.579.7410.049.338.484.81
0.301.251.662.102.792.810.120.080.170.890.870.730.521.171.41
0.090.981.451.972.562.580.02-0.010.010.300.23-0.19-0.550.480.95

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
3.794.223.733.544.214.103.843.433.212.732.632.682.462.812.873.183.103.103.173.103.623.393.121.952.232.563.332.332.363.062.942.943.693.554.074.443.901.791.771.833.733.963.943.593.743.944.053.353.883.563.032.642.963.062.642.472.682.222.222.382.613.012.24
1.010.980.960.920.760.740.740.730.770.830.880.981.111.171.221.301.421.491.581.581.431.531.742.021.941.841.240.340.370.400.400.380.360.360.310.310.300.280.270.250.330.320.300.290.290.300.290.280.310.310.240.220.200.210.190.180.000.000.000.000.000.100.12
-103.7257.3924.7411.903.222.902.812.763.444.777.1844.66-10.32-7.02-5.51-4.37-3.40-3.05-2.73-2.71-3.46-2.99-2.38-2.08-2.16-2.29-5.340.550.610.690.680.630.580.580.470.450.450.600.570.530.490.470.420.410.420.430.410.400.450.450.330.300.270.270.230.220.000.000.000.000.020.130.16
-9.242.90-0.96-14.350.8715.2818.8433.9543.9944.5947.7949.6950.9838.9751.9151.9354.0553.4856.4056.7557.5858.9858.8459.7760.3763.6467.8831.0612.218.491.23-1.69-6.19-7.29-13.581.538.7711.3010.02-2,325.996.776.329.151.6012.0916.2319.1322.7824.9426.7327.7824.0626.8223.4723.8224.1129.8629.7932.1332.2728.2228.9623.97
-20.11-1.95-15.64-151.45-11.414.632.0325.8137.5539.4341.7544.6045.2215.7544.9746.0647.1847.5251.4952.3953.7055.6355.5056.7157.1359.9664.2722.871.56-2.77-10.68-21.18-17.61-19.60-28.69-9.51-16.90-5.26-22.12-17,236.21-8.85-49.08-2.52-8.34-2.835.306.2111.4113.5814.769.969.0016.6212.3612.3010.7216.6416.0120.6923.4015.2112.356.28
-20.11-1.95-15.64-151.45-11.414.632.0325.8137.5539.4341.7544.6045.2215.7544.9746.0647.1847.5251.4952.3953.7055.6355.5056.7157.1359.9664.2722.871.56-2.77-10.68-21.18-17.61-19.60-28.69-9.51-16.90-5.26-22.12-17,236.22-8.85-49.08-2.52-8.34-2.835.306.2111.4113.5814.769.969.0016.6212.3612.3010.7216.6416.0120.6923.4015.2112.356.28
---------------------------------------------------------------
-31.69-11.17-25.68-164.14-20.67-2.98-7.4025.6335.7137.5139.3145.0440.8310.8637.8041.1039.1440.1045.8943.9546.7348.7448.3945.5349.4840.4355.4722.31-3.78-10.67-20.93-24.75-23.20-24.14-35.68-16.14-27.24-12.62-26.58-13,948.28-12.72-52.27-5.98-11.54-5.562.022.469.3011.2613.039.447.8013.7311.0210.9015.4412.9619.7321.6825.657.58-25.1210.18
-27.61-10.74-22.60-158.52-14.23-4.23-5.3120.3330.7631.6233.9138.9434.518.5232.4637.0132.8433.0538.3742.1941.8040.8841.5743.1043.8544.1549.5028.90-2.86-14.94-25.15-41.67-20.58-111.30-38.06-35.64-39.19-18.14-26.8428,991-13.42-54.69-4.10-9.15-2.521.451.667.729.2413.267.2816.4011.658.928.9125.9310.2015.9916.2118.514.16-23.516.32
0.110.120.110.110.110.120.090.150.190.240.250.260.250.240.220.240.200.180.210.270.230.280.310.350.300.290.310.160.120.100.090.100.090.090.070.050.080.070.120.000.130.140.130.140.130.130.110.160.140.140.110.160.170.150.150.150.250.260.230.230.190.190.15
0.540.440.460.480.420.360.240.370.390.510.600.630.630.780.580.610.440.420.430.570.570.630.650.730.690.660.720.760.730.650.650.750.710.660.380.330.360.300.51-0.020.580.590.520.620.510.470.380.560.440.420.310.600.620.610.620.630.630.670.570.560.470.410.36
1.461.441.491.351.631.671.651.701.701.761.721.751.891.911.551.851.751.551.601.681.591.531.712.152.222.071.791.651.711.421.401.431.501.431.050.891.141.031.340.001.591.601.371.551.481.461.341.571.391.451.271.371.441.351.501.561.611.661.751.721.581.711.47
61.6662.2960.3566.5355.0954.0054.4152.9353.0651.1252.4151.4247.5647.1957.9348.6351.4958.1356.1953.6356.5058.7652.7541.9440.5043.5150.2354.6352.5563.4564.1562.8260.1862.7786.0710179.0787.0567.37-56.6656.2365.9358.2261.0061.7266.9657.3564.5762.0270.9465.4762.3066.8159.8457.5255.9654.3351.3652.2557.0152.6061.41
401-90.84-82.06-277.85-7.83-2.45-2.2314.9034.4858.9091.71605-108.30-15.95-42.25-37.98-19.96-16.14-17.97-25.31-28.98-27.66-22.39-21.35-19.28-20.36-80.409.29-1.30-2.44-4.01-4.97-3.78-3.39-4.30-2.11-4.85-1.88-6.034.92-3.15-13.35-0.88-2.14-0.570.330.312.122.253.221.284.263.062.172.145.933.806.655.866.491.26-7.271.70
401-90.84-82.06-277.85-19.21-5.24-4.6230.2193.56477-347.73-95.78-42.54-8.10-24.40-24.99-14.65-12.44-14.36-20.29-22.61-22.29-18.75-18.42-16.55-17.36-49.6412.89-1.88-3.54-5.79-7.06-5.17-4.58-5.51-2.68-6.08-3.26-10.338.45-5.71-23.27-1.41-3.43-0.900.520.493.363.625.222.016.784.923.503.519.983.866.755.956.601.28-7.391.73
-3.16-1.27-2.54-16.87-1.53-0.51-0.473.145.967.588.3710.028.612.027.178.736.426.057.9711.469.6311.3712.9115.2713.3212.8815.134.75-0.64-1.16-1.91-2.45-1.95-1.75-2.41-1.20-2.70-1.00-3.222.69-1.78-7.61-0.52-1.27-0.340.190.191.251.301.850.782.631.941.371.373.812.574.233.694.200.81-4.390.97
-3.90-1.56-3.19-21.54-1.86-0.63-0.593.967.7710.2111.2113.2411.622.659.3711.278.307.9110.3914.7812.3714.6116.4721.6918.1917.1819.396.09-0.82-1.46-2.41-3.07-2.41-2.18-2.95-1.46-3.37-1.36-4.423.67-2.12-9.06-0.62-1.52-0.400.230.221.521.552.240.973.302.441.721.734.843.806.645.846.481.25-6.571.51
-0.040.060.150.301.121.251.291.321.060.760.520.09-0.42-0.66-0.88-1.23-1.77-2.15-2.55-2.55-2.10-2.44-3.03-3.71-3.57-3.28-0.912.03---1.91-----6.656.736.578.128.559.689.749.979.9710.0410.049.829.609.569.339.069.068.808.485.685.084.964.814.564.264.17
-0.05-0.150.000.300.260.060.101.251.070.800.561.661.280.780.462.101.561.080.522.792.021.240.542.812.071.250.470.120.110.010.010.000.000.000.000.000.000.000.000.890.610.410.160.870.480.090.130.730.10-0.22-0.110.520.20-0.12-0.011.170.450.120.171.411.010.500.12
-0.14-0.21-0.040.090.07-0.090.000.980.890.680.491.451.130.680.411.971.440.990.472.561.861.140.492.581.911.160.420.020.05-0.02-0.02--------0.300.130.090.020.230.02-0.200.04-0.19-0.59-0.66-0.32-0.55-0.50-0.55-0.170.480.02-0.140.080.950.670.250.01