Consolidated Edison Inc Financial Ratios for Analysis 2009-2024 | ED

Fifteen years of historical annual and quarterly financial ratios and margins for Consolidated Edison Inc (ED).

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
1.011.141.020.720.680.620.720.890.810.990.820.871.221.451.09
0.510.490.530.520.500.510.490.510.480.480.460.460.470.490.49
1.161.141.211.271.191.231.081.111.091.031.010.950.920.951.01
75.0973.9679.8681.3679.0676.1078.1974.4370.4065.0767.1868.1161.1956.8252.10
21.8016.7520.6621.6721.2821.5923.0523.0219.3317.1018.1619.1917.3815.9114.57
21.8016.7520.6621.6721.2821.5923.0523.0219.3317.1018.1619.1917.3815.9114.57
35.6529.8735.5237.3534.6733.2534.2033.0928.3325.3926.4527.0324.6222.3120.16
20.4813.3910.1110.0813.8114.4516.6016.0914.3212.8512.4514.2812.9011.6410.12
17.1810.599.848.9910.6811.2012.6710.319.508.458.609.348.167.446.66
0.220.230.220.190.220.230.250.250.280.290.300.300.330.370.39
7.798.296.306.417.488.237.869.1110.6212.1311.1711.7814.0516.5317.58
5.126.626.076.118.737.718.998.758.258.298.298.419.049.099.14
71.2755.1160.1659.7641.8047.3740.6241.7144.2544.0244.0543.4240.3940.1639.94
11.897.665.876.007.918.219.898.709.138.688.679.619.299.078.58
12.137.816.416.678.889.3710.269.059.458.998.999.989.479.258.75
3.792.321.891.822.482.563.172.582.612.482.612.772.712.762.60
5.843.902.782.903.924.035.064.294.764.534.675.204.874.574.32
68.0362.9261.4459.7658.7556.5153.7550.7348.3746.6145.4144.0143.1942.0040.56
6.1711.067.826.559.518.6410.9011.4611.139.638.678.8310.668.338.93
3.44-1.60-2.62-6.02-1.38-3.38-0.94-0.580.011.03-0.691.213.410.760.38

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
1.011.040.991.010.981.021.201.140.830.881.011.020.970.920.700.720.590.680.800.680.580.620.600.620.620.630.670.720.790.760.880.890.880.900.720.810.790.931.000.990.910.900.970.820.850.910.930.870.870.941.021.221.171.301.341.451.241.180.961.090.921.101.32
0.520.520.500.510.490.500.500.490.520.520.520.530.520.520.520.520.510.510.510.500.490.490.490.510.490.490.480.490.490.500.510.510.490.500.480.480.470.480.480.480.460.470.480.460.460.470.470.460.450.460.470.470.470.480.480.490.500.500.480.490.480.490.50
1.181.211.131.161.101.121.041.141.201.231.181.211.141.201.241.271.231.241.231.191.141.151.171.231.131.141.111.081.041.131.081.111.031.091.071.091.031.071.001.030.991.021.001.011.001.041.010.950.941.030.960.920.920.930.970.951.061.041.051.011.061.041.08
79.5580.1676.5477.4176.6879.2169.1371.6976.5973.9473.5580.1581.3280.6577.5479.6382.5482.3580.8979.8081.8181.4573.9375.4277.5277.0074.5879.0981.1677.4075.0378.2973.4375.9570.8574.8472.2672.0264.0563.4570.7466.7559.9167.5769.1266.5065.3368.2969.6069.7964.7563.3661.8459.9459.7261.1356.7357.1152.7451.9756.7254.7645.31
21.079.9423.6213.1018.659.6539.5013.6221.3411.3319.6820.4423.5314.0723.3917.1325.8017.6224.9819.1525.7716.6922.3722.2824.8215.8022.4419.7228.4617.6225.1525.2227.5118.4320.3414.7424.1116.9320.088.8424.1615.6318.0816.6324.5413.7016.5215.5824.7517.1418.2315.7520.8313.3018.6915.7419.0214.2214.2112.9219.6313.0812.24
21.079.9423.6213.1018.659.6539.5013.6221.3411.3319.6820.4423.5314.0723.3917.1325.8017.6224.9819.1525.7716.6922.3722.2824.8215.8022.4419.7228.4617.6225.1525.2227.5118.4320.3414.7424.1116.9320.088.8424.1615.6318.0816.6324.5413.7016.5215.5824.7517.1418.2315.7520.8313.3018.6915.7419.0214.2214.2112.9219.6313.0812.24
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17.625.9621.1211.7617.308.6638.008.4618.707.9417.415.3316.503.6013.54-1.5218.637.7613.8212.4018.407.2215.7413.6318.338.3816.2012.7722.6410.5219.0511.1523.7312.7415.028.5719.6611.4815.743.2520.5010.7914.7511.7920.498.417.8210.5520.3911.5513.4510.8716.848.3914.4211.1515.059.6810.148.4015.318.198.09
14.376.2716.829.7013.587.6832.554.7114.727.4714.836.5614.895.5511.401.4514.796.9911.609.9614.065.5412.0711.2213.076.9712.7217.0614.236.6512.027.6114.548.309.826.5012.437.8610.232.9312.867.289.538.1613.326.106.037.1412.807.729.006.5910.555.519.297.429.446.076.536.179.635.275.26
0.060.050.060.050.060.050.070.060.060.050.060.050.060.050.060.050.060.050.050.050.060.050.060.050.070.050.070.060.070.050.070.060.070.060.070.060.080.060.080.060.080.070.090.070.080.070.080.070.090.070.080.070.100.080.090.090.100.090.100.100.100.080.10
1.771.422.271.661.981.413.152.321.831.982.661.551.671.602.441.691.651.431.901.691.711.482.802.032.211.952.841.851.801.672.581.732.712.092.691.952.832.433.922.782.893.015.012.562.922.944.092.792.942.483.343.003.693.875.513.514.413.955.404.433.793.615.60
1.461.211.471.201.571.361.771.701.711.441.501.521.641.511.661.481.911.602.122.052.351.952.161.842.031.942.232.212.402.202.251.962.462.302.161.782.362.082.271.822.291.992.131.922.281.852.032.002.242.202.342.042.462.082.222.142.232.032.202.302.772.602.65
61.4574.3861.3474.7957.3966.0650.9852.8452.6062.5759.8159.4054.8859.6254.3160.9647.1756.3742.5043.9238.3346.0541.6248.8644.4146.3440.3440.7037.5040.9839.9345.8636.5639.0741.6950.6038.0643.2239.6549.5739.2445.1442.1946.7939.5248.5844.3844.9840.1840.9938.5444.0336.5643.2740.5542.0340.4044.2440.9239.1932.4834.5833.92
2.690.943.331.582.501.096.860.832.951.232.690.912.300.592.180.252.681.102.121.722.771.002.541.972.741.202.733.273.021.212.671.443.481.662.351.353.281.712.900.663.431.702.911.913.811.451.611.743.721.852.431.703.371.492.802.123.321.792.211.993.411.571.88
2.740.963.401.612.541.117.000.843.201.342.931.002.520.652.410.282.991.232.381.933.121.132.882.242.841.252.833.403.141.252.781.503.591.722.431.393.391.773.000.683.551.763.011.983.951.501.681.813.861.922.521.733.441.522.852.173.391.832.262.033.481.601.92
0.860.301.080.500.820.352.280.250.940.390.870.290.750.190.670.080.840.340.660.540.900.320.810.610.880.380.881.050.930.360.800.431.050.490.680.390.950.490.840.191.070.530.890.581.110.410.460.501.110.530.710.491.060.470.870.651.000.540.660.600.990.450.53
1.300.451.650.781.260.553.450.421.430.591.280.431.110.281.050.121.320.541.030.851.410.511.290.961.390.611.411.671.540.601.320.711.770.841.220.701.740.891.510.341.840.901.521.032.050.770.860.942.031.001.300.891.750.761.421.071.640.881.121.001.740.780.92
63.2969.1069.2861.3367.7767.1166.3862.9263.1862.3062.3161.4461.5660.7760.4559.7660.1659.3059.3858.7558.6957.8257.5756.5155.2054.3654.3853.7552.6551.2351.4450.7350.6249.6748.7148.3748.3547.4647.3546.6147.1646.1946.0645.4145.1044.0444.0644.0143.9142.9442.8143.1943.2642.5142.5342.0042.0440.8840.8140.5640.2836.2436.28
6.635.511.656.173.413.350.2611.067.365.501.337.824.834.020.846.554.083.521.239.515.884.671.438.645.123.330.4610.907.205.131.4611.467.645.431.7811.137.475.051.909.635.964.280.768.674.212.94-0.298.835.564.241.3710.667.345.401.238.333.422.800.008.935.325.242.35
-4.50-2.01-2.223.444.567.657.72-1.60-1.92-0.39-1.32-2.62-2.55-2.26-2.35-6.02-4.79-2.23-1.65-1.38-2.35-0.79-1.21-3.38-3.96-2.54-2.39-0.94-1.16-0.53-1.37-0.58-0.18-0.46-1.130.01-0.550.10-0.281.03-0.79-0.10-1.30-0.69-2.57-1.60-2.581.210.010.30-0.413.411.961.72-0.320.76-2.07-0.78-1.640.38-0.671.160.42