ENGIE BRASL EGA Financial Ratios for Analysis 2009-2025 | EGIEY

Fifteen years of historical annual and quarterly financial ratios and margins for ENGIE BRASL EGA (EGIEY).

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
2024202320222021202020192018201720162015201420132012201120102009
0.991.461.251.471.441.131.090.661.861.461.681.071.171.030.841.27
0.640.650.660.680.660.630.590.350.300.280.390.350.360.370.400.45
1.972.112.132.542.172.111.540.990.470.640.720.650.650.670.880.93
54.4354.9646.9447.1444.5742.3444.5642.8840.6741.6038.5947.7156.6268.2569.0958.15
61.5750.7643.8844.4342.2643.0342.1540.1437.6338.4535.5442.8651.8552.8650.5952.32
61.5750.7643.8844.4342.2643.0342.1540.1437.6338.4535.5442.8651.8552.8650.5952.32
71.1259.3652.1952.7549.7351.8349.6649.4047.4247.6744.6953.3263.2864.4461.8462.04
50.8640.9127.5914.5130.0831.5033.7537.4232.0831.2230.2335.9542.7547.0342.7345.70
38.1531.9122.3712.4722.8223.5626.3228.5824.0223.0421.3725.8030.5333.4730.3032.44
0.220.250.310.330.350.330.370.360.450.430.480.440.400.350.320.36
---43.8635.8825.5838.8040.7536.2242.7956.5844.9646.9832.0827.5432.78
6.746.298.999.206.466.026.496.537.687.879.087.317.897.987.728.03
54.1757.9940.6039.6556.4660.6456.2455.9347.5246.3940.2249.9546.2845.7347.2845.44
35.0434.9331.5719.7336.1333.0236.6329.3323.4122.6024.4524.0427.4526.5724.2633.33
59.8359.9061.8940.1853.5140.5346.2436.2824.3423.4625.3324.6228.0127.0524.7334.40
8.598.126.984.117.957.679.7610.2410.749.8110.1510.1912.2311.719.5812.71
12.7312.2710.786.3412.3312.2215.0619.0616.4716.3614.9415.7417.7016.6814.5518.18
2.792.412.001.801.842.172.122.622.322.49------
0.941.130.790.450.321.121.060.130.890.960.881.321.491.511.180.88
-0.590.490.430.170.080.76-0.05-0.600.480.690.701.021.301.260.970.69

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-06-302019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.991.021.191.511.461.091.281.191.251.261.401.391.471.461.531.791.471.131.351.071.171.091.361.130.630.661.231.892.301.861.591.741.681.462.091.831.891.681.071.031.291.070.991.241.101.170.891.170.921.030.941.020.980.840.770.911.161.270.890.990.59
0.640.640.620.630.650.630.640.620.660.670.690.670.680.680.660.670.640.630.620.630.570.590.570.460.330.350.310.290.290.300.310.260.270.280.360.360.360.390.340.360.350.350.350.330.360.360.350.350.380.370.390.360.390.400.440.330.420.450.420.420.39
1.971.991.811.852.111.971.941.902.132.322.602.462.542.442.252.272.292.111.841.891.421.541.451.060.920.990.490.450.460.470.640.530.550.640.670.700.710.720.590.640.630.650.650.610.680.650.650.610.690.670.720.660.850.881.010.730.820.930.850.840.96
47.7851.3960.4058.0650.9652.4758.6757.6945.5239.6151.8149.8669.5541.2339.0543.1941.1037.8042.9742.8546.2140.9936.3852.0849.5143.6735.5843.7048.5435.8543.2241.1642.8345.1140.8431.5642.4846.9652.8921.4233.9537.9448.0754.3355.8041.4159.5857.4565.5264.2169.7268.6267.0110458.4654.2955.0054.9055.2852.9252.71
38.6247.3254.2910647.9148.3852.0654.5442.0335.5749.2647.5565.8538.5736.6141.0138.6135.0253.5040.2143.6838.1434.5349.6946.9540.7433.0440.9645.8232.7440.4937.8239.8556.2137.7328.2539.7542.6050.12-27.5337.0122.7348.5439.2652.4650.8554.9653.5050.4856.8146.5152.9757.6047.9753.5250.3350.3153.9058.0859.9450.21
38.6247.3254.2910647.9148.3852.0654.5442.0335.5749.2647.5565.8538.5736.6141.0138.6135.0253.5040.2143.6838.1434.5349.6946.9540.7433.0440.9645.8232.7440.4937.8239.8556.2137.7328.2539.7542.6050.12-27.5337.0122.7348.5439.2652.4650.8554.9653.5050.4856.8146.5152.9757.6047.9753.5250.3350.3153.9058.0859.9450.21
-------------------------------------------------------------
33.5135.2842.0691.7742.0745.7037.7938.3234.9533.9815.8726.69-3.6824.7711.9920.7738.3523.5042.4925.6434.3130.9426.2739.9838.4637.8929.9940.5241.2929.5136.3930.3631.8537.6531.2419.7531.4136.7945.8212.5624.4719.3740.6242.0145.3438.0345.1743.0142.8746.7346.1649.6743.1343.4645.3041.9739.8546.1944.6341.1336.63
30.1225.8231.1064.5434.8334.5028.0730.2629.3426.7213.1621.05-1.9918.8513.6016.2728.5022.0529.7717.6924.1732.7419.0927.6026.1834.1921.6429.2028.0628.0624.7620.9321.6635.0921.1813.5421.2927.8830.997.7417.5919.2428.3425.4330.5434.2230.2328.8228.5741.0628.8833.9230.0333.7129.9228.1526.3037.2632.2331.5124.50
0.060.050.060.060.070.060.060.070.080.070.080.080.070.090.080.090.080.090.090.080.100.090.110.110.100.100.110.110.110.120.100.110.110.110.110.110.110.120.140.080.140.110.120.090.110.100.110.100.090.090.080.090.080.090.090.100.100.110.110.110.11
------17.2720.42-28.878.3310.095.3112.8710.389.825.997.546.245.726.5310.3616.577.686.8311.6510.098.957.4910.439.428.869.257.8311.2911.8011.8812.3011.0915.9115.2714.0311.2210.4811.3615.0812.6310.848.077.348.527.685.79-0.6010.1310.5410.7010.447.607.326.87
1.811.802.091.941.611.972.172.422.291.982.052.121.942.282.262.001.641.641.541.511.601.632.171.691.481.892.072.161.952.051.942.021.952.071.502.081.322.231.401.071.641.751.811.701.782.031.922.111.942.022.012.022.122.121.972.122.042.362.162.312.02
49.7150.0343.0146.4855.9745.6941.5337.2639.3245.5443.8142.4146.4739.5339.8445.0054.8954.7458.4259.7256.0955.2641.4553.2660.7647.5543.4341.6946.1243.9846.3444.6246.1443.5859.9743.2568.3040.3264.1884.0754.8851.3549.6752.8150.6644.2346.8342.6046.4544.5144.8744.5042.4942.4945.7242.4044.1638.1141.7438.8844.54
7.565.577.2214.299.749.237.889.5410.549.124.987.710.728.103.916.5410.308.449.815.368.2111.457.188.086.6810.195.466.876.387.306.034.805.069.035.473.415.637.859.921.405.424.797.855.157.947.947.396.146.268.265.896.436.027.487.646.536.3310.418.588.176.87
12.9210.0412.8326.0016.7016.8114.6217.1020.6719.0410.7214.871.4712.905.679.5613.1210.3611.826.5310.1214.458.979.828.1212.605.697.126.627.596.274.995.259.375.663.535.828.1310.531.495.684.918.055.278.108.107.536.246.388.416.006.546.137.627.826.686.5210.748.888.457.12
1.851.361.883.712.262.201.822.232.331.850.991.630.151.650.841.472.381.962.661.402.413.052.092.912.583.562.353.323.053.352.542.272.333.922.371.472.443.264.370.592.382.033.432.403.503.543.372.952.693.642.422.942.492.952.782.882.613.973.493.422.77
2.752.022.755.363.423.392.873.593.603.041.532.510.232.561.322.173.683.123.732.003.534.713.104.404.476.623.784.894.515.134.153.543.716.533.492.183.594.806.580.893.523.145.133.455.115.124.793.993.905.183.604.093.704.484.324.353.665.684.954.714.18
2.792.612.832.922.412.362.302.182.001.881.97-1.80----2.17---2.122.062.49-2.62-2.73-2.32-------------------------------
0.940.730.510.221.130.840.600.300.790.550.390.200.450.300.250.140.321.120.820.530.311.060.780.560.260.130.780.550.290.890.690.360.220.960.670.380.190.880.000.230.181.320.930.600.171.490.970.560.161.511.141.120.221.184.610.420.700.880.580.27-0.08
-0.59-0.37-0.24-0.070.490.440.380.210.430.330.270.200.170.120.120.080.220.760.520.240.10-0.050.060.560.09-0.600.240.210.140.480.420.220.150.690.470.250.110.70-0.140.141.020.700.450.091.300.820.450.101.260.950.980.150.973.620.350.490.690.430.17-0.12