Edison Financial Ratios for Analysis 2009-2024 | EIX

Fifteen years of historical annual and quarterly financial ratios and margins for Edison (EIX).

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
0.790.680.640.490.640.620.530.360.540.650.680.711.031.121.17
0.630.610.580.550.540.540.460.420.450.440.460.450.440.520.49
1.901.811.551.451.221.221.050.880.890.930.910.840.841.090.99
66.4262.9862.8363.6860.8157.2960.4561.8662.9858.3061.1265.1168.3067.0665.47
16.088.619.918.9614.38-4.3611.8217.3717.4218.4313.6319.2619.4718.2011.31
16.088.619.918.9614.38-4.3611.8217.3717.4218.4313.6319.2619.4718.2011.31
34.0425.1526.7026.3830.2110.9728.9935.0534.8231.9627.1133.0432.9432.0023.75
9.273.845.294.179.13-8.607.7013.4013.6114.759.7115.6915.7514.806.91
7.333.555.095.4410.40-3.344.5911.058.8512.027.27-1.54-0.3512.576.87
0.200.220.200.200.190.220.230.230.230.270.270.270.220.220.30
10.4113.4513.1912.1813.2919.1720.1418.9415.9819.9019.1112.179.595.808.01
8.1010.1610.667.3913.6313.7413.0916.6014.9516.9815.0115.5713.7910.7412.15
45.0435.9334.2349.4126.7826.5627.8821.9924.4221.5024.3123.4526.4834.0030.03
8.655.305.855.469.07-2.774.829.968.0811.839.8516.9010.9410.819.43
7.844.705.205.469.07-2.774.829.968.0811.838.3714.249.929.958.65
1.721.061.241.262.18-0.621.272.752.153.092.103.592.292.512.30
2.921.852.202.454.21-1.282.625.804.466.624.557.815.524.794.44
46.7445.8446.7742.0942.8138.8342.5643.5441.0939.8535.8834.3534.0335.2833.78
8.838.400.033.38-0.909.7510.979.8613.719.879.0210.1011.8710.579.31
-5.32-6.69-14.46-11.29-15.20-4.09-0.75-1.500.86-2.00-1.37-2.12-0.66-0.923.62

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
0.881.031.000.790.800.840.860.680.600.610.630.640.670.630.560.490.680.810.790.640.780.690.740.620.720.660.640.530.510.550.460.360.490.520.570.540.720.810.830.650.770.790.770.680.670.620.620.711.051.051.281.031.141.121.171.121.301.071.311.171.161.451.16
0.640.650.650.630.630.620.630.610.590.590.590.580.580.570.540.550.550.540.550.540.530.550.550.540.510.500.490.460.440.440.450.420.430.440.450.450.450.460.460.440.440.440.450.460.450.440.440.450.530.530.550.440.520.520.520.520.510.500.500.490.490.510.51
1.962.032.011.901.911.891.901.811.751.661.601.551.621.511.371.451.391.261.371.221.211.361.311.221.041.051.001.050.900.870.910.880.860.900.870.890.910.970.960.930.960.970.920.910.980.940.890.841.221.221.250.841.131.141.101.091.061.051.030.991.061.111.21
63.5171.5475.2872.1357.7271.0666.7761.4352.4767.4773.8765.3060.6061.3065.7864.5660.8764.2566.7466.6354.3459.6464.4164.7145.9860.5063.8864.8851.4460.3768.1767.0754.3761.6967.4673.6452.5662.9368.7166.9749.9158.9260.9463.5454.3462.0267.5971.6054.6166.7271.3585.1159.8169.6672.4788.1361.8368.4167.8667.4960.7567.8567.03
19.1320.766.0121.3410.4618.2615.6319.02-0.8412.576.5318.64-2.4217.6513.4825.15-8.1616.7410.829.6617.0017.7812.46-67.8317.3114.9212.87-1.1815.0615.8519.1218.6518.4513.7218.3614.4416.1618.0221.4222.2220.0619.0711.3117.1619.92-2.3318.6924.9319.0915.8316.1144.5620.5412.7416.1816.4422.7612.8117.7214.4520.96-12.8419.67
19.1320.766.0121.3410.4618.2615.6319.02-0.8412.576.5318.64-2.4217.6513.4825.15-8.1616.7410.829.6617.0017.7812.46-67.8317.3114.9212.87-1.1815.0615.8519.1218.6518.4513.7218.3614.4416.1618.0221.4222.2220.0619.0711.3117.1619.92-2.3318.6924.9319.0915.8316.1144.5620.5412.7416.1816.4422.7612.8117.7214.4520.96-12.8419.67
---------------------------------------------------------------
12.4013.10-1.5013.174.0211.609.5313.52-4.997.462.0412.97-6.1512.948.5819.07-11.1311.784.623.6012.8312.236.94-73.6514.6910.278.23-5.2811.7611.3014.2914.8015.169.3313.6510.4712.9414.1716.8818.1117.0815.457.0112.1016.79-6.0414.5921.4716.3411.5711.8847.4517.228.5110.1014.0020.438.0313.999.8318.45-18.0013.80
9.9210.12-0.2710.203.308.937.8210.33-2.456.012.1215.70-6.449.598.7516.66-6.2010.656.564.8112.5913.949.84-47.5212.029.808.50-16.9312.809.3814.7011.4011.1810.0811.52-3.3711.1913.0311.9013.4811.0217.776.0210.1911.06-3.0910.30-17.655.092.793.85-83.8211.155.907.1925.2713.4612.558.406.9511.00-0.568.89
0.060.050.050.050.060.050.050.050.070.050.050.040.070.050.040.050.070.040.040.050.060.050.050.050.080.050.050.060.070.060.050.060.070.050.050.050.070.060.050.060.090.060.060.060.080.070.060.070.070.050.050.020.080.060.060.010.080.060.070.070.090.070.06
3.562.311.941.963.942.242.643.275.662.982.392.755.073.162.442.764.702.802.562.724.913.433.223.778.844.413.754.677.795.003.313.975.553.452.962.316.613.912.713.667.934.474.264.196.654.332.432.563.341.561.200.432.591.541.310.142.641.561.731.861.871.671.69
1.872.152.161.841.992.312.732.372.312.593.022.383.292.521.751.722.012.863.013.283.053.053.113.273.532.953.373.423.323.563.584.043.773.473.763.043.113.793.343.943.582.924.043.513.373.743.304.023.203.073.211.303.142.933.560.713.523.113.333.003.163.003.05
48.1141.9341.7148.9645.2338.9832.9337.9938.8934.7429.7637.7727.3835.6751.5752.4044.8531.4629.8727.4529.4929.5128.9427.5525.5330.5026.6826.3027.0825.2925.1422.3123.8725.9623.9429.6428.9623.7726.9422.8325.1730.8622.3025.6326.6824.0827.2522.4128.1329.3128.0669.0528.6830.7125.3012825.5428.8927.0030.0028.4430.0429.48
3.513.140.332.591.362.602.343.02-0.481.860.873.61-1.922.251.813.46-1.552.121.371.123.273.272.42-11.333.812.131.74-3.853.432.092.752.453.222.252.24-0.352.973.042.433.134.883.682.242.895.04-0.882.998.583.722.031.922.643.871.792.020.174.953.492.412.264.400.142.65
3.192.850.302.351.212.312.082.68-0.431.650.773.21-1.772.091.683.46-1.552.121.371.123.273.272.42-11.333.812.131.74-3.853.432.092.752.453.222.252.24-0.352.973.042.433.134.113.081.872.454.27-0.742.537.233.181.731.692.403.541.631.840.164.563.212.212.074.030.132.43
0.680.600.060.510.260.510.460.60-0.100.390.180.76-0.410.510.410.80-0.350.520.320.270.780.710.52-2.531.020.560.47-1.020.930.590.760.680.870.610.60-0.090.790.790.630.821.060.780.470.621.05-0.180.631.820.760.420.400.550.890.410.470.041.160.830.570.551.040.030.60
1.141.000.100.870.450.870.781.06-0.170.680.321.36-0.740.900.781.55-0.700.980.610.521.551.471.08-5.261.881.070.89-2.091.911.171.511.421.851.261.23-0.191.651.651.311.752.291.711.031.332.36-0.411.423.961.480.810.761.341.700.780.890.082.231.601.101.062.070.061.20
46.7746.2845.7846.7445.8146.1745.8645.8445.2846.3446.2946.7744.0745.6045.3942.0941.3443.4842.7642.8142.8239.6339.0438.8343.8642.8842.6342.5644.8445.4343.7143.5442.9942.2041.8441.0941.8040.9740.2039.8539.1638.0736.8435.8835.1234.0934.7134.3536.8936.6635.6334.0336.9736.0935.9435.2835.4434.0533.7133.7833.7833.0633.61
9.863.542.718.836.611.85-0.238.405.513.232.070.03-1.09-3.620.193.382.831.660.87-0.90-2.341.830.649.756.953.722.6310.978.234.372.699.867.584.342.6013.718.645.392.939.876.161.851.729.026.313.871.5410.106.563.472.0611.878.583.712.1910.578.382.941.839.316.422.702.10
-0.94-3.42-0.61-5.32-3.75-5.19-3.68-6.69-5.47-3.84-1.09-14.46-11.48-10.44-3.38-11.29-7.48-5.02-2.62-15.20-12.36-5.01-2.64-4.09-2.97-2.88-0.85-0.750.07-0.98-0.18-1.50-0.82-1.20-0.290.86-0.92-1.31-0.92-2.00-2.52-3.79-1.14-1.37-2.11-1.76-1.44-2.12-2.88-2.89-1.56-0.66-2.00-3.14-1.27-0.92-1.16-3.39-1.073.62-0.53-2.01-0.30