Electrolux AB Financial Ratios for Analysis 2009-2024 | ELUXY

Fifteen years of historical annual and quarterly financial ratios and margins for Electrolux AB (ELUXY).

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
0.920.980.881.080.980.940.981.051.001.041.071.101.151.311.34
0.720.640.350.430.270.220.240.310.360.370.450.340.320.290.35
3.212.260.850.830.510.470.450.550.850.881.030.650.670.560.72
12.7413.1319.0919.2116.6418.7120.9320.8719.1119.3119.4820.2318.4622.2220.30
-2.22-0.165.414.982.684.286.075.182.224.263.724.713.116.114.88
-2.22-0.165.414.982.684.286.075.182.224.263.724.713.116.114.88
2.453.848.998.946.977.629.338.435.417.546.797.676.239.248.03
-3.80-1.244.984.392.063.945.714.611.702.670.833.162.744.993.19
-3.89-0.983.725.682.113.074.713.711.272.000.622.362.033.762.39
1.121.061.171.161.111.281.361.411.481.311.441.441.331.451.50
5.884.814.967.096.126.026.607.147.056.327.236.776.937.438.65
5.745.945.225.565.475.595.616.026.695.435.616.015.285.505.41
63.6061.4269.9365.5966.7565.3465.1160.6154.6067.2565.0160.6969.0766.4167.47
-46.36-8.0225.1421.318.0617.5027.8925.3310.4517.3019.6617.7110.0125.8320.51
766-31.8559.0645.0115.5739.6862.2645.4624.4839.3551.8738.1421.7735.4028.48
-4.35-1.044.354.001.703.916.415.231.883.323.704.612.707.245.31
-13.04-2.9216.2312.155.9113.6221.1317.496.7210.9610.7211.776.8218.3413.29
7.5111.5214.0513.2015.4616.2115.6413.4211.53------
2.77-1.625.719.046.186.408.148.226.797.944.767.375.857.467.68
-1.17-6.890.825.001.101.924.345.483.804.890.982.082.423.945.28

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.930.921.020.960.960.980.890.920.880.880.930.991.001.081.091.031.000.980.940.930.940.940.960.951.010.980.990.980.961.051.051.021.021.001.020.991.011.041.021.001.041.071.081.091.071.101.081.121.121.151.301.341.261.311.351.311.321.341.381.341.35
0.740.720.660.620.640.640.470.460.440.350.370.320.370.430.420.460.410.270.260.260.220.220.260.270.260.240.270.300.290.310.350.380.370.360.350.340.380.370.380.440.490.450.440.430.430.340.320.350.360.320.360.360.310.290.320.320.340.350.370.380.41
3.533.212.382.132.332.261.371.291.130.850.880.700.780.830.851.150.910.510.530.550.500.470.490.510.450.450.530.580.580.550.640.720.900.850.821.660.900.880.921.081.181.030.910.991.140.650.710.730.860.670.690.650.550.560.580.590.680.720.780.820.87
12.748.5314.2215.4613.129.0012.6513.7717.2417.4717.9419.9421.2722.2022.5714.2714.9613.0416.4220.1016.1719.2419.0918.9117.5320.5920.8521.5320.7820.3621.3921.1720.5219.6319.6618.5418.5221.7620.4220.3918.8719.7318.7319.6119.7121.4820.7618.0118.6618.2518.4619.3017.8620.3921.2021.3922.1622.0021.8819.4216.91
-2.31-8.981.82-0.38-0.79-6.24-1.101.665.232.345.306.547.926.7610.06-0.270.460.563.665.110.835.905.762.642.746.036.696.165.325.025.925.224.512.474.823.99-2.93-7.541.451.041.254.327.213.74-0.1310.497.734.043.632.334.28-2.558.3312.0114.837.955.467.098.093.740.40
-2.31-8.981.82-0.38-0.79-6.24-1.101.665.232.345.306.547.926.7610.06-0.270.460.563.665.110.835.905.762.642.746.036.696.165.325.025.925.224.512.474.823.99-2.93-7.541.451.041.254.327.213.74-0.1310.497.734.043.632.334.28-2.558.3312.0114.837.955.467.098.093.740.40
-------------------------------------------------------------
-4.12-10.590.22-1.93-2.35-7.71-2.230.794.391.824.896.157.506.289.55-1.07-0.18-0.313.114.550.305.515.372.392.415.826.395.564.963.825.594.834.14-1.614.352.571.624.934.50-0.472.28-4.553.133.101.971.474.493.583.061.094.363.042.563.236.654.524.812.288.133.39-1.90
-3.96-11.520.37-1.98-1.80-5.98-1.720.763.151.583.704.565.365.377.36-0.609.442.312.273.570.274.723.821.651.975.874.864.153.753.984.113.603.11-1.183.241.941.173.093.24-0.351.68-3.422.412.321.431.003.622.742.160.783.222.321.952.465.253.763.622.355.912.39-1.34
0.250.300.260.260.270.270.270.270.270.320.280.290.280.350.320.240.260.230.310.310.290.340.330.340.310.370.330.360.340.350.360.360.350.390.370.380.320.300.340.330.340.380.380.360.320.410.360.350.330.360.330.310.360.420.400.370.350.420.370.360.35
1.271.631.181.101.161.270.980.980.951.391.191.261.332.081.771.411.341.321.361.321.311.601.341.441.371.801.441.651.451.801.591.471.451.771.611.671.511.661.491.461.531.911.631.591.461.771.541.621.671.881.621.571.632.041.691.691.782.361.951.801.65
1.311.521.411.341.381.501.461.431.321.431.421.411.331.691.611.411.411.131.471.381.341.491.511.491.341.531.441.581.441.511.621.631.611.761.641.631.381.261.501.461.401.491.521.441.371.711.561.531.421.421.401.321.391.601.491.361.251.521.331.311.26
68.4759.2663.7067.2265.3860.1161.6262.7968.0263.0363.5763.6167.8953.1155.7763.6763.9779.9161.0565.4567.2360.2859.7760.3567.2959.0062.3457.0362.6459.5455.6655.2056.0351.1154.9955.3765.3471.5160.0061.6864.4460.4259.0262.5265.4952.5257.5458.9863.4063.4264.3968.3964.7656.2460.2766.3371.9859.2667.6368.5571.40
-11.20-36.350.74-3.77-3.69-12.35-3.001.255.312.926.536.457.899.4411.86-0.83-0.47-0.553.465.360.357.215.622.572.539.477.757.546.486.828.057.756.26-2.566.393.822.094.875.89-0.683.42-6.914.444.042.431.585.173.772.961.024.002.732.653.697.605.364.993.839.333.82-2.13
1046013.08-15.02-16.21-48.99-7.852.9414.456.8516.0012.3616.5019.9224.37-2.07-1.11-1.079.3014.350.7716.3512.976.395.5821.1319.1921.5417.3312.2417.4919.0914.87-5.9914.378.715.3411.0814.09-2.0011.21-18.2412.9111.588.763.4111.308.336.912.236.523.873.775.0610.427.437.065.3113.035.45-3.11
-1.00-3.410.10-0.51-0.48-1.60-0.470.210.840.501.051.311.481.772.35-0.15-0.08-0.120.701.110.081.611.250.560.622.171.601.511.281.411.491.311.07-0.461.190.730.370.941.11-0.120.57-1.300.910.820.460.411.310.960.720.281.070.730.701.032.081.401.280.992.170.86-0.47
-2.88-10.230.25-1.42-1.34-4.49-1.600.682.991.884.134.394.995.386.86-0.45-0.27-0.412.563.970.275.614.151.881.887.175.635.284.584.715.244.833.94-1.654.162.531.293.093.63-0.381.74-3.772.502.311.371.053.522.471.900.702.541.751.832.625.203.643.282.485.872.36-1.27
7.827.5111.4411.5410.7711.5214.1715.2613.7714.0513.1117.7416.3513.2015.6012.2912.3715.4615.5415.5817.2916.2116.0915.0217.3715.6415.7213.7112.1213.4211.9710.9810.7111.5312.13--------------------------
-1.582.770.10-0.70-3.19-1.62-2.58-2.37-3.425.714.261.880.189.044.18-0.92-1.586.182.45-0.52-1.616.402.480.43-1.918.145.402.61-0.488.225.803.38-0.266.792.892.76-0.087.995.373.510.004.762.490.94-2.507.375.224.360.245.834.021.56-0.567.475.654.290.397.598.394.160.55
-2.28-1.17-2.41-2.37-3.99-6.89-5.98-4.57-4.440.821.610.14-0.505.001.58-2.53-2.411.10-0.55-2.31-2.451.920.00-1.02-2.594.343.111.38-1.045.484.082.81-0.783.802.281.40-0.714.923.052.33-0.530.980.00-1.20-3.722.072.312.53-0.432.421.34-0.08-1.223.953.413.000.135.227.023.16-0.02