Eastman Chemical Financial Ratios for Analysis 2009-2024 | EMN

Fifteen years of historical annual and quarterly financial ratios and margins for Eastman Chemical (EMN).

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
1.351.161.561.741.861.821.591.601.401.571.931.982.071.912.17
0.440.430.430.460.480.500.530.580.620.670.520.610.430.500.51
0.880.980.890.920.961.051.191.431.742.101.101.580.840.991.06
22.3820.2023.8623.3124.0924.4224.7526.1726.7423.3129.6921.7521.8624.9723.48
11.0411.3017.338.7512.0815.2916.0215.4214.3412.2019.919.8713.0514.457.85
11.0411.3017.338.7512.0815.2916.0215.4214.3412.2019.919.8713.0514.457.85
16.4515.8122.4715.5218.6721.2422.1721.8620.2616.9224.5514.3216.8619.2414.08
11.809.2310.336.269.7312.9113.5011.6511.7010.3917.968.0112.2710.615.78
9.717.508.185.648.1910.6414.499.488.797.8812.465.399.007.273.09
0.630.720.680.530.580.630.600.580.620.590.790.691.160.980.80
4.254.465.304.714.244.854.764.744.784.845.205.037.207.216.34
7.988.296.635.596.746.846.897.449.297.948.598.1310.208.6411.60
45.7344.0655.0565.2654.1253.3252.9849.0739.2745.9742.4744.9235.8042.2431.47
16.2015.2014.988.0112.6318.4425.3318.6421.2421.0330.2514.6331.9325.6910.18
120220110-328.19-185.85-140.05-97.75-36.84-27.14-19.86-215.84-30.2443.5433.3912.85
6.125.435.593.044.766.788.685.565.484.709.893.789.826.982.79
9.118.608.504.306.549.1811.947.878.066.9714.425.6718.1412.964.94
47.1544.0944.9044.9744.3742.0738.3431.4727.2124.1625.4219.6813.8811.5110.45
11.517.8111.8110.6610.8610.8011.349.3310.849.488.297.574.373.895.16
4.532.817.597.767.757.147.005.396.525.655.204.411.112.203.20

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
1.521.401.391.351.361.321.341.161.281.271.571.561.572.061.881.741.981.881.661.861.651.581.511.821.691.691.721.591.832.041.931.601.311.341.551.401.771.741.791.572.072.342.341.932.092.172.121.981.835.152.272.071.962.102.311.912.242.152.162.171.911.961.69
0.450.430.440.440.460.460.470.430.420.430.420.430.420.460.450.460.470.470.470.480.480.490.490.500.500.510.530.530.550.580.580.580.570.580.610.620.640.650.670.670.530.550.550.520.550.580.600.610.620.640.420.430.430.430.470.500.470.490.510.510.470.480.49
0.880.880.910.880.961.021.070.980.930.920.900.890.880.920.870.920.951.011.020.961.021.071.091.051.111.161.231.191.311.411.461.431.461.531.651.741.841.902.172.101.151.211.221.101.211.391.501.581.661.810.790.840.840.840.880.990.890.961.021.060.880.920.95
24.5525.3523.0321.0221.3525.1321.9315.8419.9724.0720.2720.7524.3425.6724.8224.0623.6119.2825.7522.5424.6924.9324.1219.6128.5826.8622.2919.3527.2226.0426.2722.7127.1526.3428.3522.8828.4028.4226.8514.1826.3626.7125.8135.0629.4727.7526.7014.9823.2425.9623.6711.8423.9025.1526.0522.9728.0025.5723.1439.1424.5320.7515.85
13.4715.3611.956.8911.7314.7210.664.9712.0715.5511.7220.9015.8116.5115.983.4811.452.8116.422.9515.7915.6613.367.7920.5318.3513.9210.6718.6617.4017.2411.7915.5716.3717.847.7317.6518.5212.731.1514.0117.7215.6624.8120.4917.5417.04-2.0311.6417.1114.501.1014.9617.6717.869.7717.6516.3813.80-0.3014.2910.452.21
13.4715.3611.956.8911.7314.7210.664.9712.0715.5511.7220.9015.8116.5115.983.4811.452.8116.422.9515.7915.6613.367.7920.5318.3513.9210.6718.6617.4017.2411.7915.5716.3717.847.7317.6518.5212.731.1514.0117.7215.6624.8120.4917.5417.04-2.0311.6417.1114.501.1014.9617.6717.869.7717.6516.3813.80-0.3014.2910.452.21
---------------------------------------------------------------
11.3612.159.2619.268.7811.578.041.1810.3713.6910.5719.6411.80-4.0314.071.148.95-0.0514.100.4113.4613.3711.092.9918.0216.4113.437.8716.3514.8414.815.1612.6414.1114.455.2614.4315.9110.48-1.2312.3516.2213.9722.8718.5615.6614.95-3.979.7814.5213.450.3514.0216.9817.120.3416.1914.2511.46-3.5512.728.460.18
7.319.737.1414.057.8511.705.560.0411.119.208.6614.0312.90-5.5011.371.467.591.4011.511.1811.4410.928.781.4316.1813.1211.1220.7913.1012.0712.075.3010.1411.1011.235.5710.4611.737.000.688.7011.8710.1115.2813.1710.8210.71-2.496.829.668.680.709.6011.6713.650.4111.289.857.37-4.737.555.190.18
0.160.160.160.150.160.160.160.160.180.190.170.170.170.160.150.140.130.120.140.140.140.150.150.150.160.160.160.150.150.150.150.140.150.150.140.140.150.160.150.150.200.200.190.190.200.210.200.190.190.220.290.280.290.310.290.240.250.260.240.120.240.230.22
0.980.931.011.041.040.890.971.051.101.161.301.421.261.311.201.201.211.091.001.031.031.031.061.211.121.251.371.261.141.161.141.201.131.171.071.161.181.261.241.341.311.331.241.161.291.371.301.461.371.771.811.951.621.891.931.851.661.761.790.782.042.241.69
1.851.781.811.911.971.931.801.861.701.701.651.711.591.521.441.441.461.451.561.601.581.561.501.601.441.541.491.701.731.681.641.811.971.952.022.142.182.132.011.962.142.011.982.082.041.991.972.182.112.312.252.452.252.131.982.161.961.861.771.793.482.593.20
48.6550.6249.6447.0645.6246.6749.8948.4352.9652.8654.6552.7856.4859.0362.3562.3761.6762.0357.6756.1256.9057.8259.8256.1762.6158.6260.3852.8152.0353.4654.9149.8145.7746.1244.5241.9941.1942.2144.8045.9842.0044.8545.5743.2344.1945.2245.7241.3742.7138.9539.9336.7740.0342.2145.4641.5945.8148.4850.8550.3825.8534.6928.14
3.164.052.945.623.305.082.550.045.514.753.956.575.70-2.394.380.562.680.494.200.454.384.363.530.606.895.995.168.966.356.015.902.565.165.775.863.116.527.784.880.475.337.386.159.018.427.897.78-1.725.228.387.900.689.1111.4811.060.618.958.416.69-0.936.144.130.13
18.0823.7719.3241.6928.2857.2637.640.5548.7851.8123.3948.4146.83-24.62210-22.82-185.39-20.83-139.04-6.59-66.58-41.24-30.38-4.52-55.44-33.99-22.85-34.58-17.75-14.34-12.73-5.06-9.32-9.69-8.72-3.97-7.95-8.78-4.63-0.45-38.90-46.87-41.34-64.27-40.34-24.93-19.243.55-12.6710.359.890.9311.6114.3313.970.8011.3110.848.37-1.177.665.200.17
1.201.551.122.131.231.840.890.012.011.731.492.452.18-0.891.710.211.030.191.580.171.651.591.280.222.522.131.773.072.021.841.770.761.501.651.610.801.621.881.090.111.752.391.962.952.632.262.12-0.441.352.082.580.212.813.583.350.172.712.431.86-0.251.821.210.04
1.752.301.663.161.792.741.350.023.192.732.283.733.32-1.282.400.301.420.262.240.232.292.241.810.303.472.932.434.222.842.542.471.082.232.442.311.182.352.741.590.162.483.342.774.293.823.303.11-0.671.992.994.610.395.196.535.890.314.754.303.31-0.453.272.160.07
49.4448.7947.6947.1545.7745.1644.1844.0945.5844.0546.3944.9046.1944.3946.3744.9745.4645.0745.5844.3744.8543.4242.7342.0742.8240.8839.4238.3435.4933.7632.4331.4730.7830.1628.9927.2126.6325.8723.7024.1626.8026.5625.3525.4223.8421.8820.6019.6819.6315.3614.6913.8813.8913.5912.7911.5112.5611.6210.8510.4511.3310.8510.49
6.342.96-0.1411.517.753.41-0.027.814.242.070.1311.818.684.721.5710.667.704.461.2510.866.053.00-0.0410.805.642.83-0.2411.346.953.300.359.336.713.660.3410.847.014.550.619.486.312.57-0.208.295.082.340.037.574.402.370.144.371.920.42-1.013.892.03-0.13-1.535.164.542.310.56
2.740.40-1.714.532.26-0.08-1.492.810.820.06-0.757.596.253.180.867.765.662.990.517.753.811.57-0.797.142.961.14-1.137.003.941.40-0.545.394.182.36-0.366.524.192.80-0.205.653.690.97-1.005.203.111.17-0.534.412.521.10-0.471.11-0.47-1.032.572.201.08-0.67-1.733.202.851.05-0.21