Emerson Electric Financial Ratios for Analysis 2009-2024 | EMR

Fifteen years of historical annual and quarterly financial ratios and margins for Emerson Electric (EMR).

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
2.751.091.351.521.191.071.641.241.291.291.441.421.451.431.54
0.220.340.370.430.340.260.300.350.350.260.270.270.290.320.31
0.310.640.670.890.690.530.530.870.840.590.530.510.490.510.53
48.9745.6844.3141.7642.5442.6942.1343.1243.1343.7740.3440.0139.4639.5737.61
22.4322.7817.2918.0118.2818.1718.5019.2726.5420.2915.3115.3217.3816.6815.64
22.4322.7817.2918.0118.2818.1718.5019.2726.5420.2915.3115.3217.3816.6815.64
29.3628.8823.1823.1022.7522.5222.6723.1830.0623.5020.6420.8521.0420.5619.26
17.9817.6213.6313.9115.5615.3215.3015.9523.4317.9912.9612.7614.9913.6812.19
87.1723.4117.8111.7112.5512.669.9511.2616.6812.118.128.0610.2410.298.58
0.350.390.520.730.900.850.780.670.740.731.001.021.020.921.02
3.864.303.515.075.625.505.216.847.314.857.776.896.986.046.76
6.026.114.355.996.155.764.975.385.663.535.134.905.385.275.55
60.6059.7883.8660.9359.3063.3873.4667.8964.4710371.1474.5067.8469.2065.78
8.0011.5414.2723.5628.1424.7419.1021.2531.2522.0119.2819.3823.7320.4120.24
36.33-44.81-209.16-263.58-265.15-1,029.6310757.6875.98173134350-1,324.87-237.82364
4.985.285.738.7011.3610.918.557.4511.509.268.368.5010.498.898.92
6.227.669.0113.4718.5518.3413.3313.8720.4616.3013.9914.2216.8313.9713.87
46.5027.5916.6514.1313.5414.2913.6711.8512.4214.6015.1714.4214.2813.2211.58
1.104.905.945.084.844.552.974.453.745.245.054.164.294.354.07
0.474.405.274.203.893.582.233.762.874.324.113.253.433.663.37

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.161.181.122.752.381.191.101.091.061.682.041.351.311.261.201.521.321.011.141.191.181.070.881.071.231.301.321.641.592.502.141.241.231.211.181.291.281.181.181.291.271.301.411.441.511.531.401.421.351.381.391.451.471.481.481.431.371.421.391.541.551.37
0.210.220.220.220.220.320.330.340.340.440.460.370.380.390.400.430.410.340.320.340.330.310.240.260.270.280.290.300.320.320.330.350.340.340.350.350.330.270.260.260.250.270.260.270.280.280.250.270.260.270.280.290.280.290.300.320.340.340.340.310.340.31
0.380.400.410.310.310.580.600.640.711.030.850.670.780.790.850.890.921.020.710.690.710.740.720.530.710.610.650.530.640.500.520.870.920.940.990.840.850.740.710.590.600.620.530.530.540.520.510.510.550.550.540.490.470.470.500.510.760.650.650.530.610.66
52.8352.1946.5449.1950.5347.9548.0346.9945.7744.8544.84-45.6642.2042.0241.4141.2941.3442.0542.3842.8142.7242.1242.4642.1243.5842.7742.3041.2941.5443.5642.4443.5743.3643.0842.37-136.1040.6040.1140.8116,43341.7941.2139.8941.1640.4839.8239.7441.0340.5339.4738.7139.5739.7339.3939.0839.9139.9539.6338.6941.8936.1036.11
24.2024.3815.5225.8924.1321.3317.4921.7419.9717.8732.2957.7019.3518.2417.4220.5417.4818.4315.3220.5018.6817.0716.4917.9619.8418.4116.2219.0518.4919.2816.8821.8220.1718.5516.03-676.7617.4115.7015.6619,70019.2317.2214.1319.7710.5515.8914.6411.5219.9016.5113.2018.8218.0516.9315.3917.4518.3915.3415.2019.3814.7114.11
24.2024.3815.5225.8924.1321.3317.4921.7419.9717.8732.2957.7019.3518.2417.4220.5417.4818.4315.3220.5018.6817.0716.4917.9619.8418.4116.2219.0518.4919.2816.8821.8220.1718.5516.03-676.7617.4115.7015.6619,70019.2317.2214.1319.7710.5515.8914.6411.5219.9016.5113.2018.8218.0516.9315.3917.4518.3915.3415.2019.3814.7114.11
--------------------------------------------------------------
10.3914.903.3820.6120.8317.0112.5115.4910.9115.4729.8590.2016.6916.6313.5316.7811.7016.5510.1916.6216.3714.7714.2515.1017.2415.4913.1815.4515.3815.8114.4317.1417.8615.4213.01-266.3914.4629.7013.6921,96716.9814.0611.4717.348.0513.9412.128.8517.8113.7510.4216.7015.7814.2312.8814.3515.9312.1311.9514.5910.8610.97
7.5111.453.4518.1923721.0969.1119.0126.5820.4828.39-187.6813.3512.6610.6915.8610.1912.427.8514.4212.9011.3811.2112.6215.9811.3510.2711.3610.238.179.6111.1413.0410.3110.46-268.8810.2518.029.4013,66711.539.418.2411.673.069.418.184.2111.889.216.9911.6310.869.508.6712.8210.808.188.8011.227.607.33
0.100.090.090.100.090.100.090.110.090.110.12-0.010.190.190.180.200.180.190.200.240.220.220.200.240.220.210.190.230.210.210.180.180.170.160.15-0.010.230.240.240.000.250.240.230.280.270.250.230.280.270.250.230.270.260.250.240.260.240.230.220.230.250.25
0.900.890.911.040.940.960.881.180.810.760.75-0.251.281.271.211.391.091.171.161.511.301.281.211.561.391.281.191.541.251.521.451.841.071.041.01-0.451.521.531.56-0.241.631.531.562.121.641.541.451.861.631.491.401.881.561.531.531.671.541.441.511.411.581.44
1.591.521.491.621.581.611.511.721.171.111.15-0.121.711.611.571.631.561.581.521.671.611.571.521.621.471.401.321.441.381.441.331.460.920.920.87-0.081.291.261.270.001.321.271.271.421.341.311.221.341.411.371.311.451.421.381.401.461.431.361.321.241.371.35
56.7359.1760.3155.4156.8155.8359.5352.2876.8180.8978.28-748.9952.7755.9457.3655.3357.7657.1159.1054.0455.7457.3359.3155.6661.1464.4567.9562.3465.2062.4367.8961.8298.3397.42104-1,071.7869.8771.6570.94-68.0470.6671.1063.5267.0368.8473.8466.9463.8665.6768.4961.9163.5965.0564.3361.4663.0266.4068.0472.3265.7666.47
1.381.880.502.422.482.911.942.781.574.047.25-2.396.786.195.068.645.176.933.898.756.956.125.646.928.505.734.705.725.224.774.776.385.674.844.105.636.5210.925.544.616.795.264.387.542.095.424.392.877.385.223.697.096.355.254.765.876.574.684.805.874.604.65
-19.57-23.30-4.8911.0010.66-16.56-8.45-10.78-4.73151-376.7735.01-44.23-33.37-21.64-96.69-32.98-36.01-47.96-82.46-142.00-82.29-51.55-287.9612995.3260.2432.1048.8311.6512.2817.31-366.67-111.61-53.7713.7019516154.7136.1962.1265.9540.6752.5720.3461.9561.9751.901,124-378.23-134.63-395.77-1,424.49-230.49-111.85-68.3839.9930.6233.2310623.6323.93
0.811.080.281.511.481.400.891.270.691.452.77-0.962.592.391.913.191.872.411.563.532.872.492.293.053.512.471.982.562.162.222.122.242.041.721.422.072.454.262.231.942.942.281.983.270.912.441.961.263.242.301.633.132.902.412.162.562.601.942.002.591.961.91
1.091.460.391.881.921.981.301.841.032.283.92-1.514.173.793.054.943.044.552.645.774.664.254.285.136.214.113.354.003.553.233.204.163.753.182.663.694.398.004.123.425.113.863.245.471.493.923.292.115.443.792.655.034.553.743.354.024.373.103.184.023.033.21
46.6046.8146.4546.5046.2230.3529.2527.5927.5017.8717.3216.6515.6215.3114.9014.1313.1812.6613.8313.5414.3113.9413.4414.2913.4613.5213.2313.6712.5412.5012.0311.8512.3612.0411.6612.4213.2713.3113.8814.6015.5515.0015.4515.1714.3414.8114.6914.4214.6214.5214.0614.2814.7314.3613.6913.2212.0811.9511.8811.5811.5210.93
3.912.020.721.102.230.850.714.902.861.620.875.944.522.681.345.083.091.660.694.842.911.380.514.552.951.480.702.971.640.640.374.452.981.870.753.742.131.360.825.243.251.800.985.053.051.670.884.162.371.220.454.292.631.420.424.352.671.740.914.072.301.08
3.471.740.590.471.890.640.614.402.531.380.755.273.942.311.144.202.541.290.503.892.270.940.273.582.461.180.552.231.180.340.213.762.521.540.562.871.360.830.524.322.431.230.644.112.451.260.603.251.790.830.283.432.091.140.323.662.271.510.793.371.780.72