EnLink Midstream, LLC Financial Ratios for Analysis 2009-2024 | ENLC

Fifteen years of historical annual and quarterly financial ratios and margins for EnLink Midstream, LLC (ENLC).

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
0.841.121.020.731.000.810.780.871.141.341.020.940.930.950.86
0.630.620.590.570.560.450.390.380.360.22-0.520.490.440.51
1.731.621.461.431.250.890.640.630.570.29-1.090.960.801.07
29.6220.6422.3838.6627.4321.9624.0129.0927.1128.8924.3725.1418.6318.8719.65
10.046.946.260.46-12.572.005.13-15.86-29.2410.107.466.623.704.121.26
10.046.946.260.46-12.572.005.13-15.86-29.2410.107.466.623.704.121.26
19.6613.7115.6116.99-2.299.5515.14-2.76-20.5318.1915.6314.2610.3410.8210.20
5.984.252.52-4.43-16.40-0.192.15-20.78-31.099.308.116.73-0.20-1.54-4.95
2.993.790.34-10.82-18.49-0.173.71-10.82-7.982.585.033.97-0.30-0.650.99
0.831.100.790.460.650.720.540.410.470.340.990.791.030.900.76
---------------
10.3413.167.6748.3116760.6237.547.9710.6713.465,74027.7477.9093.0245.86
35.3027.7447.597.562.186.029.7245.8134.2027.120.0613.164.693.927.96
13.2817.194.78-9.82-26.26-0.665.76-16.87-25.993.536.688.64-0.15-2.39-8.87
19.0125.147.38-15.12-42.15-1.4312.71-42.31-60.738.748.6222.03-0.34-5.34-25.74
4.205.791.68-3.69-10.71-0.313.04-8.64-14.772.455.163.38-0.07-1.08-3.48
4.936.561.94-4.23-11.66-0.363.52-10.38-16.602.746.684.13-0.08-1.33-4.36
5.836.216.176.577.8027.4330.7729.2533.0343.12-20.0417.5719.2217.54
2.622.161.731.492.144.683.853.713.832.790.000.003.001.811.69
1.821.501.370.910.540.04-0.49-3.87-2.84-2.05--0.942.139.86

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
0.650.780.840.950.981.211.121.041.060.991.020.890.780.730.731.161.181.391.000.950.990.980.810.790.680.940.780.850.670.670.870.710.710.651.141.221.321.311.341.151.050.991.020.910.980.990.941.130.981.110.931.020.930.970.950.950.940.980.860.901.401.48
0.630.640.630.630.630.630.620.610.600.600.590.580.580.570.570.580.580.590.560.490.480.470.450.420.400.410.390.390.420.400.380.380.390.370.360.310.280.260.220.220.200.19-0.480.440.470.520.490.440.510.490.480.470.450.440.440.440.450.510.590.660.66
1.891.801.731.741.711.701.621.581.491.491.461.441.441.421.431.361.381.431.250.960.930.880.890.810.750.720.640.650.720.680.630.610.640.600.570.460.400.340.290.280.250.26-0.940.790.901.090.971.061.050.960.930.880.830.800.780.780.831.071.451.961.93
31.4930.1928.8628.7233.4028.0424.7919.9919.0519.4519.7921.6424.9925.1335.5440.8246.6134.6736.8829.0123.9723.3722.0619.7624.8821.5821.7924.6626.2124.1825.8128.6429.1134.1128.9426.3824.0330.1030.3630.3528.6125.4624.2424.6823.6924.9627.2622.4222.9026.8420.3417.5818.3718.3420.9318.4019.0017.3316.4121.1822.6419.52
9.006.7910.418.2411.899.837.697.486.915.627.225.545.486.448.6710.829.49-21.24-71.106.853.11-4.99-9.244.258.435.985.525.165.454.273.205.974.37-92.71-64.89-62.525.605.3710.3510.159.6910.247.428.327.246.8112.190.204.665.943.613.024.233.934.043.523.815.080.611.981.800.84
9.006.7910.418.2411.899.837.697.486.915.627.225.545.486.448.6710.829.49-21.24-71.106.853.11-4.99-9.244.258.435.985.525.165.454.273.205.974.37-92.71-64.89-62.525.605.3710.3510.159.6910.247.428.327.246.8112.190.204.665.943.613.024.233.934.043.523.815.080.611.981.800.84
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4.962.806.594.387.125.954.014.954.713.114.532.051.141.123.294.875.57-25.44-78.503.110.22-7.48-11.482.326.153.643.041.952.400.93-2.501.69-0.06-97.91-67.39-64.564.303.799.169.518.739.978.189.327.827.0020.80-3.68-0.740.73-0.38-0.600.25-0.08-0.61-0.92-0.71-3.76-4.94-5.03-4.35-5.46
2.460.883.461.693.553.297.803.033.281.582.440.11-1.54-1.02-14.231.360.55-24.81-81.220.84-0.94-9.91-2.980.361.590.7011.540.440.47-0.14-0.320.060.08-51.43-18.06-16.521.141.732.843.093.110.94----11.86-0.97-0.42-0.22-0.38-0.31-0.20-0.31-0.49-0.44-0.49-1.152.463.97-0.88-2.50
0.190.200.220.210.180.210.240.300.300.260.260.210.160.150.120.110.090.130.120.140.160.170.190.190.160.170.170.130.120.130.120.110.100.090.110.110.110.090.100.090.100.080.260.210.220.210.290.190.180.190.250.270.260.250.210.230.220.230.240.180.140.15
--------------------------------------------------------------
25.8928.6621.612.522.822.832.832.812.562.402.572.478.182.2813.202.269.0833.8031.932.853.042.4116.212.082.282.2211.492.342.638.572.302.532.376.932.562.427.151.923.845.285.616.511,5077.008.837.6210.135.9310.592.8418.6021.3124.242.3722.172.572.312.3214.232.311.651.72
3.483.144.1635.6731.8731.7631.8332.0235.1237.5034.9836.5111.0039.426.8239.869.912.662.8231.6129.5937.375.5543.2439.5440.467.8438.4034.1710.5039.2135.5538.0512.9835.2037.1712.5846.9823.4517.0416.0513.820.0612.8510.1911.818.8915.188.5031.704.844.223.7137.944.0635.0639.0438.786.3338.8954.4052.18
2.731.973.802.423.243.316.674.064.262.272.971.060.300.40-3.871.150.87-7.52-23.950.770.18-2.65-4.770.841.881.044.670.440.530.18-0.550.210.02-16.26-13.33-12.080.630.351.060.960.940.731.772.942.362.1110.11-1.46-0.230.34-0.14-0.230.180.03-0.21-0.29-0.21-1.63-2.53-2.24-1.90-3.02
3.882.815.443.484.694.829.756.074.263.494.571.640.480.61-5.951.741.33-11.61-38.431.530.36-5.15-10.351.854.172.3210.311.021.340.45-1.390.510.06-41.05-31.17-30.291.750.952.612.632.572.062.284.964.244.3025.79-3.64-0.420.74-0.30-0.510.400.06-0.47-0.65-0.48-3.77-7.36-7.82-11.25-18.15
0.820.621.200.781.071.102.241.321.430.761.040.370.110.15-1.450.450.34-2.88-9.760.360.09-1.28-2.220.400.950.542.460.230.260.09-0.280.110.01-8.66-7.58-7.360.400.230.730.670.670.521.361.291.100.943.96-0.62-0.100.14-0.06-0.100.080.01-0.09-0.14-0.10-0.74-0.99-0.78-0.54-0.88
1.000.711.410.901.211.232.541.571.710.911.210.440.130.17-1.670.490.36-3.09-10.630.390.10-1.41-2.630.491.130.612.850.270.310.11-0.340.130.01-10.17-8.52-8.300.450.260.820.750.750.601.771.521.311.114.84-0.74-0.130.17-0.07-0.120.100.01-0.12-0.16-0.12-0.89-1.25-0.93-0.65-1.04
5.445.665.835.946.006.086.216.066.066.016.176.266.326.456.576.977.017.087.809.9710.1510.4427.4329.6529.9930.2330.7730.1028.3728.8829.2529.7729.3329.7733.0338.0943.3444.0443.1240.5940.5840.25-24.6326.2923.3820.0421.0320.1517.1517.5717.9818.4218.7819.2219.5519.7919.8417.5416.4214.9915.20
1.000.652.621.861.260.572.161.710.990.631.731.210.820.461.491.140.650.372.141.591.070.674.682.952.361.073.852.911.810.993.712.831.681.093.832.991.681.042.792.191.240.720.000.000.000.000.000.901.090.233.001.741.350.041.810.950.34-0.541.691.310.380.22
0.540.401.821.170.820.361.501.260.730.501.371.000.690.410.910.620.230.140.540.400.190.060.04-0.540.140.07-0.49-0.74-0.78-0.44-3.870.520.090.33-2.840.25-0.440.06-2.05-1.10-0.810.13------1.83-0.80-0.530.940.420.30-0.422.131.651.240.129.864.84-0.83-0.53