E.ON SE Financial Ratios for Analysis 2009-2024 | EONGY

Fifteen years of historical annual and quarterly financial ratios and margins for E.ON SE (EONGY).

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
0.811.390.970.810.851.541.120.751.201.201.081.201.101.231.05
0.610.570.610.760.680.490.600.890.440.370.330.360.38--
1.771.561.943.632.441.161.9411.050.930.740.640.670.76--
25.031.38-8.5013.0111.6514.5213.217.886.748.017.918.8313.3920.7725.84
1.240.938.414.733.2913.3712.29-1.08-3.62-0.524.223.56-13.79-6.51-14.59
1.240.938.414.733.2913.3712.29-1.08-3.62-0.524.223.56-13.79-6.51-14.59
4.993.8513.4811.579.4018.7019.588.946.627.248.527.41-7.520.44-9.83
0.111.737.923.581.9411.1112.17-4.52-4.77-2.132.622.51-2.589.7614.09
0.551.586.061.673.8210.9010.34-22.14-6.02-2.831.751.68-1.656.7610.33
0.830.860.650.640.420.540.680.601.020.890.940.940.740.610.55
36.2151.7579.8646.8728.9436.9541.5044.7942.5730.5827.2025.4420.2618.1013.74
4.442.962.544.702.534.965.814.754.134.075.204.836.253.383.38
82.2812314477.7014473.5662.7976.8188.4289.7570.1475.5058.38108108
3.5010.2529.6614.475.6938.0162.31-168.22-33.43-11.066.886.71-5.6414.6718.99
-93.45160-172.69-10.37-8.6975.2737148.06-78.06-29.4914.7214.07-12.3029.1844.36
0.621.674.431.370.755.967.47-3.40-5.61-2.351.911.85-1.464.385.47
1.384.4111.533.401.8119.2325.14-18.47-18.74-6.954.584.29-3.5114.6718.99
8.188.838.013.925.624.643.500.7310.8518.3725.3326.19---
2.344.061.852.331.451.55-1.573.003.534.484.445.944.817.726.65
-0.062.33-0.071.74-0.040.38-3.121.491.461.941.691.950.482.380.74

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
0.860.900.810.920.930.981.390.910.981.040.970.921.010.940.810.810.900.860.850.951.351.501.541.841.851.161.121.050.930.810.751.281.451.261.201.251.191.211.201.071.161.151.081.111.111.221.201.111.091.111.101.111.161.251.231.181.181.091.051.151.041.06
0.600.610.610.580.580.580.570.540.550.600.610.660.680.690.760.780.780.740.680.690.530.510.490.520.520.570.600.620.620.740.890.690.500.430.440.430.340.350.370.330.340.330.330.330.330.330.360.360.36-0.38-----------
1.711.801.771.641.611.631.561.451.591.921.942.112.312.533.633.933.923.082.442.621.541.261.161.151.201.741.942.322.373.9211.052.551.160.880.930.880.660.700.740.570.560.570.640.640.620.630.670.720.79-0.76-----------
20.8425.9921.0321.5528.7627.6278.65-40.22-19.26-28.33-4.67-53.802.7612.9111.4710.8313.7315.838.3512.4113.0116.4811.6911.2812.7819.7317.978.959.1515.5235.3610.9510.4912.256.613.405.7810.605.657.137.6611.015.396.628.3410.83-3.6812.6114.1114.9310.4015.9710.5417.7213.9321.6725.5425.6432.4626.5825.0322.66
18.785.79-4.850.029.941.40-8.596.473.394.305.048.0315.588.193.236.717.302.97-0.536.313.588.142.065.2824.9816.103.711.2835.7110.1164.955.808.178.541.99-27.231.696.73-11.18-0.112.186.350.77-0.435.259.889.562.273.64-1.86-19.97-11.56-12.23-11.23-22.16-13.80-4.078.42-26.78-10.55-26.16-10.94
18.785.79-4.850.029.941.40-8.596.473.394.305.048.0315.588.193.236.717.302.97-0.536.313.588.142.065.2824.9816.103.711.2835.7110.1164.955.808.178.541.99-27.231.696.73-11.18-0.112.186.350.77-0.435.259.889.562.273.64-1.86-19.97-11.56-12.23-11.23-22.16-13.80-4.078.42-26.78-10.55-26.16-10.94
--------------------------------------------------------------
17.675.36-8.330.409.520.81-7.707.025.454.264.967.6214.587.392.025.008.580.54-0.694.561.605.25-1.482.3424.2313.822.53-0.9140.578.4964.391.213.926.360.63-27.700.784.97-12.45-2.070.334.90-1.00-2.433.898.53-1.520.454.806.46-11.170.42-8.4110.9912.45-2.9812.9314.8015.5713.6515.6413.52
10.472.58-2.700.486.16-0.21-5.995.416.142.813.018.2111.934.350.674.844.64-1.85-3.0223.37-0.094.384.913.0124.099.433.31-1.9935.645.9972.66-11.51-46.804.31-2.86-26.850.343.47-11.14-3.310.242.39-1.31-1.853.205.99-2.20-0.634.004.81-8.340.71-6.258.148.59-1.958.778.6910.2710.7311.169.47
0.150.200.220.150.160.270.250.170.160.210.240.130.150.190.190.140.130.170.180.080.130.160.090.140.140.170.190.140.130.16-0.100.080.090.240.280.240.230.240.230.200.190.240.260.190.220.250.270.200.200.230.220.170.170.180.190.130.120.150.140.110.110.16
8.379.229.975.446.1513.183.2118.8219.7437.6828.5817.9312.7315.6714.407.788.2212.4613.044.548.6912.626.638.3410.3011.1610.898.9810.9113.06-4.998.3811.0612.3111.548.559.5011.508.015.055.667.727.735.107.2611.318.444.615.798.026.373.985.306.946.043.153.235.134.192.593.306.17
0.851.011.160.850.711.000.850.670.560.710.940.630.831.181.421.050.820.951.100.511.111.230.861.241.231.161.611.331.161.22-0.751.291.270.991.121.121.211.071.041.271.131.221.441.121.161.211.411.201.091.091.900.950.960.791.040.890.760.890.890.750.650.73
10589.2077.6410612690.1210613416012795.6014210976.5863.4686.0311094.7781.8117581.3973.2410472.6072.9077.4355.7767.8577.3273.82-119.3169.8270.9991.3180.5580.2174.4884.1186.6670.6280.0073.8862.5480.3577.6174.4763.7875.1782.6182.5747.3395.2193.8511486.72102118101101120138124
9.303.98-3.100.756.06-0.73-9.366.916.634.757.577.1712.127.522.007.227.09-0.941.411.870.213.811.412.0021.9214.116.16-2.1353.2320.29-285.050.721.636.92-3.69-34.550.514.20-12.00-2.380.312.49-1.06-1.192.695.81-1.11-0.463.024.10-7.240.41-3.594.817.48-1.233.524.515.194.825.036.78
11190.5982.7510.81158-10.24-146.4635.4148.50-203.57-44.08-19.98-24.88-12.50-1.44-4.59-4.830.93-2.16-2.390.607.912.803.8343.4961.1236.61-40.18844-33.4781.43-15.233.1317.10-8.61-73.201.2811.26-32.00-5.490.665.23-2.28-2.475.4811.56-2.34-0.976.418.69-15.790.82-7.149.0414.88-2.887.809.6112.1211.3311.7419.38
1.880.74-0.550.151.13-0.13-1.531.041.080.701.130.971.751.040.190.650.64-0.100.190.230.030.570.220.333.511.870.74-0.224.801.11-5.760.040.201.12-0.62-6.210.120.92-2.55-0.630.080.68-0.30-0.340.771.66-0.31-0.120.801.10-1.880.12-1.091.452.23-0.321.031.331.491.231.321.52
3.731.54-1.220.312.54-0.31-4.033.152.951.902.942.453.872.330.471.621.54-0.250.450.580.101.850.710.9610.466.012.48-0.8220.075.24-31.300.220.813.92-2.07-19.820.342.71-7.54-1.600.201.67-0.71-0.791.813.88-0.71-0.291.934.10-4.510.41-3.594.817.48-1.233.524.515.194.825.036.78
--8.18-9.08-8.83---8.01---3.92---5.626.013.444.414.644.644.65-3.503.343.151.790.733.117.0410.3410.8511.5416.3016.2518.3722.9325.1126.1025.3325.7426.1227.82----------------
0.14-0.492.341.55-0.10-0.344.062.300.74-0.281.851.540.56-0.272.331.650.54-0.401.450.810.26-0.221.551.370.780.06-1.57-1.792.480.453.003.192.171.603.533.302.471.484.485.184.061.904.443.682.791.120.004.771.670.310.003.341.780.640.006.511.292.276.655.323.250.66
-0.93-0.97-0.060.07-0.98-0.702.331.320.14-0.53-0.070.39-0.19-0.611.740.53-0.15-0.71-0.04-0.01-0.24-0.460.381.430.37-0.21-3.12-2.891.890.201.492.301.501.271.461.931.681.151.943.513.081.461.691.911.710.70-4.771.670.31-0.561.78-0.04-3.030.561.050.740.983.250.25