Equinor Financial Ratios for Analysis 2009-2024 | EQNR

Fifteen years of historical annual and quarterly financial ratios and margins for Equinor (EQNR).

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
1.711.771.591.621.271.571.361.481.831.421.431.121.161.091.04
0.340.330.430.490.380.350.380.440.430.350.320.240.280.310.32
0.660.600.931.120.710.600.710.900.800.610.510.370.460.490.52
55.0564.3261.3354.2054.1151.6153.8953.1255.9851.6651.7649.8152.3151.1355.47
33.3852.2637.02-7.4714.4525.3022.510.172.2918.0124.3628.5631.6025.5025.63
33.3852.2637.02-7.4714.4525.3022.510.172.2918.0124.3628.5631.6025.5025.63
43.3056.5049.9125.7834.9636.9236.6325.3530.3234.0535.7236.9239.2635.1137.33
35.3552.1234.74-9.3014.4423.7121.93-0.390.0918.0321.7128.5731.9125.9824.85
11.0919.069.42-12.032.869.477.50-6.37-8.713.906.269.5211.767.153.83
0.750.950.620.370.550.710.550.440.540.750.720.920.870.820.82
12.6310.3410.366.808.7817.968.306.6610.4915.0310.3914.3511.5110.9010.19
6.336.725.075.577.828.856.495.858.948.857.799.786.456.927.85
57.6754.3471.9765.5846.6941.2656.2262.3740.8341.2346.8437.3456.5552.7646.50
24.5453.2421.98-16.224.5017.5411.53-8.27-12.837.5811.0121.7327.5116.849.15
27.8258.8626.33-21.356.0822.6314.71-11.22-16.769.7614.8229.9240.7520.4212.55
8.2918.195.83-4.401.576.704.14-2.78-4.712.934.438.8610.215.933.25
16.3035.6912.45-8.302.8011.387.18-4.60-7.364.937.5216.5119.7711.696.19
16.4717.2911.9810.4412.4512.9212.0010.8212.6816.0819.0217.2615.98--
8.1611.048.863.174.125.914.502.824.276.345.416.906.244.213.67
4.678.296.350.581.063.031.35-0.750.611.320.812.452.750.630.29

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
1.531.881.711.801.841.961.771.661.601.511.591.661.701.741.621.861.761.231.271.321.431.481.571.361.301.391.361.541.481.521.481.541.671.791.831.921.951.721.421.271.301.421.431.201.041.121.121.081.131.141.161.241.261.181.091.010.891.061.041.111.061.11
0.350.330.340.330.330.300.330.380.390.390.430.450.450.460.490.490.470.390.380.370.370.370.350.370.370.370.380.410.410.430.440.420.430.420.430.420.410.410.350.310.300.290.320.300.270.240.240.240.260.270.280.280.290.290.310.320.320.310.320.320.320.27
0.750.580.660.610.620.540.600.750.810.790.930.930.960.981.121.101.040.780.710.700.680.660.600.620.640.650.710.820.850.870.900.830.820.780.800.780.720.740.610.520.500.480.510.460.420.350.370.360.400.420.460.460.450.470.490.550.520.480.520.540.530.44
52.4452.5752.4952.8652.4961.5662.5568.8562.0162.8860.2961.0962.8859.2652.8953.2063.8351.1256.4750.8849.6659.6256.2350.4348.0850.7450.8452.4254.0958.3650.6952.1551.8058.7754.3853.0858.0657.5551.4750.0052.6352.3754.1451.6551.1850.2259.8647.3444.1649.5263.7347.2150.7251.9551.9246.3149.7655.2454.6448.2355.5456.19
29.9830.3630.1128.6430.8342.8348.3259.8248.6450.543.5541.1250.5429.68-8.41-17.81-6.220.389.99-3.0020.6028.7030.0624.0221.1524.9430.278.0521.7327.37-14.896.091.6510.491.186.4820.86-21.306.1311.4721.8429.3227.8623.1423.1323.5030.7723.8828.6329.2233.4023.0932.4730.6229.5621.4020.5830.5627.0027.2222.5536.76
29.9830.3630.1128.6430.8342.8348.3259.8248.6450.543.5541.1250.5429.68-8.41-17.81-6.220.389.99-3.0020.6028.7030.0624.0221.1524.9430.278.0521.7327.37-14.896.091.6510.491.186.4820.86-21.306.1311.4721.8429.3227.8623.1423.1323.5030.7723.8828.6329.2233.4023.0932.4730.6229.5621.4020.5830.5627.0027.2222.5536.76
--------------------------------------------------------------
29.4931.8232.1428.6932.2446.9042.1662.2454.1947.335.9738.8247.3325.66-11.92-19.58-9.470.546.72-0.8320.5929.6129.2722.2019.4022.8330.066.9422.0226.04-21.445.461.9416.66-3.627.0715.47-20.175.4510.8022.6629.7825.5622.9118.4819.9127.6326.5530.6229.5632.8825.4438.3934.5626.1627.9519.9829.2025.9924.1818.6825.88
7.2910.618.969.607.9716.9823.0021.5118.5312.944.366.0412.9410.52-20.61-18.76-3.34-4.68-1.56-7.108.6310.3815.008.706.726.4615.05-3.539.596.84-21.87-3.57-2.826.00-8.61-2.564.94-29.51-5.58-3.178.1213.469.738.422.903.968.088.7113.177.7613.946.2416.8710.976.6610.902.378.595.845.360.073.52
0.190.180.200.190.160.190.220.290.240.230.090.170.290.150.090.100.070.150.130.130.140.130.200.160.160.170.150.120.140.140.120.110.100.090.120.110.140.120.170.160.160.190.170.200.180.200.220.210.250.250.230.230.240.220.230.200.210.220.240.230.190.21
3.813.373.622.542.873.522.472.132.633.861.603.025.302.461.791.860.923.531.963.072.332.484.582.752.753.462.482.192.382.051.951.951.571.612.392.152.142.083.382.462.663.922.373.442.663.453.123.434.283.892.883.312.962.582.933.192.872.742.963.822.492.99
2.302.302.201.731.851.801.532.062.061.830.761.994.252.021.431.861.392.401.842.262.241.902.491.911.902.221.821.892.142.211.632.021.851.471.961.781.811.531.981.802.022.311.872.411.722.082.302.282.522.091.712.362.402.001.922.121.992.122.292.271.801.98
39.2039.1940.9052.0648.5649.9858.8843.7443.7949.3111845.2421.1844.4863.0848.4864.9837.4848.8539.8840.1347.4036.0947.0347.4740.4549.5647.7342.1340.6555.3044.5048.6961.1145.8650.5749.8258.8945.4049.9244.5438.9248.1737.3152.4343.2539.1539.5535.7543.0652.5338.2137.4745.0147.0042.4545.2842.3639.3139.6550.0245.42
4.285.345.385.133.688.6914.6321.9416.4010.901.543.8012.735.18-7.13-6.23-0.70-1.94-0.56-2.703.283.807.833.972.973.026.46-1.253.792.90-7.93-1.07-0.751.45-2.79-0.791.90-9.77-2.42-1.313.286.314.154.041.311.904.304.668.425.148.703.9711.106.754.296.541.485.183.943.630.042.01
5.006.026.095.824.159.6216.1724.9218.8212.561.844.6515.606.71-9.38-8.69-0.99-2.69-0.76-3.684.334.9610.115.203.903.878.24-1.645.013.88-10.77-1.35-0.971.87-3.64-1.002.43-12.39-3.12-1.704.298.265.585.571.832.625.926.5412.057.4112.895.0013.838.205.208.672.157.185.405.110.062.82
1.401.951.821.791.313.265.006.144.452.970.411.033.701.55-1.94-1.86-0.22-0.68-0.19-0.951.191.402.991.441.071.112.32-0.431.300.99-2.66-0.38-0.270.54-1.02-0.290.71-3.53-0.94-0.521.332.621.671.650.530.791.751.853.301.933.231.444.092.401.512.230.501.901.401.230.010.74
2.803.603.573.422.466.059.8113.6810.006.660.872.096.942.78-3.65-3.21-0.37-1.19-0.35-1.692.072.405.082.521.881.914.02-0.732.221.66-4.41-0.62-0.430.84-1.60-0.451.12-5.78-1.57-0.912.304.492.832.840.951.453.273.566.243.766.252.857.934.782.984.421.013.562.662.470.031.47
------17.29---11.98---10.44---12.45---12.92---12.00---10.82---12.68---16.08---19.02-------------------
3.723.078.167.385.494.7611.049.787.604.878.866.373.901.843.172.471.651.524.123.592.341.545.914.653.032.134.503.993.021.772.822.191.050.694.273.591.971.186.345.003.842.845.414.552.512.146.924.472.591.046.264.463.101.124.213.442.431.323.673.151.880.35
1.862.244.674.883.924.128.298.056.244.246.355.132.701.530.580.640.350.811.061.860.880.933.032.481.431.371.351.751.671.11-0.75-0.43-0.74-0.190.610.84-0.640.081.321.161.071.510.810.71-0.610.612.460.411.710.382.762.662.540.160.630.960.860.480.290.600.25-0.49