Energy Transfer LP Financial Ratios for Analysis 2009-2024 | ET

Fifteen years of historical annual and quarterly financial ratios and margins for Energy Transfer LP (ET).

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
1.101.170.971.070.970.731.350.951.100.921.010.960.791.191.43
0.540.540.550.620.600.580.590.660.610.570.580.570.600.600.71
1.191.191.261.641.501.491.471.961.571.371.431.351.541.502.42
22.9619.6325.2534.5726.5823.0823.5825.4820.5813.0711.9122.8536.8937.4342.37
10.568.6113.047.6513.299.996.715.826.344.443.218.0215.1015.9220.50
10.568.6113.047.6513.299.996.715.826.344.443.218.0215.1015.9220.50
16.1413.2418.7017.0919.0915.2815.5816.0612.628.107.2413.0722.5022.3926.77
7.126.7610.190.979.266.821.750.642.492.540.788.476.695.4813.05
4.414.827.68-1.666.483.172.263.093.281.130.411.783.772.938.14
0.690.850.640.410.550.610.470.400.510.870.960.350.390.380.45
24.4329.3525.0214.6625.9824.8115.3111.5317.5233.0023.568.6015.7611.208.01
8.5310.428.719.7710.1512.908.638.5214.3316.1112.765.3310.229.238.44
42.8035.0441.9037.3835.9728.3042.2742.8525.4722.6628.6068.4935.7039.5643.23
14.1216.9620.080.4514.2211.948.612.084.344.751.738.467.195.5221.67
15.7217.9621.600.6021.3318.4613.324.119.5711.953.4718.1412.429.5533.95
4.665.556.310.154.884.182.950.591.441.650.562.832.541.995.74
5.556.607.570.175.684.963.450.711.692.050.733.662.902.216.36
13.0513.1412.7611.6212.6211.7827.7821.4322.5420.6514.5414.608.287.013.61
3.012.924.072.733.055.143.853.082.802.912.161.011.551.220.81
2.031.863.060.830.790.07-3.49-4.12-5.73-1.97-0.89-2.01-0.45-0.360.00

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
1.141.181.101.050.811.121.171.081.151.140.970.920.961.011.071.021.030.830.971.001.121.060.730.740.990.911.351.361.331.050.950.920.980.981.101.201.381.270.920.950.930.931.011.141.001.080.960.680.921.060.790.791.111.291.191.070.921.451.430.970.940.99
0.560.540.540.540.520.540.540.540.540.550.550.560.560.580.620.620.610.610.600.590.590.600.580.580.590.590.590.630.630.620.660.630.630.620.610.610.600.590.570.560.570.560.580.560.560.580.570.620.630.620.600.630.620.610.600.580.610.670.710.740.710.73
1.271.221.191.191.181.161.191.171.181.231.261.291.311.391.641.641.561.551.501.461.451.501.491.441.471.431.471.701.761.671.961.781.721.661.571.581.481.471.371.341.381.321.431.301.331.401.351.701.731.631.541.751.651.551.501.391.592.052.422.832.482.73
24.7023.2723.1422.5723.0823.0921.6519.2817.0721.2420.9220.8623.8135.5833.2035.9543.8928.6925.9526.9125.7727.7726.9023.5719.6622.1921.8626.4723.9722.2624.0825.0426.1126.9335.4819.1719.4618.2413.9113.1612.6712.5211.6011.3912.4212.2712.6441.6448.7539.2236.7035.3435.9939.6039.9237.3338.3234.5742.9739.9845.6541.16
11.0911.0010.5410.7710.0210.868.818.608.149.019.058.6210.5823.9413.342.4518.210.5212.1113.7513.1214.2110.8611.737.989.262.539.327.887.84-3.358.3810.869.113.546.127.735.941.225.485.475.43-1.214.245.344.754.0017.0619.4511.0215.9013.0313.1918.3118.6712.7313.1618.1124.2915.3618.6721.85
11.0911.0010.5410.7710.0210.868.818.608.149.019.058.6210.5823.9413.342.4518.210.5212.1113.7513.1214.2110.8611.737.989.262.539.327.887.84-3.358.3810.869.113.546.127.735.941.225.485.475.43-1.214.245.344.754.0017.0619.4511.0215.9013.0313.1918.3118.6712.7313.1618.1124.2915.3618.6721.85
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10.708.237.865.427.327.997.236.126.587.216.335.906.5621.878.99-3.6210.51-8.059.429.208.969.486.679.245.156.03-5.145.853.683.81-4.67-0.785.423.65-9.242.596.182.24-1.533.513.734.35-5.813.143.472.672.356.373.8957.727.543.145.6610.519.76-0.19-1.2111.1816.312.7112.5917.54
5.705.035.862.254.355.285.123.924.705.674.403.213.5719.335.07-6.584.81-7.357.086.356.336.154.862.552.422.872.092.402.162.402.522.693.224.048.902.742.572.720.821.251.151.28-1.361.201.050.810.421.662.889.884.003.303.354.444.36-0.961.416.019.244.149.039.27
0.170.190.180.190.170.180.190.220.240.190.180.170.160.180.110.100.080.120.140.150.150.150.150.160.160.140.130.120.110.120.110.100.100.110.050.150.170.150.210.230.240.230.250.250.240.220.230.060.060.050.100.100.100.110.100.090.080.150.120.100.100.15
5.957.326.376.206.217.146.537.449.718.157.337.286.916.053.853.702.588.106.635.445.625.505.925.376.294.974.433.753.813.643.322.752.843.751.385.435.035.817.917.317.927.716.176.526.445.916.492.732.172.684.134.103.634.002.843.533.573.572.203.073.346.63
2.142.202.232.122.452.252.382.622.502.032.412.552.533.142.522.552.323.212.572.913.042.933.243.123.083.092.442.742.722.722.412.482.473.071.393.493.443.493.903.103.092.873.333.433.502.913.552.322.331.782.672.692.652.842.442.722.113.442.352.832.573.01
42.0340.8640.3942.5236.6739.9937.8734.3135.9844.3737.3435.3335.6228.6335.7835.2438.7928.0135.0530.9629.5730.7227.8028.8829.2429.1536.8932.8233.0833.1437.4236.2636.4629.3364.6625.7626.1425.8123.0829.0129.1031.4027.0426.2425.7430.8925.3238.7238.5550.6233.6633.4333.9531.6936.8933.1442.6026.1638.3531.7935.0229.93
4.794.434.183.043.534.184.153.834.674.343.703.063.0710.632.65-1.282.04-2.963.863.703.783.602.944.492.172.513.922.821.261.29-1.400.131.781.46-0.881.033.280.97-1.312.112.332.12-4.241.991.921.831.501.010.658.942.210.931.583.222.67-0.08-0.375.487.521.244.8110.61
5.635.014.653.193.734.414.404.074.974.623.983.303.3213.893.58-1.752.92-4.275.805.555.675.524.547.043.453.876.064.852.282.71-2.770.284.043.30-1.952.417.492.32-3.295.275.474.92-8.504.003.873.903.211.721.1315.023.811.753.115.944.61-0.15-0.708.2511.782.168.0019.10
1.641.461.380.971.171.381.361.251.491.361.160.940.943.780.88-0.420.70-1.011.321.291.331.251.031.580.750.881.340.870.380.41-0.400.040.550.46-0.290.341.120.33-0.450.730.780.73-1.370.690.660.600.500.320.212.930.780.300.541.140.96-0.03-0.131.631.990.291.242.53
1.941.761.641.191.441.651.621.501.831.671.391.131.124.441.01-0.480.80-1.161.541.501.541.441.221.900.881.021.571.040.460.48-0.480.050.660.56-0.340.401.320.40-0.560.931.010.95-1.780.870.840.770.650.380.243.420.890.350.601.261.07-0.03-0.141.822.210.331.392.86
13.2912.9913.0512.9013.0313.1313.1413.1413.2113.0712.7613.0613.0412.6711.6211.6012.2012.0712.6212.2012.2111.8611.7826.7926.2327.3227.7824.6923.3423.8621.4322.1522.0122.0522.5422.0622.3321.1320.6520.6918.2518.3514.5415.3215.2314.5914.609.559.329.618.287.497.586.947.017.126.314.173.613.093.302.96
1.781.113.012.611.871.082.922.481.520.764.073.462.631.902.732.021.170.683.052.261.480.695.144.572.731.853.852.971.280.682.062.171.300.942.802.041.030.532.912.321.740.742.161.651.000.291.010.800.380.091.551.240.780.401.221.040.900.530.810.810.730.46
1.600.882.031.841.330.801.861.681.060.523.062.732.111.650.830.530.100.080.790.680.410.250.070.14-0.320.35-3.49-2.33-1.22-0.56-3.39-3.37-2.20-0.91-5.73-4.29-2.83-1.46-1.97-1.10-0.21-0.09-0.89-0.52-0.29-0.37-2.01-1.17-0.75-0.54-0.45-0.13-0.100.09-0.36-0.130.200.400.000.040.160.17