Entergy Financial Ratios for Analysis 2009-2023 | ETR

Fifteen years of historical annual and quarterly financial ratios and margins for Entergy (ETR).

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
0.570.640.590.650.540.540.651.151.321.140.970.900.731.561.42
0.610.640.680.660.620.630.640.640.580.550.560.560.530.570.56
1.782.052.312.191.932.002.041.841.451.381.411.451.371.381.38
68.9761.5468.2475.5970.3865.4269.1272.0766.6263.6064.8868.0463.8663.6365.52
21.5514.9015.7217.4912.784.2612.28-7.52-2.6016.0611.9012.6317.9319.7421.26
21.5514.9015.7217.4912.784.2612.28-7.52-2.6016.0611.9012.6317.9319.7421.26
40.0330.8134.8239.8232.8422.8031.0512.0615.7933.0929.5629.8333.4734.5834.84
13.767.6911.1612.7110.01-1.588.74-12.74-6.9512.408.408.7314.7316.4317.53
19.408.019.5213.7311.417.713.72-5.38-1.537.536.258.2211.9910.8811.46
0.200.230.200.170.210.230.240.240.260.270.260.240.280.300.29
2.343.983.122.173.324.373.773.453.524.053.562.883.703.893.62
8.729.218.577.879.009.889.139.2710.7711.339.7210.2811.2111.0910.96
41.8739.6542.5946.4040.5536.9539.9839.3833.8932.2337.5635.4932.5732.9033.32
16.168.469.6112.8712.319.755.32-6.98-1.699.607.589.4415.2614.9514.52
16.448.659.8813.2912.739.935.44-7.14-1.709.877.819.7415.7615.4715.02
3.961.871.882.422.431.790.91-1.23-0.352.071.682.013.363.283.33
6.262.993.064.374.603.511.89-2.48-0.694.263.344.097.156.376.33
34.6330.9328.8827.3725.7623.9722.6923.1326.8428.1827.2626.1325.6724.0323.02
10.116.295.706.697.156.507.278.389.1810.798.938.278.7710.457.49
-0.40-6.29-9.75-5.60-4.19-4.25-2.49-1.983.634.942.89-0.541.245.202.56

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.890.940.690.570.910.800.900.640.900.870.720.590.641.001.060.650.590.580.660.540.720.730.700.540.640.570.700.650.780.850.881.151.260.961.041.321.191.021.101.140.961.031.070.971.010.900.850.900.971.051.190.731.001.721.631.561.731.551.551.421.181.271.50
0.640.640.630.610.640.650.650.640.670.680.690.680.680.690.690.660.640.640.640.620.620.630.650.630.650.640.660.640.620.630.630.640.570.570.580.580.590.540.550.550.530.540.550.560.560.560.560.560.560.570.570.530.530.580.570.570.570.560.560.560.550.540.56
1.921.961.951.781.992.042.102.052.262.272.432.312.272.322.332.192.002.052.041.931.881.902.102.002.152.182.162.041.871.901.891.841.461.471.561.451.541.351.371.381.331.351.381.411.431.471.451.451.391.371.401.371.371.421.391.381.391.341.361.381.341.301.38
74.5975.5169.7769.6971.7272.2361.8758.6457.7663.9967.4666.1668.7268.8769.0474.0576.3577.0874.7072.4670.9269.5068.6663.5562.3566.9269.1969.1068.5268.9770.0569.7173.2474.6670.6067.7664.7367.8466.7065.2661.7162.5665.1465.4363.8864.3866.1469.0768.5268.9365.4465.9560.9763.8165.7565.9462.9863.3962.5470.2267.7466.5258.07
33.2220.918.529.4231.8026.5615.5013.7222.632.3919.6712.5524.695.9617.866.4226.8018.2116.4710.0916.5612.7110.85-9.118.733.4312.329.0423.406.457.55-95.4424.7117.9619.09-10.14-28.6213.9118.5911.2914.2515.1723.068.3811.6012.6515.1013.3123.3113.62-2.3913.7717.7019.9320.1015.5523.1321.8717.2820.1427.2518.8218.16
33.2220.918.529.4231.8026.5615.5013.7222.632.3919.6712.5524.695.9617.866.4226.8018.2116.4710.0916.5612.7110.85-9.118.733.4312.329.0423.406.457.55-95.4424.7117.9619.09-10.14-28.6213.9118.5911.2914.2515.1723.068.3811.6012.6515.1013.3123.3113.62-2.3913.7717.7019.9320.1015.5523.1321.8717.2820.1427.2518.8218.16
---------------------------------------------------------------
25.412.893.490.5524.9418.517.835.1217.54-5.7612.038.4820.69-0.7014.244.3723.2518.832.155.9412.699.0811.55-23.058.27-1.196.605.8919.842.913.62-103.1420.8413.1414.38-16.77-32.219.3415.537.3211.4710.7819.426.068.028.8110.879.1419.419.86-6.1610.0515.1416.8216.4512.4120.4818.3113.2816.7025.2112.7914.46
19.031.662.6936.2418.5413.7510.433.2513.294.709.609.5115.83-0.2111.7616.3717.9514.944.8915.6411.638.879.75-2.6217.289.204.87-18.2612.2815.653.19-66.7912.4223.048.813.97-21.455.4910.214.246.656.3212.505.467.165.986.1912.1611.3714.49-6.366.1918.5011.269.799.0114.7911.017.7512.5615.509.008.44
0.050.050.050.050.060.050.050.060.070.060.050.050.060.050.050.040.050.050.050.050.060.050.050.050.060.060.060.060.070.060.060.060.070.050.060.060.070.060.060.060.080.070.070.060.080.060.060.060.070.060.060.060.090.070.070.070.090.080.070.070.080.070.08
0.480.410.500.510.660.530.811.021.410.990.780.770.910.770.790.540.640.530.610.700.980.890.921.051.330.950.890.891.160.930.910.910.760.560.700.741.090.760.840.881.191.011.000.831.100.850.770.660.820.693.710.771.230.940.800.801.181.011.000.730.930.831.15
2.031.872.171.962.101.992.402.192.472.172.371.992.191.962.131.842.152.052.262.042.352.162.432.252.272.122.522.162.472.342.662.262.262.102.632.352.532.282.732.572.632.432.842.302.642.242.532.432.582.432.882.482.722.332.732.452.742.462.942.552.712.302.80
44.2648.1841.4046.0342.8745.2237.4641.1236.4141.4238.0045.3041.0845.9242.3448.8241.7743.9239.9044.1838.3541.6837.0639.9239.6242.4435.7441.6136.4438.5133.8439.7639.7642.7634.2638.3535.5939.4932.9135.0734.1837.0331.6439.1934.0440.1835.5937.0134.8437.0731.3036.2333.0938.6333.0136.7932.8836.6630.5635.3333.1739.1132.11
4.300.360.536.764.892.962.390.754.601.402.392.114.76-0.013.083.594.883.501.213.813.682.462.88-0.706.423.101.71-5.954.624.941.07-21.853.915.872.511.13-7.841.512.991.252.311.934.081.572.601.811.813.283.734.10-1.651.797.063.732.972.755.703.652.473.705.422.642.78
4.370.360.546.884.983.022.440.774.701.432.452.174.91-0.013.183.714.943.621.223.943.732.502.93-0.726.563.171.75-6.094.835.041.09-22.333.965.902.531.14-8.181.563.081.292.381.994.201.622.681.871.873.393.854.24-1.701.847.293.863.072.845.893.772.553.835.612.732.88
1.000.080.121.661.110.660.530.170.940.280.470.410.910.000.580.670.940.680.230.750.730.480.52-0.131.110.520.29-1.020.870.900.19-3.850.821.250.510.23-1.590.330.650.270.530.440.930.350.560.390.390.700.820.91-0.360.391.620.820.660.601.290.850.570.851.270.640.66
1.550.130.202.621.741.040.830.271.510.450.740.671.520.000.971.221.721.270.431.431.360.880.98-0.252.211.080.57-2.111.771.800.39-7.751.632.471.010.46-3.230.691.340.561.070.881.820.691.120.780.791.421.631.75-0.690.843.271.541.251.172.451.611.091.612.431.201.21
35.3134.3334.1734.6332.6731.6131.1430.9329.9629.0528.9828.8828.0827.1827.5427.3727.5326.1326.1725.7625.8425.2124.1923.9723.7722.7322.6022.6924.1923.8823.0223.1328.7628.1627.0826.8425.6728.5528.4928.1828.5128.2828.0327.2626.6526.2826.1326.1326.1325.7525.4325.6725.7324.5824.2024.0324.3123.6423.6523.0222.7022.5922.25
7.213.611.2210.117.614.302.266.294.421.991.325.704.981.86-0.126.695.893.601.647.155.282.711.306.505.062.951.547.274.752.271.478.386.263.491.499.186.563.721.6910.798.014.242.148.936.163.121.528.276.243.351.698.775.992.730.9010.458.433.851.767.495.132.560.95
-1.62-1.75-1.43-0.40-0.38-1.18-0.51-6.29-5.27-4.93-2.36-9.75-4.79-5.36-3.98-5.60-2.06-1.90-1.02-4.19-2.35-2.61-1.17-4.25-2.72-2.15-1.03-2.49-2.17-2.15-0.40-1.98-1.95-2.76-2.943.631.810.670.224.943.861.690.902.891.17-0.36-0.25-0.540.98-0.180.101.241.04-0.88-0.455.204.691.440.592.561.790.21-0.20