Ford Motor Financial Ratios for Analysis 2009-2024 | F

Fifteen years of historical annual and quarterly financial ratios and margins for Ford Motor (F).

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
1.201.201.201.201.161.201.231.201.256.586.746.482.151.992.16
0.700.670.650.780.750.740.740.760.760.830.810.870.871.011.06
3.493.222.845.254.674.294.334.904.644.874.396.576.60-161.98-16.92
14.5514.9715.9111.3213.6015.0116.2416.8716.7913.2218.1915.3616.2219.0014.98
3.103.973.32-3.470.372.003.113.819.595.0010.676.678.229.932.89
3.103.973.32-3.470.372.003.113.819.595.0010.676.678.229.932.89
6.808.087.692.405.817.248.589.5514.9210.1615.1210.6411.3614.268.55
2.25-1.9113.04-0.88-0.412.715.204.476.850.869.785.726.405.542.24
2.47-1.2513.16-1.010.032.294.933.024.930.858.144.2014.915.092.34
0.640.620.530.480.600.630.610.640.660.690.730.710.760.780.61
9.629.559.5010.4312.4912.1511.7514.1814.9615.8915.5915.3519.2517.6519.61
11.2910.0511.9912.7216.8814.3214.7913.6713.5412.3114.9512.2815.8315.3916.16
32.3236.3230.4428.6921.6325.4824.6826.6926.9529.6624.4229.7323.0523.7222.58
10.12-4.9936.84-4.140.2510.2721.7915.7625.725.0345.6935.10134-1,021.34-34.85
10.12-4.9936.84-4.140.2510.2721.7915.7625.725.0345.6935.10135-881.32-34.13
1.58-0.846.97-0.480.031.443.001.933.280.595.912.9611.343.981.41
3.04-1.6313.07-0.900.062.705.613.766.220.868.484.6417.656.342.19
10.3010.3811.757.488.118.818.757.197.086.186.634.083.82-0.17-2.31
3.691.713.916.114.413.764.534.964.053.672.562.252.382.754.67
1.650.002.374.662.501.812.763.222.261.780.940.891.341.773.45

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
1.171.171.201.211.201.201.201.201.161.171.201.201.211.211.201.201.341.321.161.171.201.221.201.211.211.231.231.191.201.241.201.161.247.011.256.256.246.036.586.356.256.096.741.911.881.886.481.911.901.912.151.941.961.971.992.132.092.272.162.011.932.04
0.700.700.700.680.680.680.670.670.660.660.650.730.740.750.780.760.800.790.750.740.740.740.740.740.740.740.740.750.750.760.760.740.750.830.760.820.820.830.830.820.820.810.810.840.850.860.870.840.850.860.870.940.950.981.011.021.031.041.061.061.081.13
3.463.483.493.223.283.303.223.052.913.012.843.944.224.495.254.745.685.634.674.364.324.314.294.194.194.354.334.484.534.764.904.364.494.764.644.604.694.924.874.564.434.364.395.395.616.096.575.335.856.046.6015.7918.4241.23-161.98-67.06-33.15-23.93-16.92-18.16-14.13-8.84
15.3114.7311.1014.2816.6516.4114.0512.7917.4115.7814.0315.7714.3819.138.0016.747.4311.0712.3512.7313.3715.8614.4516.1914.7114.7915.3016.9416.3416.4715.9514.6817.6319.0914.4518.1718.6216.019.2313.5316.4813.5326.4516.0614.2415.8311.6017.1616.0816.9911.6516.4317.6619.1415.9618.9320.6420.3615.8618.0212.9212.21
3.942.86-0.532.585.475.093.551.287.143.901.963.76-0.086.80-6.796.27-14.24-4.54-1.15-0.710.232.981.512.291.512.672.102.743.893.74-14.297.2810.5811.968.7511.9211.795.585.623.346.914.0322.846.895.656.963.747.927.178.164.657.769.4211.056.6510.1812.0710.706.367.68-0.24-4.58
3.942.86-0.532.585.475.093.551.287.143.901.963.76-0.086.80-6.796.27-14.24-4.54-1.15-0.710.232.981.512.291.512.672.102.743.893.74-14.297.2810.5811.968.7511.9211.795.585.623.346.914.0322.846.895.656.963.747.927.178.164.657.769.4211.056.6510.1812.0710.706.367.68-0.24-4.58
--------------------------------------------------------------
5.103.77-4.063.175.095.212.65-2.861.97-11.1629.775.282.7510.88-10.607.355.60-3.34-6.13-0.050.533.99-0.042.903.474.574.534.865.695.75-2.923.867.289.684.718.638.825.25-8.822.925.663.5122.195.844.805.964.926.984.806.284.285.597.348.380.866.318.126.762.613.678.36-6.81
3.833.11-1.142.744.264.242.93-2.101.66-9.0232.605.132.109.00-7.756.365.77-5.81-4.211.150.382.84-0.282.632.744.146.104.315.144.07-2.042.664.996.504.645.755.803.40-5.312.393.502.7620.863.563.254.524.335.073.134.3040.144.996.757.700.595.647.416.612.553.298.43-5.85
0.170.160.170.160.170.160.170.160.160.140.150.140.110.140.130.140.070.130.150.140.150.150.160.150.150.160.160.150.160.160.160.150.160.160.180.170.170.160.170.170.180.170.190.180.190.180.190.170.180.180.190.200.210.200.200.170.200.160.180.150.130.12
2.361.962.612.052.122.142.692.262.371.982.682.231.692.303.062.951.752.703.232.592.712.753.192.462.642.893.132.693.013.103.653.003.313.124.143.293.212.994.143.253.343.503.583.413.973.564.293.253.823.835.083.834.163.614.613.544.584.005.813.783.543.26
2.852.292.952.903.102.782.802.672.672.653.313.293.063.473.603.712.135.184.303.483.553.363.730.740.760.773.903.553.923.663.483.583.683.353.652.852.942.613.063.132.912.973.823.063.343.133.283.003.273.283.963.663.753.683.873.574.394.564.844.154.044.53
31.6339.3430.5531.0928.9932.3832.1733.7333.6734.0227.1627.3729.4425.9625.0224.2742.3117.3720.9325.8425.3426.8124.1112111911723.0825.3722.9424.5725.8525.1124.4526.8524.6931.5530.5934.5329.3828.7230.9230.3223.5429.4226.9428.7427.4030.0427.5327.4722.7324.6124.0024.4623.2625.1920.4919.7418.6021.6922.3019.89
4.203.11-1.222.654.623.942.92-2.211.44-6.9225.244.961.599.60-9.067.213.62-6.71-5.031.200.423.25-0.312.712.934.797.094.756.375.22-2.703.056.338.296.507.988.204.62-7.793.184.913.6929.946.216.429.149.658.656.088.4090.3327.4144.86104-29.28-97.01-73.31-38.35-11.28-13.93-23.958.71
4.203.11-1.222.654.623.942.92-2.211.44-6.9225.244.961.599.60-9.067.213.62-6.71-5.031.200.423.25-0.312.712.934.797.094.756.375.22-2.703.056.338.296.507.988.204.62-7.793.184.913.6929.946.236.459.189.658.696.118.4590.9427.8845.74108-25.27-90.61-69.71-37.04-11.05-13.52-23.378.59
0.660.49-0.190.440.760.650.49-0.380.26-1.234.770.720.221.25-1.040.920.42-0.75-0.650.160.060.45-0.040.380.410.650.980.630.830.66-0.330.410.821.030.831.001.000.54-0.910.400.620.483.870.630.630.840.810.880.570.777.631.021.431.530.110.951.441.090.460.501.13-0.71
1.270.94-0.370.851.471.250.95-0.740.49-2.368.961.360.412.38-1.981.710.74-1.38-1.240.310.110.85-0.080.710.771.231.831.201.611.26-0.640.791.561.441.571.421.440.78-1.330.570.900.695.560.970.971.291.271.370.891.1911.881.632.312.460.181.472.281.670.710.811.82-1.11
10.4310.2710.2410.6610.4910.1610.3810.1710.6910.9011.758.928.468.277.488.107.537.258.118.678.858.938.819.008.968.958.758.207.957.567.197.787.707.327.086.926.646.286.186.806.916.786.635.204.884.494.084.954.484.363.821.591.410.65-0.17-0.50-1.03-1.60-2.31-2.20-2.92-6.81
1.710.343.693.071.940.701.711.410.46-0.273.913.041.301.126.114.932.16-0.124.413.682.490.893.763.422.120.884.533.742.491.084.964.262.981.044.053.521.900.603.673.081.710.542.562.471.540.052.252.371.490.512.382.491.520.592.752.451.400.594.674.202.791.68
0.67-0.181.651.601.020.250.000.22-0.30-0.612.371.930.590.784.663.871.42-0.572.502.341.610.481.812.001.200.432.762.511.670.663.223.042.170.662.262.181.020.151.781.750.870.170.941.340.79-0.310.891.460.920.241.341.711.020.371.771.750.960.353.453.372.181.23