Fluor Financial Ratios for Analysis 2009-2023 | FLR

Fifteen years of historical annual and quarterly financial ratios and margins for Fluor (FLR).

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
1.601.571.431.411.371.471.571.471.741.731.761.571.531.581.55
0.360.330.430.570.510.360.310.320.240.240.110.130.130.010.01
0.560.570.761.351.070.570.460.490.320.320.140.160.150.030.04
3.082.583.212.60-1.333.021.884.156.046.504.993.214.913.385.92
0.951.52-1.93-1.47-5.362.260.633.153.795.654.352.664.212.635.11
0.951.52-1.93-1.47-5.362.260.633.153.795.654.352.664.212.635.11
1.432.05-1.41-0.80-4.263.642.434.555.176.775.273.575.243.776.09
2.041.78-2.44-1.76-5.432.050.362.874.015.604.312.664.282.685.17
0.540.77-3.28-2.76-9.850.921.041.482.282.372.441.652.541.713.11
2.222.012.002.161.942.121.592.072.382.633.293.332.832.743.06
------9.9611.8712.3612.6814.9313.7411.4213.7014.72
13.6112.3912.0916.8712.6915.249.2411.2015.0614.6321.4722.1918.9517.1622.24
26.8229.4530.1921.6328.7523.9639.5132.6024.2424.9517.0016.4519.2621.2716.42
3.853.66-23.36-23.83-83.427.131.0710.1015.4426.4321.2116.6620.1812.5021.98
4.284.08-27.77-28.51-122.858.451.2812.0816.0127.3921.8517.1720.7512.8222.58
1.131.07-5.16-4.12-16.592.390.403.556.3010.409.896.908.445.7910.21
2.462.45-13.35-10.15-40.844.580.746.8811.7220.2118.8014.4717.5712.4421.87
12.0414.0211.088.9811.3021.3424.9623.2922.4021.6924.0621.1120.4820.0018.64
1.390.210.181.321.561.154.275.015.794.034.803.585.103.045.00
0.69-0.30-0.350.520.270.232.953.915.352.653.502.683.471.873.92

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
1.771.771.671.601.611.531.531.571.551.491.431.431.461.591.501.411.411.391.381.371.381.271.491.471.521.451.401.571.561.501.511.471.481.501.511.741.831.901.911.731.711.681.791.761.691.681.601.571.651.651.581.531.591.581.541.581.551.631.611.551.481.491.54
0.320.340.360.360.410.330.340.330.340.370.370.430.390.490.570.570.560.570.580.510.490.400.350.360.340.330.340.310.320.320.310.320.320.320.330.240.330.240.240.240.120.120.110.110.110.120.120.130.120.120.120.130.130.010.010.010.010.010.010.010.010.010.05
0.480.510.560.560.710.510.520.570.600.690.730.760.640.951.351.351.321.391.401.071.000.680.540.570.540.520.520.460.470.480.470.490.520.520.530.320.490.310.320.320.140.140.140.140.130.140.140.160.150.150.150.150.160.010.020.030.030.030.030.040.040.050.05
2.154.212.651.736.335.03-1.013.56-0.423.493.944.423.232.392.782.753.842.111.732.791.97-10.401.522.154.874.301.20-40.214.480.683.104.990.785.115.785.785.726.116.546.626.996.585.805.345.304.634.76-0.224.294.474.394.954.345.095.341.881.125.515.305.895.765.996.02
1.204.161.39-0.635.502.39-3.760.49-0.303.213.08-7.342.88-2.06-0.96-6.221.910.89-0.73-1.70-5.49-12.25-0.562.023.293.940.01-54.773.55-0.332.173.860.214.034.54-0.734.925.125.645.656.345.505.104.314.614.194.30-0.813.724.033.783.973.724.574.670.780.404.974.674.774.855.195.59
1.204.161.39-0.635.502.39-3.760.49-0.303.213.08-7.342.88-2.06-0.96-6.221.910.89-0.73-1.70-5.49-12.25-0.562.023.293.940.01-54.773.55-0.332.173.860.214.034.54-0.734.925.125.645.656.345.505.104.314.614.194.30-0.813.724.033.783.973.724.574.670.780.404.974.674.774.855.195.59
---------------------------------------------------------------
2.105.062.440.636.563.33-2.671.320.083.182.79-7.621.94-2.39-1.49-6.611.570.61-0.85-1.56-5.59-12.34-0.701.882.903.76-0.19-57.873.35-0.511.933.58-0.063.744.28-0.906.354.975.475.596.315.435.044.264.564.154.26-0.853.714.043.833.983.834.664.770.810.455.034.744.824.905.265.67
1.324.001.58-0.524.261.29-3.12-0.331.701.22-7.950.89-3.26-2.60-3.340.56-0.67-7.19-11.63-16.05-9.99-1.67-0.022.012.35-0.367.231.91-0.511.251.410.102.102.36-1.183.913.093.173.931.281.482.772.652.592.242.32-0.062.032.262.462.452.242.742.762.22-0.973.052.782.712.993.203.53
0.580.620.560.550.550.580.570.540.530.510.480.510.480.470.480.670.480.520.510.320.590.460.460.600.420.540.510.030.540.510.530.540.510.530.490.570.580.640.600.670.680.630.670.760.770.860.850.850.810.850.740.760.740.790.670.690.720.710.680.760.770.770.86
--------------------4.553.712.56-2.502.953.060.303.563.353.253.082.912.572.602.992.733.002.863.212.902.983.083.423.013.473.553.622.993.082.893.053.183.683.293.512.952.722.753.673.904.695.21
3.904.143.403.363.383.393.453.353.593.323.133.094.184.133.885.243.193.263.372.094.432.782.994.282.233.142.790.203.223.123.042.932.852.902.963.633.673.803.623.714.733.754.804.945.785.304.555.655.875.614.435.074.494.254.144.335.054.304.325.544.644.173.99
23.0621.7426.4926.7926.6626.5726.1026.9025.0927.0928.7729.1021.5421.8023.1917.1928.2027.6326.7243.0420.3332.3630.0621.0140.3828.6832.2346127.9228.8329.6530.6731.5331.0730.4524.7724.5223.6924.8624.2819.0324.0018.7618.2315.5716.9719.8015.9315.3316.0520.3317.7620.0421.1921.7320.7617.8420.9320.8216.2419.4021.5822.55
1.076.821.96-1.958.953.45-6.82-1.60-1.254.313.40-16.722.12-5.08-4.26-27.621.97-0.692.54-5.49-44.78-17.46-1.420.352.594.12-0.39-4.193.29-0.202.312.190.533.663.70-1.045.884.995.177.296.175.155.044.775.515.545.920.854.575.294.905.314.805.394.673.94-0.855.014.464.845.495.767.74
1.177.512.18-2.179.973.85-7.64-1.79-1.435.054.02-19.882.38-5.75-5.11-33.052.62-0.943.40-8.09-60.60-22.22-1.710.423.134.99-0.47-4.993.93-0.242.762.620.654.423.70-1.085.884.995.177.556.175.155.044.915.515.545.920.874.575.294.905.464.805.394.674.04-0.855.014.464.975.495.767.74
0.352.250.60-0.572.531.01-1.96-0.47-0.351.120.86-3.700.54-1.15-0.75-4.770.35-0.120.42-1.09-9.57-4.86-0.490.120.901.44-0.13-1.571.23-0.070.840.770.191.301.32-0.432.462.132.172.872.842.322.422.222.492.482.520.351.972.292.082.221.972.502.141.83-0.392.452.122.252.462.553.29
0.724.531.25-1.255.252.31-4.51-1.08-0.832.732.13-9.561.29-2.61-1.81-11.770.86-0.291.08-2.69-22.71-10.50-0.930.231.702.76-0.25-2.872.25-0.141.591.490.362.492.48-0.793.943.813.955.575.444.554.464.234.894.895.200.744.014.644.294.634.175.364.653.92-0.844.994.444.815.465.737.38
13.6613.1011.9412.0411.8713.7413.3114.0213.5311.9211.5811.0813.0412.538.818.989.298.768.6111.3012.0117.8222.2421.3422.7422.6422.2624.9624.5523.6723.9423.2923.3723.5823.1322.4022.3322.1621.7821.6923.7024.0424.0724.0624.1622.9422.1321.1122.6521.7921.3920.4819.8420.4519.7720.0019.8819.9219.2718.6417.7017.0115.89
2.880.98-0.641.39-0.65-0.58-1.130.21-0.10-0.77-1.310.18-1.54-1.09-1.631.321.020.46-0.451.560.480.65-0.131.15-0.08-0.94-0.974.273.913.061.925.013.210.640.815.793.901.380.264.032.552.651.154.804.261.44-0.133.583.040.48-0.285.104.112.442.073.041.18-1.26-1.365.003.012.120.42
2.110.51-0.660.69-1.14-0.82-1.12-0.30-0.17-0.91-1.35-0.35-1.05-1.11-1.790.520.450.21-0.570.27-0.12-0.07-0.390.23-0.70-1.44-1.322.952.772.251.553.912.470.160.655.353.150.85-0.032.651.612.020.893.503.430.89-0.382.682.300.07-0.383.473.051.771.831.870.21-1.85-1.573.922.181.550.18