Frontline Financial Ratios for Analysis 2009-2024 | FRO

Fifteen years of historical annual and quarterly financial ratios and margins for Frontline (FRO).

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
1.782.251.161.340.531.441.452.101.931.841.992.102.451.171.29
0.580.480.560.560.470.590.590.460.450.251.020.910.870.770.76
1.521.061.421.361.361.571.580.940.930.36-69.1610.947.153.813.66
56.4645.7226.0855.3141.4028.6535.8353.7352.6236.6027.9926.4028.6447.4047.48
40.8830.981.1241.5825.0211.14-12.9123.5362.5849.926.343.27-56.2226.4321.19
40.8830.981.1241.5825.0211.14-12.9123.5362.5849.926.343.27-56.2226.4321.19
53.5342.2722.3853.0837.8227.999.3241.5974.6464.5328.7823.22-28.2344.8242.24
35.9533.09-1.3733.8214.65-1.09-40.8515.6255.6856.8251.90-12.25-73.2814.099.34
35.9433.06-1.9933.8114.62-1.20-40.9815.5133.6961.8151.90-14.31-73.2013.859.06
0.310.300.180.310.260.240.210.250.160.100.100.340.390.310.31
5.887.296.899.438.417.706.729.268.448.012.177.4012.7910.2016.96
12.699.408.8415.829.189.408.9810.254.746.663.5712.159.4914.439.03
28.7738.8241.2823.0739.7638.8240.6335.6176.9354.8310230.0538.4525.2940.41
28.8221.04-0.9125.639.27-0.72-22.267.8417.669.49-385.02-54.31-248.6221.6114.05
30.3222.14-0.9827.5510.02-0.80-24.589.2220.919.49-385.01-54.31-248.6221.6114.05
11.169.97-0.3610.543.79-0.27-8.433.968.865.495.08-4.22-28.844.322.84
12.0010.88-0.4011.384.93-0.29-9.084.239.687.155.99-4.77-31.884.993.41
10.2310.158.078.157.676.866.998.831.859.37-1.048.4213.7148.7548.21
3.851.800.433.051.560.270.771.821.730.470.204.403.6518.7920.65
-2.840.61-1.552.220.47-1.00-3.43-1.04-1.02-1.15-1.464.1311.78-13.309.88

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
1.381.751.781.791.921.752.251.631.060.661.161.200.781.371.341.110.700.780.531.441.231.381.441.321.341.251.451.471.661.512.101.481.291.971.931.361.890.821.840.790.741.901.992.062.272.462.102.042.282.492.451.341.331.251.171.531.461.281.291.251.251.24
0.580.610.580.460.460.480.480.510.500.520.560.570.550.550.560.550.510.520.470.590.580.580.590.610.620.620.590.550.520.480.460.490.480.470.450.670.431.000.251.171.070.991.021.041.010.920.910.900.880.870.870.810.770.760.770.770.760.740.760.770.770.77
1.591.721.521.011.001.071.061.161.221.351.421.461.411.331.361.371.351.401.361.571.521.511.571.681.791.741.581.321.161.020.941.041.020.970.932.410.81-27,900.630.36-8.76-20.14190-69.16-31.15-171.8512.5810.949.847.526.767.154.703.693.613.813.783.533.243.663.893.884.11
57.9757.0151.1249.8461.6260.4157.9143.2838.4830.5435.2813.6218.1833.7227.2449.5167.1359.6252.9225.5133.1244.4639.0626.6220.4225.6635.7327.4831.7046.0447.6441.6955.6965.2060.1645.6849.0752.1223.3030.3119.9638.9710.7419.2311.5519.7823.676.1034.0736.086.2822.8531.9538.93-13.6143.7365.3566.3055.1257.9366.6467.42
42.1340.4533.2330.4348.4547.0846.0829.4122.319.316.76-11.20-6.8712.731.6428.6858.2650.6239.156.4613.7628.9326.1812.24-0.602.24-65.76-3.84-0.9423.0310.0012.6219.3245.2511233.5637.8641.30-119.40-27.67-55.103.28-53.95-16.34-82.54-0.104.30-14.766.9411.79-327.89-78.09-0.4818.2311.5019.2933.6334.275.5812.8224.9235.19
42.1340.4533.2330.4348.4547.0846.0829.4122.319.316.76-11.20-6.8712.731.6428.6858.2650.6239.156.4613.7628.9326.1812.24-0.602.24-65.76-3.84-0.9423.0310.0012.6219.3245.2511233.5637.8641.30-119.40-27.67-55.103.28-53.95-16.34-82.54-0.104.30-14.766.9411.79-327.89-78.09-0.4818.2311.5019.2933.6334.275.5812.8224.9235.19
--------------------------------------------------------------
31.1329.3628.5528.5744.2138.9844.9340.9317.0612.999.48-19.32-15.6814.89-5.2223.0851.5840.1532.45-5.300.5016.8511.841.25-13.55-7.98-138.92-17.00-12.7715.3110.453.627.5734.8038.1657.5875.6260.21-161.82-47.45-66.27-8.91-102.33-29.29-99.29-14.61-10.99-35.17-8.41-0.45-362.25-95.72-16.057.22-4.825.0922.9024.351.88-2.0610.0821.68
30.8829.1128.5028.5744.1839.0244.8940.8817.0513.007.34-19.33-15.6614.90-5.2523.0751.5840.1532.36-5.310.5516.8011.691.19-13.70-8.04-139.11-17.14-12.9115.2510.283.487.4634.7438.0257.5822.2811.80-163.84-43.98-65.76-7.11-102.19-28.81-99.22-14.90-10.84-43.53-14.874.81-360.34-95.54-16.066.59-5.244.8822.8324.021.50-2.419.8621.49
0.090.090.070.080.110.110.110.080.070.050.050.040.040.050.040.060.100.100.090.060.060.080.070.060.050.050.060.040.050.060.060.050.070.080.050.130.070.10-0.070.130.100.12-0.180.090.080.080.090.070.090.080.050.050.060.060.060.070.090.090.070.060.070.09
------2.09---1.74---2.20--2.342.38---1.92---1.86---2.48---2.38----7.32----4.81--2.382.03---2.21---3.93---8.18---
------3.48---2.55---2.27--4.093.22---2.75---2.48---2.42---1.59----5.03----6.39--3.083.21---1.25---2.80---2.09---
------25.85---35.24---39.72--22.0127.91---32.73---36.26---37.15---56.52----17.89----14.08--29.2328.05---71.92---32.13---43.08---
7.737.615.204.8410.058.9910.587.712.691.720.97-2.10-1.651.76-0.573.5211.9910.317.21-0.860.083.332.190.21-2.00-1.17-20.90-1.66-1.321.801.220.401.03-4.0527.439.75-175,941.6020.4552.22128-222.82-1,360.4183.161,469-16.48-12.90-26.84-7.03-0.35-162.00-29.87-4.862.20-1.561.649.849.894.49-0.753.6210.35
8.117.995.475.1010.569.4711.138.162.861.841.04-2.26-1.771.89-0.613.7912.8611.087.79-0.950.093.672.420.23-2.21-1.30-23.09-1.97-1.562.111.440.481.226.364.8027.439.75-175,708.3020.4552.22128-222.82-1,360.4183.161,469-16.48-12.90-26.84-7.03-0.35-162.00-29.87-4.862.20-1.561.649.849.890.52-0.753.6210.35
2.912.732.012.344.914.235.013.431.170.710.39-0.83-0.670.74-0.231.434.934.142.94-0.320.031.280.830.07-0.70-0.41-7.92-0.70-0.600.860.620.190.492.652.037.275.055.8911.83-6.20-6.31-1.1117.96-2.63-8.20-1.17-1.00-2.30-0.77-0.04-18.79-5.09-1.000.46-0.310.332.052.180.11-0.150.711.94
3.222.942.162.625.454.715.473.791.340.820.42-0.89-0.750.79-0.251.585.924.953.83-0.350.031.390.890.08-0.75-0.45-8.53-0.75-0.640.930.660.210.542.872.228.975.607.9315.41-9.06-8.53-1.2721.16-2.92-9.08-1.28-1.13-2.60-0.86-0.05-20.77-5.72-1.140.53-0.360.372.362.580.13-0.180.842.33
10.9010.6710.2310.0010.319.9810.159.119.378.278.077.998.168.308.158.208.438.127.676.867.117.096.866.706.696.826.998.46-8.888.838.939.099.381.855.681.270.009.37-6.20-3.150.36-1.04-2.83-0.527.218.429.5012.64-13.71---48.75---48.21---
1.810.773.850.732.491.211.803.390.450.100.430.190.210.063.052.942.251.041.561.030.840.580.270.050.080.070.770.710.640.471.821.611.300.771.731.030.080.400.431.931.071.14-0.37-3.09-2.93-1.834.402.853.060.873.652.432.300.0020.110.009.840.0019.0415.9213.095.81
-0.55-2.49-2.84-0.052.450.980.613.350.010.42-1.55-0.93-0.71-0.162.222.141.610.900.470.03-0.030.22-1.00-0.86-1.12-1.03-3.43-3.46-2.03-0.98-1.04-0.95-0.86-0.25-1.02-1.41-0.13-1.280.07-0.310.262.57-0.40-3.19-3.01-1.214.133.532.991.4911.786.887.80--13.95--15.39-6.369.816.774.451.28