GATX Financial Ratios for Analysis 2009-2024 | GATX

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

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
2.793.042.362.952.521.773.323.082.613.485.043.505.264.733.58
0.770.760.750.730.720.720.710.760.770.760.730.740.760.740.73
3.263.182.932.752.622.552.453.173.283.242.772.873.152.852.64
72.5573.0671.8668.2067.7568.8962.1062.2660.7455.6553.5853.1651.7250.9557.29
27.5026.7223.6123.7323.4124.0524.2126.3024.7921.7718.8019.2317.3416.6027.35
27.5026.7223.6123.7323.4124.0524.2126.3024.7921.7718.8019.2317.3416.6027.35
55.2955.8953.7152.0851.0951.9047.6548.1745.7141.5539.0839.2937.3637.0747.05
17.4013.9115.5210.3612.0814.5315.5721.5318.6415.9312.0411.579.035.329.35
18.3712.2511.3812.5117.5717.9836.4618.1314.1614.1312.8211.049.307.257.05
0.120.130.130.140.150.150.190.200.210.210.200.210.200.200.22
---------------
6.467.867.688.508.015.686.466.236.405.694.683.772.982.743.16
56.5046.4547.5542.9245.5564.3056.4958.5557.0764.1577.9796.74122133115
11.407.687.097.679.8510.6528.0019.0816.0415.6012.1211.049.837.267.38
12.048.157.558.2810.3111.1729.4120.2617.1016.7013.0011.9110.697.918.10
2.291.551.501.682.182.506.763.622.982.962.582.271.891.481.56
2.681.841.812.052.723.008.124.583.743.683.212.852.371.882.03
64.0957.5557.0055.8552.6848.8447.3134.1630.5029.7330.4626.5324.1624.0223.92
14.5814.8614.0912.3411.7012.6712.6115.3912.379.818.517.786.505.195.47
-32.06-20.12-17.30-11.98-8.19-11.38-2.31-0.02-5.89-15.64-6.67-5.58-4.68-4.31-1.98

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
3.414.973.392.791.842.512.053.044.142.084.762.364.313.397.712.954.224.285.872.521.653.102.871.773.052.773.083.323.132.552.553.083.092.953.242.612.661.943.753.482.542.514.865.042.952.684.513.505.114.444.035.263.873.743.914.733.523.655.093.584.233.543.72
0.770.780.770.770.760.760.750.760.770.750.750.750.750.750.770.730.730.730.740.720.720.730.730.720.710.710.700.710.750.750.750.760.750.770.770.770.770.770.780.760.760.750.760.730.740.750.750.740.750.750.750.760.750.730.740.740.720.730.740.730.730.730.72
3.413.523.293.263.153.123.043.183.283.023.052.933.062.973.262.752.692.712.912.622.632.652.652.552.402.432.382.452.922.973.083.173.083.323.333.283.393.293.483.243.133.063.112.772.863.023.062.873.033.062.963.152.982.772.792.852.622.772.822.642.702.672.62
74.3772.6973.5772.6672.8172.7072.0074.3472.4373.2372.2473.5872.2870.8970.6370.2569.5867.3965.5368.3268.7867.7666.2510163.2062.1565.0561.0361.1860.3666.2859.3261.9760.3267.8261.2659.9458.9763.1253.9655.2454.6559.8753.6252.8351.1457.5550.8652.4051.8758.7556.9955.6456.5260.0152.8454.0754.1761.4053.0656.9556.2763.73
31.2828.5030.0126.5328.6027.5127.3827.7727.2626.1625.6822.6825.4923.3722.9224.1425.6622.7322.3420.6725.1723.7023.9729.1324.1423.1222.1721.3225.1423.7126.9524.1125.0223.6832.8622.8926.8824.2525.1220.2823.5921.1022.1918.9020.4116.9418.9116.5820.4919.4720.7428.3727.3227.7928.5723.0726.9424.3631.1826.5526.1125.3131.88
31.2828.5030.0126.5328.6027.5127.3827.7727.2626.1625.6822.6825.4923.3722.9224.1425.6622.7322.3420.6725.1723.7023.9729.1324.1423.1222.1721.3225.1423.7126.9524.1125.0223.6832.8622.8926.8824.2525.1220.2823.5921.1022.1918.9020.4116.9418.9116.5820.4919.4720.7428.3727.3227.7928.5723.0726.9424.3631.1826.5526.1125.3131.88
---------------------------------------------------------------
21.0910.9119.2713.0514.8819.4922.6914.1311.00-1.7932.1517.1316.4915.9912.337.6712.227.9513.636.4411.3519.3311.102.8713.819.9927.067.0315.9118.0821.962.6833.5122.7127.6919.5115.1515.6625.2416.2214.8016.6816.1514.5814.189.069.6210.019.7912.4114.8112.0412.8610.839.155.619.008.559.336.979.316.8214.94
21.5811.2719.1918.5014.3318.0722.8415.009.070.8323.9419.0012.791.7311.945.8415.7413.0815.4619.6015.0922.8613.0928.8413.4411.1024.9996.9713.6315.3318.198.5326.3717.0520.7215.3710.2312.4319.4614.5712.9214.5214.6914.9515.2310.369.958.9516.217.2711.818.859.698.017.056.216.717.296.636.976.714.4010.44
0.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.030.040.040.030.030.040.040.040.020.050.050.040.050.050.050.040.050.050.050.050.050.060.050.050.060.060.050.040.050.060.060.040.050.050.050.040.060.060.060.050.060.060.060.050.060.060.060.05
---------------------------------------------------------------
1.901.791.671.691.761.791.871.991.911.891.951.962.232.212.062.142.382.312.181.931.661.591.650.821.681.671.541.661.671.641.541.591.581.421.471.671.521.471.371.571.501.341.151.261.221.120.901.011.031.000.770.890.860.840.730.770.830.810.830.850.800.810.74
47.3850.3453.9053.3151.2150.3548.0945.1847.1047.5846.2545.9340.2840.6743.7641.9737.7639.0041.3346.7554.3456.6054.7110953.4553.8258.5254.3654.0154.8458.6056.5557.1163.3761.0753.8859.4061.1565.8557.1759.8267.3478.3571.2273.9280.2099.7289.4087.6489.72116101105107123117109111109106112111122
3.651.893.202.902.412.913.682.381.500.133.683.022.030.281.860.912.501.972.582.282.083.292.291.592.562.134.1519.083.333.704.152.296.984.685.314.553.113.534.854.453.853.862.963.824.102.882.222.394.392.012.582.802.852.221.721.751.922.061.711.951.761.192.58
3.841.993.373.072.553.073.902.531.590.143.913.222.180.302.000.982.612.062.702.382.183.442.401.672.682.244.3520.043.543.934.402.437.424.995.674.853.333.775.174.764.134.153.174.094.413.112.392.584.742.172.803.053.102.421.881.912.102.241.862.141.931.302.82
0.720.360.640.580.490.600.770.480.290.030.770.640.420.060.370.200.550.430.540.500.460.720.500.370.630.521.024.610.670.730.810.431.350.860.980.840.570.660.880.850.750.770.590.810.850.570.440.490.880.400.520.540.570.470.360.360.410.420.350.410.370.250.55
0.830.420.750.680.580.710.910.570.350.030.910.770.500.070.440.240.680.530.660.630.570.900.630.450.750.621.235.530.850.931.020.551.711.081.231.060.710.821.081.050.930.950.721.011.060.720.550.621.090.490.650.680.720.590.460.450.530.550.450.540.480.320.71
68.5665.7965.3364.0961.2961.4759.4657.5555.0856.1157.8757.0055.7255.5855.3955.8555.1753.6452.4152.6850.9151.4549.9748.8448.8448.2148.8047.3138.3837.2735.4334.1634.3932.3631.9330.5029.9529.7429.2129.7330.1430.6830.9130.4628.3926.3826.1626.5326.1324.9825.1024.1624.7925.5724.8724.0223.7322.5723.6923.9224.1223.2422.66
11.036.572.7214.5811.187.242.6514.869.886.012.7814.099.445.522.1312.348.535.631.5411.707.734.921.7312.678.865.382.0112.618.115.671.3015.3910.735.871.9112.377.194.331.259.816.313.631.108.515.412.740.517.784.722.360.596.474.002.480.795.213.221.84-0.015.472.751.780.59
-25.88-16.29-7.63-32.06-23.39-17.23-8.01-20.12-14.99-12.46-7.18-17.30-14.15-12.91-11.64-11.98-9.09-5.43-3.39-8.19-6.29-3.611.73-11.388.674.910.99-2.31-2.735.95-3.92-0.02-1.01-4.48-3.66-5.89-7.02-5.98-5.01-15.64-15.31-13.77-11.64-6.67-7.62-5.16-2.69-5.58-4.28-5.44-2.59-4.66-4.24-2.83-1.50-4.330.18-0.63-1.43-1.98-3.08-2.14-1.04