Gerdau S.A Financial Ratios for Analysis 2009-2024 | GGB

Fifteen years of historical annual and quarterly financial ratios and margins for Gerdau S.A (GGB).

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
2.592.322.332.042.462.062.332.062.822.662.512.102.562.582.94
0.170.180.230.350.360.340.380.400.430.340.320.300.310.390.37
0.250.290.350.590.620.570.690.850.830.590.520.510.520.730.66
16.4422.7526.5713.5410.6013.329.769.209.8512.0812.8812.5014.4317.5816.70
15.1721.5426.8311.868.038.773.07-4.31-7.326.576.776.167.9511.483.60
15.1721.5426.8311.868.038.773.07-4.31-7.326.576.776.167.9511.483.60
19.5925.0230.2317.5613.2612.878.742.42-1.3411.8111.8710.9712.9617.5110.18
13.5619.2425.887.984.224.67-0.12-6.86-13.983.143.644.116.649.433.89
10.8913.8619.785.403.044.99-0.97-7.68-10.443.303.973.755.666.824.23
0.921.121.060.690.730.900.730.690.620.670.680.720.710.730.60
3.783.573.414.134.634.364.975.404.474.224.093.683.763.813.84
10.0311.439.437.3110.8311.0610.018.007.287.617.728.208.018.407.87
36.4031.9438.7149.9033.7033.0136.4745.6150.1347.9947.2844.5145.5543.4746.41
15.3124.7936.347.684.488.97-1.42-11.89-14.214.485.295.207.9112.204.57
19.8133.5252.0713.017.1514.55-2.25-21.40-29.697.778.848.6013.0422.737.98
10.0615.5621.083.782.254.54-0.67-5.28-6.562.362.912.824.205.732.25
12.7220.3027.925.002.885.96-0.88-7.14-8.202.933.613.665.467.422.86
4.684.473.662.783.223.323.473.234.596.566.896.847.35-6.20
1.061.031.070.580.190.260.300.471.030.510.891.040.501.321.80
0.570.640.820.44-0.010.620.260.330.710.270.380.30-0.070.911.43

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
2.982.832.792.592.932.942.492.322.252.222.432.332.702.582.302.042.412.142.032.462.132.191.892.062.422.362.392.331.892.082.062.062.892.852.672.822.862.702.842.662.682.822.642.512.502.502.022.102.172.202.532.562.682.772.392.582.193.032.992.942.812.73-
0.170.180.160.170.180.180.170.180.160.170.210.230.290.310.340.350.360.370.370.360.330.330.330.340.370.380.380.380.360.380.380.400.400.400.410.430.410.360.360.340.330.330.320.320.310.310.290.300.290.300.300.310.310.300.380.390.370.360.370.370.390.420.43
0.250.250.240.250.250.240.270.290.280.280.320.350.440.460.540.590.650.720.710.620.590.580.600.570.680.710.690.690.750.790.790.850.760.740.780.830.770.640.640.590.560.530.530.520.510.510.520.510.520.520.500.520.510.490.700.730.710.640.650.660.730.850.90
14.8313.1614.9311.2916.3717.9519.2315.9322.4025.7025.4823.7830.1128.3023.2320.2213.888.219.276.779.9212.5312.6612.0314.5113.6712.8910.6310.2810.227.735.8612.0310.578.066.9110.1510.9810.6411.8411.9212.1012.4713.3814.6213.589.9111.3112.2014.2812.0313.0914.9315.5813.9312.4716.4821.8719.8019.2022.1212.5311.34
12.219.1416.986.5713.9715.7922.7413.3821.1025.2124.6620.3434.6629.0821.7719.8911.298.875.135.727.069.119.876.079.919.619.10-12.346.435.2614.28-31.846.854.192.07-35.26-10.735.124.588.845.925.775.957.998.267.283.544.755.818.005.866.338.619.247.429.039.6114.4913.0310.2812.12-13.612.72
12.219.1416.986.5713.9715.7922.7413.3821.1025.2124.6620.3434.6629.0821.7719.8911.298.875.135.727.069.119.876.079.919.619.10-12.346.435.2614.28-31.846.854.192.07-35.26-10.735.124.588.845.925.775.957.998.267.283.544.755.818.005.866.338.619.247.429.039.6114.4913.0310.2812.12-13.612.72
---------------------------------------------------------------
10.356.1614.045.6111.1713.4822.4810.5418.5923.6422.1817.3335.0329.3820.1113.548.815.102.622.911.406.156.142.076.473.885.98-16.923.44-0.2714.90-36.551.113.962.38-39.46-22.263.26-3.962.510.884.015.244.836.481.731.622.064.424.515.145.208.027.345.786.459.5411.969.778.4111.85-6.41-0.76
7.755.1712.614.359.2711.6916.996.1914.2418.6414.3916.0526.1720.4715.008.176.433.612.350.852.883.644.483.616.125.774.25-14.531.420.829.64-33.951.060.710.09-37.62-16.292.382.813.722.363.413.764.655.673.951.621.323.965.374.024.737.895.214.674.856.558.847.099.798.12-4.161.27
0.210.200.210.200.220.250.250.240.270.300.280.280.280.290.240.210.190.140.150.170.190.200.190.200.230.220.200.190.180.170.160.170.150.180.160.130.160.160.150.160.170.180.180.170.190.180.180.160.180.190.190.170.180.200.190.190.190.180.160.160.150.13-
0.930.870.860.870.900.880.890.820.870.920.930.940.950.991.051.131.180.840.881.100.990.930.930.991.201.231.301.281.251.181.141.341.111.361.140.941.071.000.921.001.011.021.061.001.091.000.970.840.940.910.970.910.971.071.091.040.950.900.921.030.930.90-
2.382.122.262.172.052.192.172.412.262.362.172.492.302.322.442.162.371.932.112.472.282.182.072.472.532.432.392.611.871.911.751.921.671.981.751.481.761.751.631.791.931.911.861.911.951.971.731.841.891.851.911.901.882.052.042.161.971.941.782.171.901.77-
37.8442.4039.8841.4843.9741.0941.4337.3139.8538.0741.4536.1439.0638.7536.8741.6737.9246.5542.7336.5139.4441.2343.4636.5035.6037.1037.7334.4748.0747.0951.5746.8354.0245.3551.5260.6251.1651.2955.2850.2246.6147.1848.4247.1946.1945.6652.0349.0447.5348.5347.0247.2547.7943.9244.1441.7045.7346.3050.5841.5647.3050.97-
2.441.573.941.343.134.366.592.356.129.056.917.7813.5510.897.123.432.521.040.750.291.051.401.711.452.952.721.86-5.850.580.303.31-12.690.340.290.05-10.36-5.440.750.731.100.791.241.391.572.061.320.560.421.411.931.481.622.682.052.012.213.003.692.532.712.97-1.470.14
3.152.045.061.734.065.658.693.188.1912.149.3411.1519.8816.4211.855.804.491.881.340.461.702.222.742.364.814.472.93-9.300.990.525.67-22.840.670.560.09-21.66-11.681.361.351.921.312.012.292.623.412.190.920.702.323.192.402.674.383.223.664.125.496.274.374.735.24-2.76-0.11
1.661.052.670.882.082.904.241.473.795.544.114.517.425.883.631.691.250.500.370.150.550.730.870.741.411.280.88-2.780.280.141.54-5.640.160.140.02-4.78-2.560.380.380.580.430.680.760.861.140.730.310.230.761.030.800.861.441.120.951.041.421.851.261.341.43-0.67-
2.021.293.291.112.573.595.461.925.117.535.465.989.597.524.692.231.610.660.480.190.700.931.150.971.851.681.16-3.640.370.192.04-7.620.200.170.03-5.98-3.190.480.470.720.530.830.941.071.420.900.400.301.001.361.041.121.851.431.241.341.902.351.591.691.82-0.860.08
4.755.045.994.684.934.714.484.474.354.523.763.6610.973.152.932.782.702.633.093.223.253.133.243.323.143.303.433.473.663.673.683.233.963.673.594.594.795.335.926.566.776.576.196.896.296.836.596.846.596.726.997.357.587.106.41--7.227.006.206.57--
0.740.250.081.060.730.500.181.030.850.580.211.070.420.190.130.580.330.120.120.190.220.03-0.050.260.030.03-0.030.30-0.030.000.010.470.260.190.111.030.700.340.160.510.400.270.030.890.660.310.111.040.730.440.220.500.110.010.291.321.060.550.241.801.540.940.41
0.530.180.120.570.380.290.090.640.620.440.150.820.260.100.100.440.240.050.07-0.010.22-0.06-0.080.620.150.08-0.010.26-0.040.000.000.330.120.090.050.710.460.150.060.270.100.04-0.100.380.290.070.000.300.180.080.03-0.07-0.26-0.190.180.910.820.410.171.431.210.720.28