Ferroglobe Financial Ratios for Analysis 2009-2024 | GSM

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

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
20232022202120202019201820172016201520152014201420132012201120102009
2.101.901.231.522.061.771.541.371.732.85-3.303.964.034.163.201.95
0.160.310.580.500.450.350.300.170.190.16-0.190.190.180.060.050.10
0.240.571.831.330.850.560.460.480.390.21-0.260.290.230.090.090.19
46.7150.5333.3927.0024.8235.4740.0933.8037.8118.7437.3515.5513.1521.6423.9717.4722.58
11.9425.431.76-16.11-22.014.422.28-23.67-1.157.737.371.97-1.1812.9614.7611.49-7.71
11.9425.431.76-16.11-22.014.422.28-23.67-1.157.737.371.97-1.1812.9614.7611.49-7.71
16.3928.577.24-6.65-14.409.738.28-15.703.9413.7812.647.514.2418.2418.7015.92-3.07
9.4622.78-6.74-19.43-25.501.59-1.19-25.72-0.657.035.584.46-2.2512.2814.4411.60-7.92
5.0116.95-6.22-21.53-17.371.95-0.04-21.47-3.293.912.712.88-2.787.738.237.21-9.85
0.941.331.170.850.931.060.870.780.550.97-0.890.870.750.950.780.90
2.292.574.093.393.433.172.893.291.925.43-7.866.504.634.474.484.90
5.025.984.544.454.7511.3413.086.5365.1014.61-7.479.048.2810.548.4517.69
72.7861.0180.3482.1076.8232.1727.9155.875.6124.99-48.8940.3844.1134.6143.1720.63
11.3258.64-36.05-66.82---0.62-40.20-41.236.76-4.98-3.639.5911.017.47-14.58
14.0372.13-60.82-77.51-71.032.40-0.86-59.87-7.347.39-5.43-3.9410.5912.308.43-17.57
5.6022.67-7.57-18.14-21.350.71-0.29-17.76-2.454.18-3.07-2.276.188.365.64-9.59
9.5340.23-15.05-33.35-33.951.11-0.43-33.36-3.645.65-4.01-2.937.8710.317.11-13.05
4.614.011.692.143.535.185.455.1912.996.95-7.067.258.056.876.174.65
0.942.14-0.010.91-0.180.680.870.711.461.481.950.840.971.360.80-0.260.99
0.501.86-0.160.73-0.380.140.440.290.830.801.490.210.380.810.34-0.560.20

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.831.631.742.102.332.631.771.901.901.911.481.231.341.401.401.521.771.992.062.061.761.381.741.771.921.751.541.541.802.512.261.371.22--2.96-3.343.583.29-3.152.673.33-3.413.593.13-3.363.702.94-3.813.362.82-3.162.982.261.95-
0.020.020.020.160.160.290.330.310.320.400.480.580.590.570.540.500.440.460.460.450.420.300.360.350.350.340.330.300.310.340.320.170.14--0.17-0.160.190.20-0.200.160.16-0.210.200.19-0.110.120.13-0.070.050.04-0.020.030.080.10-
0.100.080.080.240.260.500.690.570.590.881.191.831.851.631.431.330.910.860.880.850.910.650.580.560.560.530.510.460.620.550.470.480.48--0.21-0.210.260.26-0.250.200.20-0.280.260.24-0.190.200.20-0.100.110.08-0.120.080.160.19-
40.9041.4134.3246.9153.0749.8136.3835.4551.9256.0252.3934.7931.2135.9830.7855.9636.7233.5721.8116.3827.2628.5826.3822.6436.2440.5142.8139.2140.8041.2239.1131.4935.1236.4832.2615.09-20.99-18.18-15.88-11.97-7.46-15.98-19.62-27.00-29.62-14.90-11.8718.7524.1623.4217.40
9.379.880.653.7818.0913.7711.096.6226.0331.5529.529.812.622.01-12.2329.11-14.76-4.59-15.70-20.85-55.72-9.11-6.04-13.682.7217.0511.68-0.356.042.440.92-61.20-9.23-17.88-5.966.19-8.14100.0010.63-3.95100.00-2.56--21.78100.00-2.82-11.50100.0018.57-21.27100.005.99-2.9428.1411.691.091.28
9.379.880.653.7818.0913.7711.096.6226.0331.5529.529.812.622.01-12.2329.11-14.76-4.59-15.70-20.85-55.72-9.11-6.04-13.682.7217.0511.68-0.356.042.440.92-61.20-9.23-17.88-5.966.19-8.14-10.63-3.95--2.56--21.78--2.82-11.50-18.57-21.27-5.99-2.9428.1411.691.091.28
--------------------------------------------------------------
7.359.50-0.95-0.8016.2012.408.713.7722.9329.0927.168.29-22.900.11-19.1925.88-15.07-8.83-19.20-24.37-60.61-11.62-9.18-16.19-0.2713.749.15-4.222.08-0.22-2.36-63.83-11.30-19.69-7.655.51-7.488.239.90-2.4111.43-5.51--23.4611.68-3.16-10.5212.4818.63-21.1112.705.25-2.4928.1712.856.831.25
4.347.73-0.52-2.969.816.995.241.3816.4622.0421.139.03-22.510.46-18.6540.92-18.00-8.39-15.39-19.23-36.81-9.97-6.00-10.23-0.2411.676.541.36-0.740.67-1.65-60.82-7.82-10.61-6.183.43-3.975.045.68-0.8011.64-3.96--20.498.37-2.84-6.708.1211.83-13.547.521.57-0.4617.128.012.011.23
0.260.270.240.210.240.250.210.230.320.440.390.370.300.290.27-0.160.180.530.200.220.190.190.210.270.240.260.240.230.210.210.200.200.16--0.22-0.240.240.24-0.240.210.21-0.220.190.21-0.220.220.23-0.260.250.22-0.190.180.200.17-
0.630.670.710.520.510.600.610.580.560.920.941.281.041.121.10-0.370.531.700.850.890.580.580.730.980.600.650.650.790.760.740.770.860.64--1.22-1.261.341.81-2.141.701.68-1.541.011.26-1.251.091.03-1.201.231.23-1.571.611.401.01-
1.351.461.231.141.351.521.241.031.421.671.421.461.361.411.24-0.811.364.171.321.111.012.122.772.933.203.463.553.521.331.741.671.651.75--3.74-2.562.932.24-2.062.542.25-2.192.262.42-2.402.722.57-2.803.272.71-2.482.952.743.39-
66.4361.5772.9078.7766.5959.3272.4887.1263.3153.9063.3161.8566.4063.6372.71-110.6466.3921.6068.2981.2488.9042.3932.4730.7228.0926.0125.3625.6067.6251.7153.8454.5851.36--24.09-35.1230.7440.17-43.7635.4839.99-41.0839.8737.20-37.5633.0535.08-32.1727.4933.15-36.2630.4832.8726.55-
-------1.21---15.63----23.54-----------0.67----27.57---1.14-1.65-2.45-0.40--1.28--7.37--0.86-2.23-4.04-4.73-0.63-0.234.022.290.53-
2.465.25-0.41-1.026.225.396.281.4917.2436.0658.5926.38-60.070.40-28.15-27.30-9.53-15.25-11.02-14.90-38.04-7.77-5.65-13.32-0.288.814.990.93-0.800.16-1.32-41.07-4.45--1.25-1.81-2.67-0.43--1.39--8.05--0.96-2.47-4.50-5.30-0.71-0.264.562.690.63-
1.132.06-0.16-0.412.591.951.340.475.319.718.173.28-6.870.05-5.19-6.39-2.91-4.58-3.20-4.48-11.07-2.02-1.58-3.95-0.092.941.550.31-0.230.05-0.40-12.18-1.38--0.71-1.07-1.49-0.24--0.82--4.45--0.53-1.58-2.71-3.59-0.46-0.172.951.570.35-
2.003.86-0.30-0.694.303.132.600.839.5617.3016.376.53-14.130.11-10.52-11.75-4.81-7.08-5.00-7.12-19.07-3.68-2.47-6.17-0.144.322.440.47-0.380.07-0.61-22.88-2.29--0.95-1.39-1.97-0.32--1.08--5.85--0.70-1.98-3.51-4.42-0.60-0.233.912.120.47-
-------4.01---1.69---2.14---3.53---5.18---5.45---5.19---6.80-6.997.086.97-6.897.147.09-7.207.847.83-7.347.176.96-6.646.286.09-6.076.004.874.65-
1.111.051.050.940.790.830.712.141.511.220.35-0.01-0.130.070.110.910.890.230.53-0.18-0.38-0.040.160.68-0.05-0.15-0.120.87-0.120.190.070.710.440.310.170.120.000.680.580.340.000.550.820.510.000.530.170.210.000.620.320.160.000.560.250.200.00-0.370.220.340.960.47
0.800.840.960.500.470.620.621.861.311.100.30-0.16-0.220.020.070.730.780.200.50-0.38-0.41-0.160.080.14-0.20-0.45-0.250.44-0.360.030.000.290.130.070.02-0.06-0.120.160.11-0.180.580.42-0.05-0.070.11-0.12-0.030.03-0.21-0.010.07--0.580.090.280.19-0.22