Goodyear Tire & Rubber Financial Ratios for Analysis 2009-2024 | GT

Fifteen years of historical annual and quarterly financial ratios and margins for Goodyear Tire & Rubber (GT).

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
1.071.211.111.101.121.241.211.191.241.511.721.601.651.521.76
0.590.570.560.630.510.500.510.500.550.620.770.890.820.820.81
1.581.441.431.841.251.141.181.161.381.663.358.145.115.154.58
17.4918.5121.6616.1021.3222.7124.0427.8626.0223.3321.0718.2417.3317.9516.10
2.325.076.22-4.375.567.779.2211.9710.138.346.965.294.943.981.36
2.325.076.22-4.375.567.779.2211.9710.138.346.965.294.943.981.36
8.539.7711.985.3711.0512.8914.4416.9514.5112.4510.758.888.237.595.38
-3.371.922.94-9.251.206.535.717.963.703.794.162.102.710.04-2.19
-3.430.974.37-10.18-2.114.482.258.341.8713.483.070.871.41-1.15-2.30
0.930.930.820.750.860.920.900.921.001.011.111.241.291.201.13
4.483.713.814.804.074.194.194.164.945.215.485.284.885.195.60
7.357.977.327.297.607.627.598.578.098.538.028.197.996.886.42
49.6845.7949.8550.0948.0547.8848.0742.6045.1342.7845.4844.5645.6853.0356.87
-14.203.8215.05-38.36-6.5313.967.5327.179.0865.5749.3419080.66-17.81-36.92
-22.256.0624.83-46.02-7.7316.228.8731.6710.9081.1763.56-132.40202-212.99-313.79
-3.180.933.64-7.57-1.734.202.147.782.2913.973.851.402.37-1.05-2.53
-5.891.646.59-14.38-3.196.953.6813.484.0825.068.414.307.18-3.13-7.04
17.0319.3118.3813.9919.5121.8520.2118.7515.5114.297.532.554.163.794.07
3.621.824.024.775.183.834.585.856.331.223.394.202.853.825.38
-0.01-1.710.362.001.930.451.142.242.96-2.09-0.83-0.30-0.72-0.082.29

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
1.061.151.071.301.281.321.211.331.301.231.111.181.141.121.101.161.171.171.121.331.331.281.241.341.361.311.211.371.311.291.191.371.411.391.241.661.621.681.511.691.601.631.721.751.731.691.601.821.781.701.651.811.651.671.521.701.741.741.761.891.901.87
0.580.610.590.610.600.600.570.600.590.580.560.610.610.620.630.650.650.590.510.530.530.520.500.530.540.530.510.530.510.510.500.540.570.570.550.560.580.600.620.760.760.790.770.840.870.890.890.790.820.820.820.760.730.750.820.800.830.810.810.830.860.85
1.751.721.581.681.671.661.441.651.571.571.431.841.811.861.842.192.321.761.251.331.331.291.141.301.311.261.181.251.181.201.161.281.411.401.381.381.451.551.663.263.273.883.355.446.828.368.143.974.694.895.113.433.023.275.154.415.144.724.585.757.396.77
20.7418.1220.4518.8815.2915.1416.0818.9419.9519.1921.4721.0822.6421.6523.5819.91-3.3616.4921.8222.0121.3919.9822.3922.9123.2222.3024.3222.1124.4425.3928.2328.8827.4826.8224.4228.3027.4423.8123.3224.5024.1421.2822.9821.1121.4118.8118.7318.0319.5916.7415.2717.9618.6517.4217.3916.9718.6019.0619.2919.6614.968.96
4.752.780.925.800.741.703.115.846.205.186.636.346.115.587.033.90-31.30-8.485.176.975.264.787.438.837.916.8710.108.218.749.8112.1413.3112.1910.166.5713.1711.918.707.2110.489.156.357.627.407.295.524.725.646.064.772.536.805.255.053.294.073.804.894.875.59-0.61-6.11
4.752.780.925.800.741.703.115.846.205.186.636.346.115.587.033.90-31.30-8.485.176.975.264.787.438.837.916.8710.108.218.749.8112.1413.3112.1910.166.5713.1711.918.707.2110.489.156.357.627.407.295.524.725.646.064.772.536.805.255.053.294.073.804.894.875.59-0.61-6.11
--------------------------------------------------------------
3.06-1.15-6.02-1.15-4.31-2.02-1.732.004.842.733.863.792.460.943.47-0.29-41.46-12.040.323.182.26-1.065.2113.064.762.957.054.135.156.468.798.067.767.23-12.5510.307.868.922.896.426.27-0.675.394.985.231.030.633.533.221.010.125.032.143.44-2.860.851.810.683.133.19-6.87-10.32
1.86-1.26-5.69-1.73-4.27-2.04-1.940.833.191.9610.942.681.680.341.72-0.06-32.46-20.26-10.562.311.49-1.702.848.944.091.96-2.363.293.994.4915.008.245.214.99-9.356.484.605.5748.883.464.57-1.304.743.323.700.54-0.022.091.65-0.200.302.660.711.91-3.49-0.400.62-1.102.411.64-5.60-9.42
0.210.210.240.230.210.210.240.230.230.220.240.230.190.210.220.210.140.180.220.210.200.200.230.220.220.220.240.220.210.220.230.220.230.220.250.240.240.230.240.280.270.260.270.280.280.280.300.290.290.310.320.330.320.310.320.320.310.290.310.280.260.24
0.890.971.101.050.950.920.990.890.950.991.101.130.931.171.301.290.900.871.021.000.920.981.051.031.001.031.111.020.870.971.020.991.051.021.251.181.191.211.251.201.131.161.311.341.231.241.261.201.051.161.251.231.131.341.411.381.271.281.471.391.150.99
1.501.501.871.521.601.522.061.491.581.522.121.551.411.632.161.541.241.511.911.381.471.471.911.471.611.532.011.471.601.632.111.451.571.492.001.601.691.592.051.541.641.531.971.541.701.611.971.481.621.571.991.511.591.521.851.431.591.491.751.431.551.42
59.9360.1748.0459.1456.0959.0943.7160.3357.0959.0542.5158.2463.7655.3441.6358.4772.5059.6447.0565.0561.2861.1847.1461.1855.9558.9644.7761.3356.3855.2342.5661.9757.4260.5245.0356.2753.4156.4343.9358.3854.9258.6645.7458.5552.9656.0345.7260.7855.4757.4245.1259.5156.6759.1448.5562.7856.4560.3051.5262.9158.1863.35
1.65-1.21-6.12-1.63-3.94-1.83-1.920.913.181.8010.742.971.610.552.060.10-23.33-16.69-8.781.791.11-0.872.177.083.391.61-1.862.582.993.4112.006.804.724.36-9.016.994.965.8755.349.4611.21-2.8418.7127.7442.1410.80-5.6013.1914.511.235.0316.554.4511.11-18.02-1.154.35-2.4613.699.93-31.94-42.65
2.56-1.90-9.59-2.64-6.36-2.90-3.051.485.112.9317.735.493.060.652.470.12-28.18-19.32-10.382.071.29-1.022.528.253.971.90-2.193.003.473.9513.998.005.615.22-10.818.305.947.0968.5114.8018.28-3.6824.1148.151103,1003.9119.0325.002.4812.6222.266.3816.69-215.58-4.7637.50-18.6011662.96444-4,350.00
0.36-0.26-1.37-0.37-0.91-0.43-0.470.210.740.422.600.620.340.110.410.02-4.44-3.70-2.320.490.30-0.240.652.010.950.46-0.530.740.870.983.431.871.231.13-2.281.741.191.3611.791.191.37-0.221.461.101.110.18-0.040.740.590.040.151.160.320.72-1.06-0.080.27-0.160.940.65-1.68-2.38
0.68-0.47-2.54-0.64-1.56-0.73-0.820.371.320.754.711.150.620.210.770.03-8.08-6.93-4.290.850.52-0.421.083.341.550.76-0.911.221.461.655.953.152.051.89-4.053.062.092.3621.152.262.65-0.433.192.582.650.44-0.131.841.560.130.452.880.861.93-3.17-0.230.75-0.462.611.69-4.41-6.37
17.0416.8417.0318.1718.6319.1719.3118.5518.9618.8718.3816.0415.7013.9813.9913.0412.9315.8719.5121.6121.6721.6921.8521.4620.4420.6820.2120.8220.4219.6818.7518.0216.8216.2915.5116.2215.6014.8914.297.657.527.417.534.873.893.202.556.164.944.704.167.277.216.623.794.643.694.014.074.243.273.37
-1.80-1.583.62-0.72-1.52-2.721.82-2.19-1.86-2.484.02-0.01-0.29-1.184.77-1.02-3.50-2.405.18-0.59-1.24-1.573.83-0.10-0.35-1.594.58-0.61-0.72-1.125.851.09-0.25-1.376.332.321.00-0.961.22-3.37-4.04-6.223.39-1.07-1.64-3.784.20-1.17-1.61-3.092.85-3.46-2.71-1.763.820.340.750.515.381.750.05-1.33
-3.63-2.31-0.01-3.54-3.39-3.73-1.71-4.78-3.57-3.410.36-2.30-1.85-1.962.00-3.10-5.06-3.301.93-2.98-2.95-2.520.45-2.68-2.17-2.611.14-3.26-2.66-2.172.24-1.58-1.99-2.302.96-0.03-0.61-1.70-2.09-5.64-5.61-7.15-0.83-3.71-3.39-4.87-0.30-3.93-3.35-4.22-0.72-6.33-4.86-2.91-0.08-2.21-0.72-0.072.29-0.30-1.49-2.24