Chart Industries Financial Ratios for Analysis 2009-2024 | GTLS

Fifteen years of historical annual and quarterly financial ratios and margins for Chart Industries (GTLS).

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
1.193.411.231.111.781.811.642.502.242.141.302.032.252.372.88
0.550.430.270.120.380.370.350.250.240.190.140.260.270.300.34
1.300.860.530.280.630.610.620.340.330.240.420.370.380.450.51
31.0325.2724.6028.2124.4825.8127.4829.0427.7430.0029.8730.0930.8929.7633.79
11.659.406.727.834.286.424.575.68-17.6111.5811.5512.0111.338.5515.79
11.659.406.727.834.286.424.575.68-17.6111.5811.5512.0111.338.5515.79
19.0614.6613.4615.4411.0112.009.1810.44-13.1215.3215.0915.3415.3913.3519.64
1.736.135.627.242.854.151.323.34-19.409.9910.0810.177.935.1314.15
1.411.494.4926.173.828.773.323.91-19.526.867.067.035.553.6310.21
0.370.270.430.460.490.530.490.590.870.820.810.760.680.580.64
4.013.373.093.404.373.203.523.023.773.873.883.613.673.744.62
4.423.145.585.866.345.154.295.065.676.315.256.756.026.307.71
82.6211665.4562.2657.5470.8385.0572.1964.3957.8669.4754.0960.5957.9147.35
1.963.083.754.452.583.883.441.93-30.269.3611.4610.347.214.0912.81
-2.087.1481.7431.91-31.3691.0346.873.49-58.3225.3445.7564.9424.0225.4368.76
0.631.402.002.731.281.821.611.09-17.045.685.985.453.772.156.60
0.881.752.743.901.602.432.231.45-22.997.619.897.605.292.858.49
68.7463.0744.4743.6434.4228.3426.1422.8222.1229.1025.0823.2920.7217.3916.76
3.571.93-0.524.743.812.761.415.463.313.871.872.902.731.323.00
0.860.16-1.803.922.781.630.394.931.781.89-0.391.521.980.772.55

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
1.271.251.191.251.381.253.411.231.311.261.231.191.301.081.112.061.901.821.781.832.001.111.812.131.681.701.641.132.642.512.502.792.592.482.242.402.332.222.142.322.222.201.301.281.262.082.031.942.642.372.251.812.372.492.372.572.783.002.882.812.532.27
0.560.560.550.580.590.600.430.260.290.280.270.250.220.160.120.350.370.380.380.400.200.260.370.370.350.350.350.290.250.250.250.250.250.240.240.190.190.190.190.230.230.240.140.150.160.260.260.270.280.260.270.270.280.300.300.310.320.340.340.340.350.37
1.371.381.301.481.541.600.860.520.570.540.530.500.450.360.280.550.600.620.630.670.260.600.610.610.620.620.620.750.340.340.340.340.340.330.330.240.250.240.240.320.320.320.420.490.470.380.370.410.390.370.380.650.410.430.450.460.480.510.510.530.540.58
33.8031.8032.9430.7630.9028.0928.1625.3823.4223.6421.6922.8125.8429.0828.1328.7728.7727.2619.6327.4926.7423.1917.6930.2426.2027.4127.6928.5626.5327.290.5534.1435.1927.2027.9225.8627.7129.5929.7231.0530.0529.1330.8929.3830.1129.0328.1330.6830.8931.2629.1431.5331.0632.2131.8730.7527.0029.0033.3230.5835.6934.78
16.1311.8815.3711.6310.546.5113.6210.127.315.685.384.207.929.987.2010.298.915.23-0.506.958.171.59-0.6211.577.026.0610.663.554.160.15-18.189.8414.140.02-91.605.919.306.1012.7613.7311.108.3213.1011.8911.0610.0010.8112.6013.7911.0411.4513.7410.718.7811.399.516.156.4311.3512.4018.7218.91
16.1311.8815.3711.6310.546.5113.6210.127.315.685.384.207.929.987.2010.298.915.23-0.506.958.171.59-0.6211.577.026.0610.663.554.160.15-18.189.8414.140.02-91.605.919.306.1012.7613.7311.108.3213.1011.8911.0610.0010.8112.6013.7911.0411.4513.7410.718.7811.399.516.156.4311.3512.4018.7218.91
--------------------------------------------------------------
7.682.725.761.171.16-4.056.649.664.223.594.176.462.4810.0914.028.055.840.83-1.045.626.30-0.35-2.589.635.252.584.850.352.31-2.30-22.417.5812.36-2.37-93.473.938.863.1211.3912.019.516.5911.7110.549.588.299.5010.7111.289.225.0311.658.216.639.016.422.361.6713.439.1216.5616.18
4.981.196.26-0.380.24-2.82-9.1510.003.212.883.194.542.028.8782.507.946.942.824.415.564.650.3122.758.164.432.3813.440.741.18-1.42-4.317.378.56-2.40-88.251.806.352.148.267.786.544.517.648.106.715.686.837.287.486.523.838.305.284.626.174.721.721.1711.786.4111.3410.80
0.110.100.110.100.100.060.070.130.130.110.120.110.110.110.120.110.120.120.110.140.160.150.110.160.160.140.110.120.190.170.060.170.200.160.220.180.180.170.220.200.210.180.210.210.210.200.230.190.200.180.190.170.200.170.170.150.160.130.140.140.170.20
1.241.131.181.010.990.640.890.860.850.770.920.740.770.730.900.820.830.931.071.040.990.950.741.010.880.790.820.680.950.800.450.740.840.690.940.890.840.751.060.890.950.840.991.010.980.931.110.860.950.891.041.071.120.921.041.011.260.981.031.091.161.28
1.391.191.341.211.180.710.861.491.451.401.601.381.461.551.561.671.571.551.451.511.511.411.081.541.361.181.011.041.541.560.541.541.641.381.421.511.331.271.721.611.541.491.361.411.721.652.021.401.661.701.671.721.651.731.801.671.601.611.702.342.351.95
64.7675.7067.2974.5476.2812710560.4762.0864.3056.1365.0061.4958.1557.8353.8957.3358.1661.9059.7859.4263.8483.6158.6266.2076.4389.3286.9358.3157.7516658.5054.9665.2463.3359.6267.9170.9552.2055.8458.5260.2566.4063.7652.4654.6344.5264.1354.1553.0054.0552.4454.5951.9549.9253.9756.1355.8752.9338.4038.2846.07
2.170.581.750.420.34-0.560.642.560.830.630.760.980.431.672.391.221.180.170.191.151.220.11-0.332.621.300.573.39-0.46-0.41-2.161.922.81-0.69-34.200.471.870.593.072.662.391.483.393.443.002.233.022.782.782.221.362.902.041.431.991.350.520.303.261.783.974.65
-2.37-0.61-1.86-0.41-0.330.461.5036.7816.8111.0316.6415.633.4615.0617.11-111.27-14.95-1.51-2.37-7.994.302.95-7.6519.3818.748.7746.19-0.84-0.77-3.893.455.19-1.30-65.921.274.871.568.307.607.254.6513.5117.0619.6211.4118.9919.457.766.764.5110.208.987.4212.366.112.711.5517.5111.1531.4958.01
0.680.180.560.130.10-0.160.291.360.420.330.410.520.240.981.470.640.600.090.100.550.740.05-0.151.270.610.271.58-0.27-0.24-1.221.121.62-0.40-19.260.301.170.361.861.551.370.841.771.701.481.191.591.431.501.190.711.371.090.771.040.710.270.151.680.901.942.14
0.950.250.790.180.14-0.220.371.890.590.460.560.730.331.402.090.800.740.110.120.690.970.08-0.201.640.850.372.19-0.34-0.31-1.621.452.11-0.52-25.980.381.520.482.492.041.831.132.922.942.531.652.222.032.011.650.992.121.461.011.380.930.350.202.161.172.572.95
67.9667.6268.7464.5065.6963.3563.0744.3844.0744.5044.4743.7243.5443.0843.6435.8434.6333.7934.4233.6133.5028.1628.3426.9526.4626.7526.1423.8023.4322.8922.8223.2822.7722.2822.1229.8129.8429.1229.1028.5327.9927.3025.0823.7522.6123.8823.2922.6321.8221.2820.7220.4918.3817.7717.3917.1816.4416.6116.7616.2615.7314.83
0.44-2.043.570.781.28-0.771.931.200.30-0.54-0.52-1.00-0.690.204.743.132.270.713.810.97-0.01-0.982.761.931.330.631.410.46-0.090.045.464.722.811.253.311.770.260.033.872.151.370.661.870.590.33-0.782.900.48-0.16-0.312.731.24-0.49-0.701.321.270.500.343.002.632.030.92
-1.13-3.000.86-1.630.16-1.510.160.05-0.42-0.85-1.80-1.88-1.35-0.083.922.591.700.422.780.27-0.45-1.161.631.130.760.440.39-0.21-0.60-0.234.934.292.501.081.780.61-0.53-0.451.890.810.590.33-0.39-0.95-0.60-1.171.52-0.41-0.72-0.521.980.73-0.84-0.850.770.870.230.202.552.311.860.84