Halliburton Financial Ratios for Analysis 2009-2024 | HAL

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

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
2.062.052.312.142.302.322.222.903.762.502.732.752.813.222.99
0.450.500.580.650.560.520.560.560.490.320.360.230.270.270.30
0.810.991.361.971.291.081.311.310.990.480.570.310.360.370.52
18.9416.3213.1810.7010.2012.4411.045.4810.6616.8415.2116.6120.2118.0215.00
17.7413.3411.77-16.86-2.0010.286.66-42.61-0.7015.5110.6714.5919.0816.7413.59
17.7413.3411.77-16.86-2.0010.286.66-42.61-0.7015.5110.6714.5919.0816.7413.59
22.0717.9717.68-9.545.2516.9714.21-33.157.0721.9717.1320.3024.5522.9719.93
14.6110.408.19-22.29-5.017.563.31-48.00-3.9614.349.4013.4117.9214.7711.46
11.467.759.53-20.39-5.056.90-2.25-36.27-2.8410.657.239.2411.4310.217.80
0.930.870.690.700.880.920.820.590.641.021.011.041.050.980.89
5.785.815.625.496.416.947.666.607.057.657.547.467.717.607.81
4.744.394.174.704.904.584.094.054.444.354.764.934.884.584.95
77.0783.2187.4977.6074.5579.6289.1490.1182.1283.9976.7374.1174.7479.6973.72
28.2220.0021.82-59.04-14.0717.36-5.38-61.04-4.2721.0915.5416.3822.7817.3513.29
40.4430.9837.79-135.02-21.6624.66-7.94-81.99-5.0524.6118.4918.9526.3119.8615.20
10.786.866.58-14.23-4.456.38-1.79-21.36-1.7910.697.249.4412.719.857.04
15.6010.039.26-20.84-6.168.35-2.39-26.62-2.1914.289.8712.5516.6912.689.25
10.618.847.515.639.1410.969.5610.9118.1019.2216.0417.0014.3511.419.71
3.832.472.142.142.793.602.84-1.983.414.774.933.944.002.432.67
2.521.581.531.631.261.541.44-2.651.041.311.940.520.970.410.60

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
2.212.132.122.062.142.142.142.052.102.152.192.312.392.292.252.142.302.222.112.302.392.262.222.322.312.242.222.222.202.522.562.903.242.812.583.762.623.042.762.502.522.642.732.732.712.642.822.752.782.822.792.812.823.013.093.222.772.782.802.993.983.613.82
0.420.430.440.450.460.480.480.500.510.540.550.580.620.630.640.650.650.650.580.560.510.520.520.520.540.540.550.560.530.550.550.560.560.550.480.490.320.330.330.320.340.350.360.360.380.240.230.230.240.250.260.270.240.250.260.270.280.290.300.300.350.350.36
0.740.760.790.810.850.910.940.991.041.191.211.361.601.781.861.971.891.891.441.291.061.081.071.081.161.231.301.311.181.251.211.311.271.321.180.990.510.500.500.480.500.540.570.570.610.310.310.310.320.330.350.360.310.330.350.370.460.490.510.520.530.550.57
18.7819.2518.6419.7419.2618.5918.1618.6016.8915.4713.6614.2413.0613.0812.1112.1710.628.7311.0411.6510.6110.228.4511.2412.7713.8911.7914.1212.809.746.038.034.462.696.5010.359.7311.5910.8517.1019.6315.9414.2216.2115.9014.6413.9714.4614.3617.5320.2521.1921.5520.6616.7420.2918.8618.4413.3513.1914.5815.0017.10
15.2917.6917.0118.4417.8717.4417.2117.4815.797.3711.9312.8611.5511.7110.72-2.974.77-59.79-11.34-31.829.665.116.3610.2411.6012.846.176.4511.792.954.741.523.34-101.17-73.341.690.774.29-7.7714.8118.7814.8313.2014.9814.8313.45-1.4113.4613.4216.6014.9020.2420.3419.5615.4118.9917.5317.3711.9411.6113.2113.6215.77
15.2917.6917.0118.4417.8717.4417.2117.4815.797.3711.9312.8611.5511.7110.72-2.974.77-59.79-11.34-31.829.665.116.3610.2411.6012.846.176.4511.792.954.741.523.34-101.17-73.341.690.774.29-7.7714.8118.7814.8313.2014.9814.8313.45-1.4113.4613.4216.6014.9020.2420.3419.5615.4118.9917.5317.3711.9411.6113.2113.6215.77
---------------------------------------------------------------
12.8815.7713.5614.5515.7813.5014.6015.0813.164.557.759.778.197.966.46-7.41-0.03-65.18-17.79-35.396.702.553.357.728.6510.303.294.119.11-0.02-1.33-4.35-1.36-107.09-78.39-1.83-1.612.11-12.4514.1417.8113.3611.5113.6113.4512.33-2.6212.3312.3315.2613.7219.1719.2618.4214.0317.6415.7615.438.859.3910.9510.9614.33
10.0212.1610.4411.5212.3410.5211.4711.7510.152.156.1419.276.116.124.93-7.26-0.57-52.44-20.19-31.845.321.262.6511.197.058.310.80-13.876.700.56-0.75-3.710.16-83.65-57.46-0.55-0.970.91-9.1210.2713.839.618.4610.389.458.80-0.269.188.4710.199.1312.8310.4312.459.6711.7211.6610.945.486.597.307.509.67
0.220.230.240.230.240.240.240.240.240.230.190.190.180.180.170.160.140.150.210.200.210.220.210.230.240.240.230.240.210.200.170.150.140.140.120.140.180.190.230.270.280.260.250.260.270.270.250.270.270.280.280.300.310.300.280.280.260.250.220.220.220.220.24
1.451.441.451.431.401.461.481.551.571.621.431.551.431.371.291.211.031.061.391.461.471.591.611.741.862.012.062.131.941.961.751.631.481.411.361.521.871.851.812.041.921.921.851.941.851.871.841.961.721.811.882.172.132.112.102.122.002.021.972.001.791.621.71
1.071.101.141.181.131.171.091.211.161.161.061.171.101.071.061.050.950.961.041.131.051.041.021.131.121.141.091.181.121.131.071.030.880.810.840.960.961.051.101.161.151.191.161.241.131.151.121.261.211.271.291.391.371.331.281.321.251.271.181.241.161.111.15
84.3482.1979.1376.2279.4676.7782.3674.6077.5277.8784.5877.1482.1983.9884.7685.3895.1494.2086.6679.3585.7886.5188.2079.3680.5879.1182.4076.3080.2179.6184.3087.7810211110794.1693.3785.6581.9477.6278.1575.8077.3472.8279.8178.2280.1471.4474.2970.5969.9264.7765.5567.4570.4168.4471.8370.8476.0072.3777.7181.1978.21
5.607.106.297.077.887.067.768.347.181.643.7512.294.224.243.30-4.56-0.37-32.35-14.83-20.613.030.811.587.004.815.740.56-9.653.900.31-0.36-1.620.07-32.78-18.50-0.17-0.340.34-4.085.557.345.334.495.675.534.20-0.073.754.025.134.606.866.876.364.686.044.935.082.372.833.143.204.71
7.729.928.9110.1311.4210.4611.6612.9211.402.716.3121.298.428.767.20-10.42-0.79-70.19-25.18-31.734.271.152.249.946.988.440.83-14.255.500.43-0.49-2.180.10-43.35-22.63-0.20-0.400.39-4.796.478.626.315.346.746.634.88-0.084.344.655.945.367.937.737.205.326.915.655.782.713.243.593.675.43
2.292.832.472.702.962.562.772.862.430.521.203.711.141.100.83-1.10-0.09-7.97-4.30-6.521.100.290.562.571.691.970.19-3.211.400.11-0.13-0.570.03-11.56-7.12-0.07-0.180.18-2.082.813.612.552.112.642.542.36-0.042.162.322.922.593.834.013.712.703.432.672.721.251.501.651.642.35
3.224.033.523.914.273.704.004.183.530.751.705.221.621.581.20-1.61-0.13-11.33-6.16-9.021.470.390.763.362.232.640.25-4.291.840.14-0.16-0.710.03-14.61-9.56-0.09-0.230.23-2.713.764.883.472.863.603.443.20-0.052.873.053.853.415.035.254.793.474.413.553.611.661.972.052.063.01
11.7911.3810.9410.6110.279.729.368.848.427.887.817.516.376.115.835.635.895.927.839.1411.1410.9011.0410.9610.2910.069.599.5610.6010.2910.3710.9111.2611.3715.2218.1018.1118.4018.4019.2218.3217.1616.3116.0415.1316.8516.9017.0016.3715.7215.0214.3513.4512.7011.9611.4110.8410.359.899.719.519.259.02
2.731.770.553.832.271.300.132.471.190.36-0.062.141.370.690.232.141.410.940.262.791.460.47-0.053.602.631.740.652.841.670.400.01-1.98-3.20-4.42-0.203.412.362.340.964.773.412.441.124.932.851.590.373.942.061.230.794.002.561.510.612.431.490.890.352.671.801.130.42
1.751.130.232.521.330.77-0.121.580.630.04-0.201.531.000.470.181.631.060.670.091.260.26-0.40-0.501.541.130.660.131.440.73-0.19-0.25-2.65-3.72-4.81-0.411.040.471.000.191.310.740.820.361.940.530.08-0.360.52-0.65-0.56-0.050.970.22-0.04-0.150.41-0.05-0.05-0.100.600.270.08-0.15