Heidelberg Materials AG Financial Ratios for Analysis 2009-2024 | HDELY

Fifteen years of historical annual and quarterly financial ratios and margins for Heidelberg Materials AG (HDELY).

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
1.201.161.161.251.131.201.070.960.970.840.921.181.211.381.26
0.230.230.250.350.310.360.350.320.230.290.350.340.360.390.43
0.390.320.410.590.570.640.660.600.400.580.720.620.720.700.85
61.7058.1161.1663.0959.9558.8060.8361.5159.4257.9241.9041.0442.3042.0443.68
14.1911.5713.9013.4511.5410.9312.6413.1213.6811.2711.4311.5111.4212.1611.85
14.1911.5713.9013.4511.5410.9312.6413.1213.6811.2711.4311.5111.4212.1611.85
19.9718.1319.7740.9719.2917.1519.4519.9319.6117.2218.7019.5318.7319.7311.85
13.3710.3615.39-9.128.629.729.917.969.737.367.764.336.165.09-0.13
9.057.469.35-12.185.766.305.304.675.935.446.783.894.144.341.51
0.600.640.560.540.490.510.500.410.480.450.520.500.440.430.44
3.063.363.303.293.503.683.612.803.793.815.365.094.704.594.62
7.587.477.257.557.416.576.705.907.357.998.017.476.246.256.32
48.1448.8450.3848.3549.2355.5854.4761.9249.6845.6845.5948.8958.5158.3757.80
11.929.8311.69-13.316.897.736.915.036.387.545.341.552.732.880.46
22.6019.1423.50-34.6020.1726.0024.2116.2018.4024.5129.817.5815.0418.835.41
6.185.215.78-5.993.303.633.212.423.593.822.500.761.271.360.20
9.207.548.74-8.674.744.954.463.424.905.333.481.021.741.760.26
21.3619.2319.8716.7520.8920.0318.2919.9418.88------
3.752.702.873.493.012.342.322.151.712.101.502.081.981.622.28
2.421.411.422.502.011.441.611.190.850.960.201.280.980.921.75

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
2019-09-302018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.141.201.241.030.921.071.121.050.930.960.791.181.020.970.941.021.050.840.981.000.990.921.051.251.191.181.201.141.101.211.091.081.101.381.631.251.381.261.441.981.44
0.320.360.380.370.350.350.360.360.310.320.320.290.260.230.240.270.260.290.320.360.360.350.360.380.360.340.340.350.360.360.360.380.390.390.420.400.430.430.440.570.58
0.610.640.680.660.640.660.670.680.580.600.620.540.520.400.460.490.490.580.640.750.750.720.710.730.670.620.640.670.710.720.740.800.780.700.810.790.850.850.891.411.64
62.4258.6459.6759.8656.4961.2161.6361.9057.9361.9962.5262.3858.0359.7461.8359.8955.6375.7765.4260.4936.4840.8545.3244.7633.9541.5844.3542.6133.6541.6145.5845.3534.4240.8545.7845.6433.6443.8847.1047.8337.02
16.4412.4015.3813.80-0.4513.5616.9314.802.8912.1016.3616.854.5619.1717.0413.942.369.4612.5010.902.6112.8616.3713.061.9013.3016.2112.881.9612.2615.5811.953.7413.9216.6814.020.139.9917.7211.68-1.42
16.4412.4015.3813.80-0.4513.5616.9314.802.8912.1016.3616.854.5619.1717.0413.942.369.4612.5010.902.6112.8616.3713.061.9013.3016.2112.881.9612.2615.5811.953.7413.9216.6814.020.139.9917.7211.68-1.42
-----------------------------------------
15.4210.2913.2612.570.699.2714.9912.680.253.6411.8113.820.5010.7215.1612.08-1.175.1614.6810.88-3.783.2018.3311.04-5.780.5810.878.43-5.064.4311.119.52-3.285.5113.007.39-9.90-16.309.4212.29-8.42
10.645.0110.868.28-0.633.0610.347.76-1.872.707.528.92-2.541.1613.307.47-4.343.579.666.54-5.401.1815.0410.88-8.403.976.774.88-7.173.667.384.75-6.095.409.483.68-9.04-12.325.0111.47-2.72
0.130.130.140.140.100.130.130.130.100.110.120.120.100.120.130.130.100.080.130.130.100.130.140.130.100.130.140.130.100.110.130.130.100.110.130.110.080.110.120.110.08
0.890.951.021.000.830.920.920.900.760.750.840.960.840.941.021.020.850.400.940.981.211.401.361.291.051.281.321.301.111.161.311.311.131.201.291.191.001.191.151.070.89
1.601.691.411.401.211.721.531.501.301.601.551.671.461.841.671.651.391.471.631.691.492.051.821.771.501.891.571.541.361.531.411.371.261.601.431.331.101.631.371.291.07
56.3453.3064.0064.2074.3052.2558.8060.1169.0056.1858.0753.7761.7148.9453.9654.4664.8561.3155.0953.1960.3043.8149.4350.7859.9347.6057.2558.3466.3358.9563.6365.7871.3056.1362.8867.6681.7455.2465.8769.8984.43
3.261.653.552.710.051.283.202.51-0.221.062.192.59-0.411.782.821.76-0.691.812.501.82-1.190.304.552.36-1.700.381.931.22-1.490.872.121.42-1.291.302.761.00-1.68-3.281.423.69-0.65
9.935.5412.3310.260.204.5011.269.16-0.713.408.567.70-1.235.148.515.44-2.085.8710.599.53-6.331.6925.0412.77-8.881.859.536.37-8.774.7913.3211.00-10.138.5123.127.95-18.35-38.6017.44-26.133.06
1.540.771.641.220.020.601.481.14-0.100.511.001.35-0.221.001.550.94-0.370.911.230.85-0.550.142.161.11-0.820.190.940.58-0.700.410.980.63-0.580.611.230.45-0.73-1.410.601.24-0.20
2.201.062.221.720.030.832.041.60-0.150.721.491.84-0.301.372.131.29-0.511.281.701.16-0.750.202.931.46-1.090.251.280.80-0.950.551.360.88-0.790.791.590.60-0.96-1.880.791.57-0.27
-20.03---18.29---19.94-------------------------------
1.102.340.58-0.27-0.862.320.83-0.15-0.522.150.880.23-0.310.000.64-0.02-0.450.001.020.11-0.460.000.37-0.39-0.520.000.780.10-0.610.000.37-0.25-0.690.000.56-0.09-0.590.001.070.13-0.41
0.511.44-0.02-0.71-1.071.610.34-0.46-0.671.190.37-0.03-0.48--0.04-0.46-0.63-0.19-0.39-0.72--0.41-0.75-0.67-0.28-0.25-0.80--0.28-0.67-0.89-0.12-0.39-0.72-1.040.28-0.67