Hess Financial Ratios for Analysis 2009-2024 | HES

Fifteen years of historical annual and quarterly financial ratios and margins for Hess (HES).

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
1.051.641.421.901.262.022.531.901.681.301.311.001.031.151.17
0.470.500.540.570.430.380.340.300.240.210.180.260.240.250.24
0.911.001.231.340.760.610.560.440.320.270.230.380.330.330.33
100.00100.00100.00100.00100.00100.00100.00100.00100.0083.9985.5189.1150.9230.8829.22
27.7034.9125.99-49.589.2310.39-98.39-72.34-57.9019.1624.2325.0415.008.636.51
27.7034.9125.99-49.589.2310.39-98.39-72.34-57.9019.1624.2325.0415.008.636.51
46.9249.6346.14-6.4141.8339.51-45.65-4.221.7049.1946.8048.4426.0615.4713.94
23.2130.6519.65-59.333.393.40-105.71-80.93-64.1722.6938.6527.2510.449.785.14
12.9818.127.37-64.38-6.33-5.07-75.38-129.63-46.0521.5842.4416.547.946.282.50
0.440.530.370.260.300.300.240.170.190.280.280.280.550.961.01
---------3.261.811.067.4016.1214.58
8.009.966.265.595.566.465.344.645.735.183.382.824.287.187.55
45.6036.6658.2965.3465.6056.5168.3878.6463.7570.4710812985.2650.8648.36
18.1028.8012.67-44.81-2.47-1.06-31.90-38.97-14.507.5816.288.538.2312.725.97
18.8130.0813.35-47.51-2.57-1.09-32.86-39.93-14.788.2717.619.529.4014.856.56
7.2411.284.34-15.08-1.10-0.54-17.05-21.23-8.664.419.444.163.916.042.74
9.6214.435.87-19.13-1.40-0.66-21.02-27.27-11.005.9913.366.346.229.574.52
31.2627.7522.6820.6431.8337.3639.2149.2671.3278.0976.1862.0854.6949.7841.34
12.8212.749.344.375.456.503.012.576.9914.4814.9516.6314.6613.809.34
-0.534.515.08-1.22-3.871.517.34-4.25-8.077.2210.62-3.46-4.32-2.370.39

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
1.271.231.051.311.541.651.641.781.691.421.421.421.572.081.902.201.992.191.261.451.581.692.022.302.412.632.531.842.021.961.901.872.172.251.682.131.121.251.301.771.671.181.311.341.481.281.001.041.121.001.031.131.311.281.151.351.311.231.171.070.990.96
0.440.450.470.470.490.500.500.510.520.540.540.570.550.560.570.550.530.510.430.400.390.390.380.370.360.350.340.310.300.300.300.240.230.230.240.220.220.210.210.200.200.180.180.190.190.200.260.260.270.270.240.230.230.230.250.260.230.230.240.250.250.26
0.800.840.910.940.970.981.001.041.101.161.231.391.291.281.341.241.151.030.760.670.640.650.610.610.570.550.560.470.450.450.440.350.310.300.320.290.280.280.270.250.250.230.230.260.240.330.380.380.390.360.330.300.290.310.330.350.300.310.330.340.350.36
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0015381.4478.1780.9716878.9281.6082.0681.1584.2085.1285.3083.0686.2186.2849.9887.4088.3190.0190.6831.0428.6730.5731.0830.9332.2231.2529.3730.8030.2830.3125.06
38.4945.7326.3932.9220.9929.6432.6832.0940.2634.8030.5525.0115.8330.0211.50-5.10-18.17-170.341.822.6415.5016.709.5112.209.649.93-169.99-151.34-28.54-17.94-125.31-39.21-46.73-75.43-145.14-26.94-32.20-41.4211.2222.7014.0328.62-0.4028.3833.5917.1310.7721.8835.2031.288.262.8411.2112.578.593.769.8611.7610.627.114.562.60
38.4945.7326.3932.9220.9929.6432.6832.0940.2634.8030.5525.0115.8330.0211.50-5.10-18.17-170.341.822.6415.5016.709.5112.209.649.93-169.99-151.34-28.54-17.94-125.31-39.21-46.73-75.43-145.14-26.94-32.20-41.4211.2222.7014.0328.62-0.4028.3833.5917.1310.7721.8835.2031.288.262.8411.2112.578.593.769.8611.7610.627.114.562.60
--------------------------------------------------------------
35.2442.3522.5728.8015.7324.6228.6228.1336.2129.6125.1918.118.4523.923.18-15.14-32.30-178.60-3.77-3.309.7810.573.636.781.720.58-181.33-156.14-35.36-24.64-131.06-52.93-53.43-83.99-156.16-31.91-36.64-46.906.8822.0737.6822.5610.2125.0065.4026.1114.1632.2331.9529.94-2.032.469.7514.543.9616.429.0110.438.197.353.210.87
23.2629.0913.6117.775.1314.1116.2716.3122.3217.5911.756.35-4.5713.13-6.85-20.66-38.00-177.72-13.07-13.99-0.351.75-0.95-2.90-9.07-8.42-196.85-38.63-38.27-26.79-376.00-29.35-31.84-51.86-124.56-16.52-29.30-25.10-0.3137.6432.9114.4470.7215.4446.6320.9012.6718.1316.5218.82-1.353.446.169.090.6414.674.855.814.134.691.48-0.85
0.130.140.130.120.100.110.140.150.140.120.110.090.080.100.080.060.040.070.080.070.080.070.080.090.070.060.060.060.040.040.050.030.040.030.040.050.050.040.070.070.070.060.060.060.070.140.070.070.080.070.250.230.270.280.250.230.260.310.290.260.230.24
-------------------------------0.550.730.45-0.670.630.510.910.520.500.370.480.540.624.450.300.290.250.194.724.084.784.544.283.173.274.654.183.563.464.70
2.481.982.281.942.282.032.632.302.131.561.861.661.591.901.651.681.411.721.451.351.601.431.681.551.461.391.331.581.281.381.271.401.211.171.261.111.080.911.230.881.050.830.771.531.573.320.680.720.740.581.942.082.211.981.912.002.002.062.212.051.651.77
36.3645.5039.4446.3239.5344.2834.2439.2042.3557.8548.3354.3756.4347.4254.6253.4963.7152.2061.9866.6556.2262.8153.5658.1961.7864.5567.4757.1070.2365.4570.8164.1974.3377.2271.3581.1083.4499.3572.9610385.8310911758.8057.3027.1213212412215546.3443.2440.6745.4447.1445.0845.0643.7740.7043.9754.6250.75
7.6010.135.246.472.304.916.857.409.727.175.072.960.205.06-0.43-2.66-3.57-28.93-1.89-1.630.320.710.310.03-0.77-0.54-21.33-4.11-2.77-1.94-31.42-1.52-1.76-2.26-8.78-1.07-2.62-1.74-0.021.474.001.503.681.496.675.071.032.472.712.81-0.721.413.015.380.496.892.734.052.742.710.82-0.14
7.8510.495.446.732.405.127.157.7410.197.555.343.140.215.35-0.45-2.81-3.75-30.26-1.96-1.690.330.740.320.03-0.79-0.56-21.97-4.22-2.83-1.99-32.19-1.54-1.79-2.30-8.94-1.14-2.82-1.90-0.021.604.331.643.981.627.245.531.152.773.053.20-0.821.623.456.190.587.922.974.433.012.990.91-0.16
3.304.322.102.590.921.952.682.803.562.551.740.950.071.77-0.14-0.96-1.35-11.42-0.84-0.770.160.350.160.01-0.41-0.29-11.40-2.23-1.50-1.05-17.11-0.92-1.09-1.40-5.24-0.66-1.56-1.04-0.010.882.370.882.130.853.862.700.501.211.331.33-0.340.721.542.660.233.261.341.901.261.240.35-0.06
4.285.592.793.401.172.483.433.634.633.332.351.280.092.22-0.18-1.19-1.66-14.25-1.07-0.980.200.430.190.02-0.49-0.36-14.05-2.82-1.92-1.35-21.98-1.15-1.35-1.73-6.66-0.83-2.05-1.36-0.021.193.211.233.021.225.444.080.771.831.962.07-0.541.092.334.120.375.112.103.102.072.040.62-0.10
36.3534.1831.2630.2728.9928.4027.7526.5825.0622.6422.6820.2021.0921.5420.6422.4123.9826.6231.8333.4034.5934.6837.3637.2937.8338.7539.2145.4147.4447.9249.2666.0666.8668.3171.3278.1773.5175.3978.0981.5079.1477.1576.1870.6369.8165.6162.0860.4758.4456.0854.6955.6555.6253.3349.7848.1844.2442.7241.3439.7737.8537.09
9.012.8712.828.445.242.0812.748.714.35-0.509.346.424.471.924.372.782.331.465.454.483.020.796.503.602.130.683.011.911.631.112.571.500.44-0.206.994.793.781.5414.4811.096.563.5915.259.676.012.3916.6312.036.552.9014.6611.308.303.3513.809.325.512.529.345.443.811.93
2.17-0.23-0.53-0.20-0.15-0.654.512.550.55-2.185.083.813.030.67-1.22-3.16-2.21-1.23-3.87-2.07-1.19-1.441.510.79-0.76-0.597.340.01-0.560.19-4.25-3.88-3.25-2.27-8.07-7.07-4.74-3.097.228.778.183.8710.837.968.381.84-3.46-3.48-4.21-2.16-4.32-1.632.131.21-2.370.260.920.670.39-0.67-0.45-0.24