Huntington Ingalls Industries Financial Ratios for Analysis 2009-2024 | HII

Fifteen years of historical annual and quarterly financial ratios and margins for Huntington Ingalls Industries (HII).

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
0.950.951.151.100.940.951.581.591.791.841.921.791.650.59-
0.350.420.540.470.450.460.420.440.460.530.530.730.680.07-
0.600.831.170.890.810.850.730.770.851.221.172.742.160.58-
14.3713.4914.3617.8417.2021.9121.8822.9621.4120.3718.1416.0915.2713.2713.51
6.825.295.398.548.2711.6311.8412.3910.959.427.515.341.523.583.35
7.145.745.828.888.5211.8412.0012.4811.109.577.715.611.833.873.35
10.249.178.9811.5911.4314.3714.8415.1815.2313.2011.168.489.136.596.31
7.456.736.538.657.6811.8810.3811.099.007.295.783.59-0.062.962.80
5.955.425.717.446.1710.236.448.115.764.863.832.18-1.521.951.97
1.020.980.901.151.271.281.171.111.171.121.101.051.081.29-
52.7350.4750.6656.1454.1849.8831.7725.9319.3616.3417.9519.5514.6619.90-
17.7913.2514.8316.4819.1023.6317.356.076.546.706.077.419.259.23-
20.5227.5624.6022.1519.1115.4521.0460.1155.8454.4660.1049.2439.4739.52-
16.6416.6019.3736.6134.5755.1527.2534.6627.1124.7617.1621.89-11.649.24-
117-391.22-55.57-305.26-198.19-349.791,452-444.191,036-162.50233-19.1616.98-43.23-
6.075.335.128.537.8113.107.519.026.715.424.192.28-1.652.52-
10.809.668.9119.4019.1029.8715.7719.5514.6211.558.105.97-3.728.60-
10387.5270.2046.9438.9236.1838.9835.7831.7728.2631.2313.4517.60--
24.3119.1018.8626.9221.6420.8717.7717.4217.8315.314.686.6310.827.36-1.80
16.9912.0210.6518.238.8410.599.6311.4614.6011.971.923.396.783.44-5.51

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
0.790.820.960.950.920.960.960.950.971.151.151.151.141.091.071.101.291.301.030.941.041.120.980.951.141.431.511.581.521.631.621.591.911.931.911.791.871.701.971.841.931.842.051.921.811.862.031.791.801.781.721.651.721.681.630.59----
0.290.290.350.350.370.400.410.420.460.510.530.540.600.450.460.470.550.580.500.450.480.510.490.460.410.430.430.420.430.440.440.440.440.440.460.460.470.470.540.530.500.520.520.530.650.670.720.730.630.650.670.680.610.570.580.07----
0.620.640.590.600.660.790.810.830.991.051.131.171.520.820.850.891.211.361.070.810.911.040.960.850.700.750.750.730.750.780.780.770.770.790.840.850.881.131.231.221.051.121.141.171.932.082.572.741.771.862.022.161.621.331.380.58----
11.7114.5113.3715.4514.7713.9613.0912.0613.7914.6513.5513.9314.1614.4315.0119.8418.8413.0218.6917.9118.7916.1815.7721.3723.5222.3820.2222.3922.2822.7119.9531.4818.7821.5919.0018.6419.1128.6019.4321.1220.5620.3619.2619.1418.5717.7716.8419.2513.9716.1514.4814.9915.9416.3813.9016.9414.118.7614.08-
2.986.355.499.826.115.605.273.734.997.185.364.485.055.746.4511.069.592.819.507.719.648.007.749.6913.9212.7210.1911.5712.9412.979.7414.8810.4012.7611.237.5611.1115.429.947.479.9610.539.978.987.766.896.085.814.146.165.106.57-11.935.825.053.404.62-1.245.08-
3.426.725.9210.206.435.745.723.775.488.195.634.865.526.286.8011.539.853.169.778.009.918.237.939.9114.3112.8210.3011.6713.3113.029.8614.8310.7512.8211.237.6111.4415.5310.007.5210.3710.5910.109.038.317.016.216.034.576.395.296.97-11.366.085.053.404.62-1.245.08-
------------------------------------------------------------
4.077.266.5610.456.716.066.105.656.178.346.835.496.037.227.5910.999.773.219.547.138.927.507.169.9614.1612.9710.419.3711.8111.738.5313.069.3311.7110.044.209.7213.988.474.108.398.848.287.386.055.174.164.222.324.473.194.90-13.813.904.164.904.02-1.864.50-
3.675.815.458.625.264.664.824.375.266.695.434.486.295.786.509.039.592.617.606.186.945.855.679.6410.9911.838.323.218.007.916.9010.256.367.827.712.626.178.945.542.705.595.825.654.704.223.392.822.740.812.912.103.63-15.572.562.673.632.52-0.682.39-
0.250.260.250.280.270.260.250.260.250.250.240.250.220.270.280.340.270.250.300.340.310.300.300.340.340.320.290.310.300.300.280.300.280.290.300.320.300.280.250.310.280.280.260.310.260.280.250.290.270.300.270.290.280.260.290.33----
11.8412.8512.2114.4412.3712.6212.2313.5113.0111.5911.8514.3114.0413.7313.6316.1312.3611.0211.9514.5612.9614.5613.8013.518.859.017.958.467.917.046.006.275.104.765.055.444.733.913.764.485.014.664.095.043.924.314.195.114.144.043.493.882.893.363.904.99----
4.513.303.274.933.212.873.083.492.913.293.064.173.513.824.224.853.533.394.305.184.543.885.556.364.415.555.464.651.551.551.461.651.611.661.621.771.411.401.291.861.501.411.231.731.551.531.302.011.811.961.642.442.041.741.882.38----
19.9427.3027.5318.2428.0631.3229.2125.8030.8827.3529.4221.5825.6823.5621.3318.5425.4826.5520.9217.3919.8323.2016.2314.1620.3916.2216.4719.3457.9758.1861.5054.5155.9454.1155.4450.7463.9064.1669.8848.4859.9763.6673.3452.1558.0058.8869.0844.6849.7945.9254.7636.8844.1251.7147.8937.74----
2.404.143.716.693.963.573.623.534.536.034.964.276.726.247.4813.1011.813.1610.479.389.037.867.5513.9812.5514.079.083.648.708.917.2711.926.488.258.943.367.4510.516.303.815.786.375.775.987.386.536.227.501.255.033.597.33-21.472.833.304.44----
13.0223.9323.7646.9277.08178-307.14-83.11-22.12-23.09-15.05-12.26-8.74-358.33-108.03-109.21-99.11-12.05-35.39-53.79-75.86-43.69-31.98-88.70179-2,987.507,800194-647.83-153.13-89.47-152.7149.3177.33181128-1,009.09-709.09-45.31-25.00384-129.8781.0881.25-14.44-10.46-6.15-6.56-3.63-12.29-6.76-10.7098.80-13.33-12.71-20.79----
0.911.531.372.441.391.201.191.131.301.681.331.131.411.591.803.052.630.642.262.122.141.771.693.323.693.752.451.002.412.371.913.101.782.272.310.831.842.471.380.831.571.641.471.461.100.940.700.780.220.860.571.04-4.340.670.781.21----
1.712.942.414.342.492.152.132.052.442.942.321.972.673.434.046.945.341.345.205.184.733.853.867.577.378.025.202.114.985.024.086.723.654.614.861.813.975.592.931.782.903.082.762.832.582.161.772.040.461.781.202.34-8.291.231.404.14----
10710610410393.8491.3889.3087.5276.3973.8070.3770.2054.5951.4249.1146.9446.4241.4340.5738.9241.5939.3237.5736.1842.4439.0638.5238.9837.7936.2635.4535.7835.5334.3732.2931.7731.5730.8728.4028.2634.2732.2831.7331.2318.8917.5314.0813.4520.9320.0818.5717.6023.6628.9127.93-----
0.05-5.34-5.1124.3110.201.83-0.2319.104.114.59-2.0818.8612.133.451.0726.9212.066.611.6721.648.01-0.790.2720.876.148.102.6817.778.356.202.1117.4210.114.691.1417.838.843.610.2115.316.411.18-4.314.68-1.11-6.65-7.206.63-0.82-3.55-6.6510.821.10-3.59-7.467.363.09-0.45-2.400.00
-6.35-9.52-7.0116.996.10-0.95-1.3012.02-0.352.04-3.1510.656.770.12-0.4218.236.662.92-0.078.84-0.46-6.40-2.3910.59-0.554.181.079.633.543.230.8611.467.122.990.3614.607.733.260.4511.974.550.14-4.791.92-2.79-7.73-7.793.39-2.64-4.69-7.196.78-1.33-5.26-8.753.441.13-1.68-3.05-