Honda Financial Ratios for Analysis 2009-2024 | HMC

Fifteen years of historical annual and quarterly financial ratios and margins for Honda (HMC).

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
2024202320222021202020192018201720162015201420132012201120102009
1.431.441.471.331.261.231.231.211.141.191.231.301.321.311.350.16
0.320.280.320.330.340.330.320.350.350.350.350.340.330.310.34-
0.780.670.750.820.900.860.830.900.930.940.960.950.910.900.93-2.49
21.6019.7020.5120.7320.6220.8221.8822.3822.3922.4926.0225.6425.5227.3025.23-
6.764.625.995.014.244.575.436.013.455.036.345.522.916.384.24-
6.764.625.995.014.244.575.436.013.455.036.345.522.916.384.24-
10.658.8910.199.758.939.1110.0710.827.979.7213.0511.499.5912.6811.58-
8.045.207.356.945.296.167.267.194.355.336.164.953.247.063.92-
5.423.854.864.993.053.846.904.402.363.824.853.722.796.313.29-
0.690.690.610.600.730.780.790.740.800.720.760.720.670.770.74-
6.566.266.036.757.597.937.887.978.636.896.726.045.727.226.86-
5.385.715.625.075.945.795.825.305.304.574.524.394.204.664.33-
67.8763.8964.9871.9661.4163.0662.7668.9168.8179.9680.8483.1086.9778.3784.39-
9.096.247.067.426.157.9013.718.985.787.609.967.554.4711.683.04-12.78
9.856.757.678.136.788.6515.0610.006.558.479.967.554.4711.683.04-10.46
3.972.913.173.172.493.315.833.582.233.053.902.881.724.631.173.15
6.204.524.834.944.085.329.325.863.774.966.514.963.008.082.00-12.78
55.7551.1456.0551.0344.1543.8141.6739.0632.3837.2833.9234.90----
3.169.298.695.845.143.964.964.576.415.156.825.385.217.129.192.12
1.747.297.444.143.291.922.952.113.602.05-0.15-1.052.682.575.22-4.42

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
1.371.431.451.451.441.441.471.441.471.471.381.351.261.331.291.301.271.261.301.241.261.231.231.221.231.231.251.231.221.211.171.151.111.141.191.201.141.191.221.181.211.231.271.261.291.301.271.291.341.321.271.291.271.311.351.351.321.351.311.321.161.09
0.310.320.300.290.280.280.280.290.300.320.310.320.320.330.330.350.350.340.320.320.330.330.320.320.320.320.330.340.340.350.340.340.330.350.340.360.340.350.350.340.340.350.360.350.350.340.330.320.320.330.300.290.290.310.310.320.330.340.350.370.350.33
0.810.780.740.710.430.670.670.700.720.750.760.790.800.820.890.920.940.900.840.830.840.860.830.840.840.830.840.530.890.900.910.890.910.930.910.920.910.940.990.970.950.961.010.960.950.950.950.890.880.910.890.860.890.900.900.910.920.930.991.011.141.16
22.1421.1821.7821.8821.5619.4720.2519.1319.9920.5120.7120.2420.5821.4422.0221.0116.6920.1420.8420.7020.7619.5720.5221.7921.4121.4922.6020.8522.5822.1621.8322.6822.8722.6622.8821.8922.1115.6925.6724.6725.1026.5026.8825.5825.0425.8525.7724.6726.2427.4125.6125.3724.0128.7327.7026.3227.9233.6028.4023.4721.8620.58
8.975.507.056.068.531.236.325.435.805.116.225.856.795.787.367.75-5.35-0.154.455.906.320.944.285.587.443.287.194.057.253.535.936.997.69-1.504.514.556.463.005.395.456.635.327.575.936.532.695.445.828.03-0.392.003.134.40-8.047.279.0512.33-26.647.066.553.60-28.56
8.975.507.056.068.531.236.325.435.805.116.225.856.795.787.367.75-5.35-0.154.455.906.320.944.285.587.443.287.194.057.253.535.936.997.69-1.504.514.556.463.005.395.456.635.327.575.936.532.695.445.828.03-0.392.003.134.40-8.047.279.0512.33-26.647.066.553.60-28.56
--------------------------------------------------------------
10.356.757.157.3111.130.717.746.546.205.737.727.328.696.9110.259.47-3.460.115.527.777.252.645.717.378.904.918.776.429.024.837.458.298.31-1.335.555.837.623.165.905.976.655.647.175.736.073.463.704.617.933.993.024.041.664.606.157.2410.565.087.703.100.27-16.22
7.304.204.705.087.851.715.514.453.903.155.234.906.215.797.536.60-3.81-0.863.115.274.31-0.414.235.496.072.8814.414.615.582.434.825.435.03-2.333.433.535.021.874.154.714.905.535.324.164.322.593.193.625.412.982.453.201.862.013.846.0411.54-10.096.222.630.38-10.44
0.170.180.200.180.170.180.180.160.150.160.170.160.160.160.180.180.110.170.180.180.200.200.200.190.200.200.200.190.200.190.190.190.200.210.190.200.200.200.180.180.190.190.190.200.200.180.190.200.210.200.180.170.160.190.190.200.210.150.190.190.170.15
1.571.691.801.651.591.681.681.521.461.561.631.541.641.812.031.911.071.771.891.822.032.031.951.872.082.042.052.101.992.071.972.032.182.232.002.061.982.111.641.641.741.711.681.771.741.541.491.581.691.731.641.721.612.031.611.871.881.861.761.711.451.36
1.381.381.571.501.501.531.681.521.431.451.581.511.511.371.621.560.931.381.491.481.501.461.551.461.541.501.521.451.441.371.331.371.421.381.351.331.261.281.181.141.181.161.201.241.241.091.251.263.051.221.171.161.011.161.171.241.240.891.221.231.080.90
65.2865.2557.4560.0559.8258.8853.4759.1062.8862.0156.8459.7059.6765.5355.4657.8197.2265.3360.5960.9560.0061.7058.0361.8558.5660.0559.2562.2262.7065.6167.7965.5263.6065.3766.6467.4671.5570.1176.3778.7476.1277.6574.8572.6972.8782.4572.2671.2229.5373.9876.8377.5988.9177.8676.9472.7372.8010173.8073.2883.07100
3.021.842.202.143.110.812.331.721.421.282.071.752.482.313.493.05-0.98-0.261.512.442.23-0.102.162.653.191.566.982.402.921.362.462.822.82-1.041.851.932.681.212.122.342.522.902.822.262.421.601.721.842.901.511.091.370.720.971.823.086.17-4.003.201.350.19-4.73
3.272.002.382.313.360.882.521.861.541.392.251.912.712.533.853.37-1.09-0.291.652.682.44-0.112.362.903.491.717.662.663.241.522.753.193.21-1.182.082.162.991.352.122.342.522.902.822.262.421.601.721.842.901.511.091.370.720.971.823.086.17-4.003.201.350.19-4.73
1.320.800.990.981.450.381.100.790.650.570.930.781.080.991.441.23-0.40-0.110.641.030.93-0.040.931.131.360.662.980.981.180.540.991.131.11-0.400.750.781.080.480.830.921.001.131.080.880.940.610.660.731.150.580.440.560.290.390.731.222.43-1.531.200.500.07-1.60
2.091.261.531.512.230.591.681.230.990.871.431.181.691.542.321.97-0.64-0.171.021.661.49-0.071.471.802.151.064.701.581.920.891.631.861.88-0.681.221.231.780.791.371.541.661.901.791.471.581.051.151.251.981.010.770.980.510.671.252.084.16-2.632.070.850.12-3.19
54.5455.75---51.14---56.05---51.03---44.15-46.89-43.81---41.67---39.06---32.38---37.2834.2334.7133.5433.9233.1131.6830.8234.9033.03---------------
-0.323.161.771.600.869.297.185.662.788.694.861.570.045.844.592.73-0.395.143.182.171.013.962.522.031.114.963.102.460.884.572.342.130.886.414.363.211.895.154.483.501.936.824.833.761.705.383.502.191.225.163.633.581.357.195.104.432.059.197.375.752.312.11
-0.881.740.831.020.567.295.624.662.377.443.920.86-0.364.143.361.99-0.823.291.911.400.551.921.000.950.402.951.591.330.102.110.460.990.233.602.241.841.092.05-0.55-0.28-0.06-0.15-0.120.33-0.03-1.05-1.28-1.161.262.660.452.590.382.603.862.321.765.225.613.390.88-4.40