Honeywell Financial Ratios for Analysis 2009-2024 | HON

Fifteen years of historical annual and quarterly financial ratios and margins for Honeywell (HON).

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
1.271.251.301.471.341.291.381.411.091.501.491.351.311.321.25
0.500.470.430.480.370.350.430.380.230.250.280.330.390.350.41
1.241.131.021.260.860.881.070.810.660.490.500.570.690.620.85
37.2836.9935.8532.0733.7030.5230.5729.5830.6728.1627.3724.8921.8323.5822.34
19.3218.1218.0317.4518.6616.0415.5515.4017.7014.4714.0911.037.059.317.91
19.3218.1218.0317.4518.6616.0415.5515.4017.7014.4714.0911.037.059.317.91
22.5321.5221.5820.5221.6318.7118.3018.0219.9916.7616.6213.499.6712.3611.10
19.5317.9921.0418.4220.5917.9117.1516.4217.0714.4313.8610.296.258.416.56
15.4314.0016.1114.6416.7316.183.8112.2412.3610.5210.057.775.666.255.17
0.600.570.530.510.630.720.680.730.780.890.860.900.920.860.83
3.724.044.294.945.516.716.106.346.056.576.616.686.706.476.75
4.874.775.044.784.905.574.574.814.785.064.935.075.054.734.77
74.9776.5772.4976.3574.5065.5679.8475.9476.3972.0874.1071.9972.2277.1976.46
34.5128.6829.1627.3533.3037.199.5324.8126.3224.3422.5422.4317.1118.1417.03
-117.05-146.09-263.75-266.14-1,054.15-514.54-26.00-173.55-235.98155196-162.02-54.33-64.69-41.33
9.227.988.707.5310.6211.822.678.969.839.528.727.004.695.174.25
17.1915.3116.7514.2520.8924.295.4315.2820.2218.1716.2515.0610.4911.8310.04
25.2125.9428.1025.5326.3125.1622.1925.6923.9122.7422.4316.6914.0713.7811.74
7.997.728.628.739.448.547.737.096.996.395.444.443.585.385.22
6.506.647.387.548.357.466.505.715.655.044.273.332.584.574.46

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
1.441.211.661.271.351.411.261.251.241.201.211.301.291.411.431.471.641.631.301.341.321.191.241.291.491.381.361.381.351.341.361.411.201.281.251.091.431.491.441.501.601.571.501.491.321.321.351.351.401.301.311.311.331.441.361.321.311.401.291.251.261.251.17
0.590.540.570.500.480.500.460.470.400.410.400.430.440.470.470.480.490.490.390.370.380.320.310.350.430.410.420.430.350.360.350.380.330.340.350.230.240.230.240.250.260.270.270.280.280.290.300.330.330.340.350.390.370.360.360.350.370.410.410.410.390.420.46
1.721.601.481.241.141.191.091.130.931.051.021.021.171.171.171.261.211.200.900.861.020.900.850.880.990.961.031.070.790.800.770.810.820.740.760.660.590.520.550.490.470.490.520.500.570.560.570.570.600.660.670.690.690.630.650.620.690.820.830.850.861.011.13
38.5438.8538.6834.3138.4538.4937.9737.2037.5036.7836.4446.8332.1831.8532.4732.8530.9629.4434.6133.3633.5534.0733.8231.2929.7930.2730.8030.4930.3030.3031.2225.8329.5931.7331.2430.7130.7730.2930.9526.3029.4828.8428.0226.7228.0427.5027.2819.8327.1226.6326.0810.9624.3626.6625.9220.9524.1924.7224.6715.3224.7124.9023.96
20.3820.6520.4316.7720.9120.5919.0919.7419.4617.8815.1717.5318.5918.1417.8518.8316.8113.6219.9817.8519.2819.0618.4815.6215.6316.2716.6114.9515.2515.8616.239.8215.6518.4317.8017.3618.2617.5917.5912.0816.1915.4314.1912.8715.1714.2914.113.9313.8713.6412.85-6.1010.3512.9211.726.0510.3210.7110.380.5211.2910.578.75
20.3820.6520.4316.7720.9120.5919.0919.7419.4617.8815.1717.5318.5918.1417.8518.8316.8113.6219.9817.8519.2819.0618.4815.6215.6316.2716.6114.9515.2515.8616.239.8215.6518.4317.8017.3618.2617.5917.5912.0816.1915.4314.1912.8715.1714.2914.113.9313.8713.6412.85-6.1010.3512.9211.726.0510.3210.7110.380.5211.2910.578.75
---------------------------------------------------------------
18.7520.6120.5515.9521.3520.8220.1012.9422.1319.0317.9720.7120.0621.3622.0119.2114.7216.3022.8618.6221.6521.4420.7317.6817.2618.3018.3915.4017.5717.6418.1614.3916.6517.5717.1016.5617.7617.0016.9812.7015.6314.8514.5813.8514.3513.7113.513.1913.1012.9612.06-6.949.6012.1110.915.0710.109.689.03-0.0410.368.277.17
14.5316.1216.0713.3816.4416.2615.7311.0917.3414.0813.5416.5014.8416.2416.8815.279.7214.4618.6816.4517.8716.6715.9417.6921.7211.6013.85-23.2213.2913.8113.9710.3912.6513.2012.7711.9613.1512.2112.119.3111.5510.7210.519.1210.2610.5310.362.6210.179.568.84-3.279.278.918.134.347.357.146.291.317.905.955.24
0.130.140.140.150.150.150.150.150.150.140.130.130.130.140.130.140.120.120.150.160.150.160.150.170.170.180.170.180.180.180.170.180.180.200.190.200.210.210.200.230.220.220.210.230.220.230.220.230.230.230.230.240.240.230.220.220.210.220.220.200.220.220.22
0.940.930.881.000.950.960.951.041.021.020.970.901.161.271.241.331.141.111.211.431.311.321.291.551.491.591.511.631.481.511.401.701.501.461.381.561.501.531.411.721.591.621.581.771.561.641.581.811.581.591.581.981.611.591.501.761.531.661.641.751.621.581.52
1.231.231.221.251.181.141.131.231.221.161.181.271.171.271.271.301.131.111.141.271.201.251.221.301.261.271.181.221.181.191.161.221.141.141.131.241.211.191.131.291.221.231.201.311.211.271.231.291.261.301.281.311.271.241.201.241.181.221.261.131.191.201.34
72.9472.9273.9071.7976.5378.6679.8372.8974.0377.7976.4971.0176.8970.9871.0669.0479.3980.8579.2571.0275.1172.1274.0269.4571.6570.8976.0273.5976.3675.3977.3273.7079.2078.6479.3772.8174.3175.8479.6969.7874.0473.3075.1468.7074.1771.0873.1869.7971.1869.1670.2868.6770.8272.7474.7372.3676.4873.7571.5779.3675.5574.7667.38
7.878.918.657.598.528.398.045.908.456.945.957.497.037.957.937.754.265.988.998.509.008.627.589.4812.797.208.17-15.046.426.816.515.366.447.016.676.537.136.576.485.486.255.985.745.486.687.377.161.957.167.496.97-2.825.836.535.843.025.516.115.450.566.455.375.32
-15.64-18.31-36.19-25.75-45.52-43.19-43.46-30.03-83.10-46.38-48.34-67.80-51.21-53.97-57.28-75.44-92.21-156.33-161.08-269.04-181.70-107.61-225.08-131.12-59.32-27.68-27.8841.03-83.71-68.16-68.52-37.51-37.57-57.62-40.30-58.5740.6233.0940.9034.9730.9533.2240.3147.75-134.81-86.98-78.33-14.10-96.73-43.53-33.168.94-30.43-48.10-28.15-10.78-15.29-17.20-14.71-1.35-19.40-12.05-8.27
1.932.252.252.032.472.412.351.642.572.031.792.241.982.262.282.141.231.732.802.712.742.692.453.013.802.142.38-4.212.402.512.431.942.332.592.432.442.742.632.532.152.582.422.262.122.272.422.320.612.302.252.04-0.771.742.011.770.861.511.551.380.141.731.311.16
3.224.073.763.784.404.234.373.155.074.123.584.313.924.214.214.042.173.065.465.335.605.835.216.197.254.234.76-8.574.174.394.213.304.314.654.375.025.435.064.914.094.624.394.173.954.835.205.021.314.824.914.56-1.733.684.203.721.973.453.633.230.333.913.112.90
27.6426.9526.1725.2126.9626.9526.3125.9427.2627.0027.9928.1026.3126.3626.2825.5326.1026.1725.4526.3125.6225.1026.0525.1624.8823.9323.8022.1927.8627.0226.8625.6925.4224.9024.1123.9123.2223.7922.6122.7424.3524.0523.0422.4319.2117.6617.2016.6916.8715.4815.2014.0715.2115.5715.0113.7813.4211.8211.8811.7412.5711.3810.08
5.832.780.687.993.580.86-1.167.724.281.200.058.624.833.211.398.734.833.421.319.445.893.841.538.546.483.971.497.734.923.081.217.094.462.450.416.994.502.310.536.394.102.550.865.443.352.000.434.442.741.480.253.581.720.87-0.565.384.032.360.965.223.421.960.46
4.662.030.336.502.600.24-1.446.643.520.72-0.207.383.982.651.097.543.992.911.138.355.263.421.357.465.793.521.316.504.182.601.035.713.501.840.165.653.641.800.325.043.262.040.634.272.671.580.243.332.001.030.062.581.130.51-0.714.573.602.120.874.462.991.680.32