Huntsman Financial Ratios for Analysis 2009-2024 | HUN

Fifteen years of historical annual and quarterly financial ratios and margins for Huntsman (HUN).

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
1.971.851.921.801.871.841.832.002.002.161.931.892.161.952.29
0.330.300.250.290.440.450.400.740.740.710.630.640.680.660.67
0.490.450.340.580.850.840.682.842.942.631.841.952.222.242.26
14.8319.2720.6518.0220.3323.2024.1220.1921.3016.5715.8218.1816.4015.7914.06
1.378.389.537.976.9010.8810.658.828.815.474.607.555.404.431.32
1.378.389.537.976.9010.8810.658.828.815.474.607.555.404.431.32
5.9211.8813.1612.8910.8714.2314.1013.0512.479.318.6511.429.318.817.08
1.628.6916.256.115.759.657.766.306.003.492.524.893.210.227.42
1.655.7313.6219.078.274.439.294.341.142.791.163.242.200.291.49
0.840.980.820.620.820.960.670.820.831.061.211.261.301.060.89
6.006.515.865.245.925.844.846.543.794.775.365.036.105.585.56
8.129.625.695.967.136.435.346.365.626.787.037.077.316.487.52
44.9837.9464.1561.2751.1856.7968.4157.4364.9853.8151.8951.6549.9056.3548.52
1.0113.3123.147.8715.1925.0615.1624.8826.2718.097.2319.9414.13-0.496.70
1.4318.4230.6710.7618.2530.4716.0928.0129.9920.368.0622.0915.98-0.557.59
0.486.2211.233.325.168.664.993.974.363.231.684.252.90-0.101.45
0.689.2717.305.568.5813.859.086.536.845.182.677.114.56-0.162.21
20.2720.9121.2916.6912.5911.8014.036.216.878.028.867.967.537.817.97
1.184.504.301.143.895.005.004.542.343.092.923.221.51-0.254.63
-0.123.162.830.412.923.964.043.210.460.650.981.500.14-1.253.84

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
1.301.551.971.882.142.081.852.002.121.881.921.921.881.871.801.561.532.131.871.961.831.831.841.881.931.941.831.872.112.072.002.112.242.152.002.062.171.982.162.122.071.911.931.971.881.891.892.232.222.122.162.182.082.111.952.292.382.222.292.532.132.13
0.290.330.330.290.290.270.300.270.260.250.250.280.280.290.290.320.310.380.440.460.450.450.450.360.360.380.400.520.680.720.740.720.730.740.740.720.730.730.710.610.620.620.630.650.650.660.640.620.640.640.680.670.640.660.660.680.690.700.670.700.690.75
0.580.610.490.440.410.380.450.370.350.340.340.400.400.420.580.630.650.650.850.890.890.910.840.620.630.620.681.112.192.562.842.572.782.872.942.722.743.032.631.681.761.791.841.972.052.081.951.661.871.892.222.111.872.022.242.302.322.552.262.482.673.05
15.4413.6710.8315.3415.9116.7511.5217.3522.6723.4918.9320.8421.2921.3422.3218.4812.9918.6418.7120.1520.9121.5121.5623.7323.0923.5351.1621.7621.2320.1936.5519.4418.0017.6615217.9320.0417.3815.2217.8616.9016.3316.4917.8415.9412.9216.0419.5918.0918.8814.7816.4717.0817.1715.7517.2816.4313.4217.1516.4812.628.87
2.16-2.59-3.851.793.133.80-1.646.8612.8112.919.7010.9710.336.8636.233.91-5.533.393.029.018.526.890.9611.3312.4412.9020.1410.1910.088.3931.355.526.965.861896.415.332.972.207.007.235.444.476.974.981.852.868.578.589.785.322.597.506.312.907.126.151.193.974.43--4.35
2.16-2.59-3.851.793.133.80-1.646.8612.8112.919.7010.9710.336.8636.233.91-5.533.393.029.018.526.890.9611.3312.4412.9020.1410.1910.088.3931.355.526.965.861896.415.332.972.207.007.235.444.476.974.981.852.868.578.589.785.322.597.506.312.907.126.151.193.974.43--4.35
--------------------------------------------------------------
2.80-2.45-4.212.793.823.42-1.527.2613.5512.8737.7912.0610.527.2437.164.77-6.17-3.896.880.186.789.17-6.5110.8212.1912.5914.496.967.896.1127.032.514.913.821644.252.740.73-0.755.345.593.812.335.383.46-1.30-2.146.606.697.793.310.445.393.810.914.083.97-9.220.39-0.2938.95-9.05
1.40-2.52-5.06-1.199.53-5.524.9710.5110.1734.879.977.714.5232.033.18-4.9744.2618.291.786.177.13-36.29-0.5617.2211.9435.656.788.133.9316.373.003.382.382.332.081.060.19-1.296.523.981.961.522.251.66-0.89-1.534.234.265.603.99-1.143.892.311.242.294.87-8.213.20-3.2821.99-17.26
0.220.190.190.200.210.210.200.250.250.230.180.240.240.220.120.190.150.190.200.210.210.190.120.180.220.210.070.220.210.200.090.190.260.240.020.260.260.240.270.310.320.300.290.320.330.310.290.310.330.330.300.330.310.300.280.270.290.250.240.240.200.23
1.441.421.441.351.331.281.471.541.201.211.341.411.341.440.981.501.231.291.471.401.291.070.741.221.571.460.311.571.061.040.541.021.371.15-0.051.171.131.141.241.321.341.211.301.381.401.311.211.221.451.441.461.471.391.381.461.441.481.451.441.561.391.15
1.791.761.861.821.851.811.982.001.681.331.271.691.801.801.181.701.491.551.741.551.361.300.791.411.751.630.541.741.261.280.671.251.651.500.121.621.561.551.731.721.601.601.721.671.651.641.651.661.701.591.721.681.601.511.691.481.581.512.031.791.952.03
50.1551.2448.3049.4248.5549.7145.4944.9353.4267.4670.8653.1849.8950.0776.4752.9960.2658.0251.7658.1566.0969.3511463.7551.5555.1816751.7471.3870.2513572.0654.6960.0875855.6857.6157.9852.0652.3056.3356.3252.4053.9354.5154.8354.4054.2853.0356.5152.4553.7156.3559.5653.2860.7256.9759.4444.4350.1846.1244.30
0.93-0.47-1.640.410.861.10-1.462.915.264.8912.425.544.402.659.941.69-1.93-2.049.38-1.022.943.77-1.204.977.106.264.694.487.356.0011.452.265.503.7418.853.522.230.96-1.748.105.373.172.023.672.93-0.82-2.065.426.488.275.01-2.175.553.982.113.023.23-9.714.34-4.3523.26-23.42
1.33-0.67-2.330.571.181.50-2.023.987.046.4716.457.806.273.8513.582.33-2.67-2.6211.27-1.253.564.56-1.465.708.126.614.984.848.306.8512.892.586.324.3321.513.972.511.09-1.968.825.903.512.254.053.26-0.91-2.285.907.149.155.67-2.436.154.412.363.393.68-11.174.92-5.0126.81-28.94
0.42-0.21-0.790.200.440.57-0.681.432.632.366.032.562.011.194.190.70-0.79-0.823.19-0.330.981.25-0.411.812.612.211.541.161.421.041.830.410.970.643.130.620.390.16-0.312.061.310.750.470.800.62-0.17-0.441.341.491.871.03-0.471.310.890.450.640.67-1.900.94-0.854.46-3.99
0.66-0.32-1.110.290.610.80-1.022.123.913.669.283.973.161.897.021.16-1.32-1.275.30-0.561.632.08-0.663.164.533.892.812.132.321.703.010.641.480.984.910.970.610.26-0.503.152.031.190.751.301.02-0.28-0.732.082.322.951.62-0.732.021.360.710.981.01-2.891.43-1.297.10-5.97
19.3819.7220.2721.0521.7222.0620.9120.6721.5721.6221.2918.2217.5816.9216.6915.3615.1315.4012.5911.7412.3312.3011.8016.6917.0615.7214.0310.867.886.926.217.497.237.136.877.337.547.268.029.879.529.028.868.187.697.627.969.318.438.507.538.209.338.407.817.987.066.937.977.287.505.29
-0.11-0.381.180.25-0.65-0.844.503.031.530.394.300.73-0.11-0.081.140.400.02-0.343.892.881.18-0.135.003.882.640.665.003.051.620.384.543.531.850.372.341.570.730.143.091.39-0.07-0.272.921.60-0.01-0.313.222.311.450.791.510.110.00-0.51-0.25-1.45-1.84-1.744.633.883.72-0.16
-0.64-0.62-0.12-0.58-1.19-1.083.162.100.900.102.83-0.36-0.89-0.520.41-0.37-0.51-0.612.922.300.67-0.393.963.262.190.444.042.391.200.173.212.641.06-0.050.46-0.27-0.46-0.470.65-0.03-0.94-0.710.980.38-0.76-0.681.501.280.770.450.14-0.81-0.50-0.76-1.25-2.00-2.16-1.903.843.283.35-0.42