IBM Financial Ratios for Analysis 2009-2024 | IBM

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

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
0.960.920.880.981.021.291.331.211.241.201.281.131.211.191.36
0.690.680.700.720.720.680.690.650.700.740.590.560.530.490.49
2.502.312.722.963.002.712.642.292.773.391.731.751.551.241.15
55.4554.0054.9055.9454.6446.4146.6848.1949.7750.0149.4948.9546.8946.0745.72
13.7812.4110.907.3311.9615.3214.7514.9218.3619.1719.8120.4918.9718.1717.77
13.7812.4110.907.3311.9615.3214.7514.9218.3619.1719.8120.4918.9718.1717.77
20.8820.3422.0919.4622.4520.9520.4920.4023.0824.0124.5725.0423.4823.0122.98
14.051.918.434.6612.4914.2514.4115.4319.5121.5420.5821.9119.6419.7518.94
12.132.7110.0110.1316.3410.977.2714.8616.1412.9616.7616.1414.8314.8514.02
0.460.480.430.350.380.650.630.680.740.790.780.860.920.880.88
23.7417.9415.6913.4216.1725.3626.6626.6626.4722.0621.5122.9621.8821.9820.84
7.888.237.398.516.019.747.997.818.577.748.168.208.458.348.06
46.3444.3749.3642.9060.7337.4945.7046.7642.5747.1944.7144.4943.2243.7445.28
33.238.1024.8018.9734.0651.5232.4964.6092.6613173.6289.5478.3564.0159.00
-15.46-3.95-9.59-8.41-13.62-38.90-25.25-52.82-63.38-72.77-139.21-120.99-169.23-272.1225,817
5.561.403.572.524.707.074.5910.1112.0913.4313.3714.2613.6213.0712.31
10.332.617.375.259.5216.6010.0022.4027.9333.5130.2639.4736.7932.9530.04
24.7124.3021.1523.2223.6618.9719.2219.4414.9412.1321.7516.9917.4018.8717.43
15.1111.4414.1420.3016.5416.6417.8417.8217.5616.7015.8516.9516.3515.1915.49
14.1110.0812.2917.5914.5813.2114.8914.5414.2913.4012.9013.7713.4712.5313.16

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
1.061.121.130.960.911.061.160.920.950.880.920.880.840.840.930.981.051.040.961.021.091.831.361.291.311.321.371.331.411.251.181.211.201.301.371.241.251.271.301.201.111.141.171.281.211.171.161.131.221.221.281.211.261.181.181.191.251.281.321.361.321.221.18
0.680.690.700.690.680.690.710.680.690.690.710.700.680.690.700.720.720.730.720.720.760.770.710.680.640.670.690.690.680.670.650.650.670.710.730.700.700.710.740.740.700.660.670.590.590.600.560.560.530.550.550.530.520.490.490.490.490.500.490.490.530.570.61
2.312.352.552.502.392.582.712.312.532.582.842.722.442.502.622.963.073.133.203.003.674.113.012.712.362.442.542.642.312.462.322.292.482.803.022.772.952.793.163.393.172.652.631.731.811.911.741.751.551.581.541.551.351.281.331.241.231.261.191.151.381.902.26
56.2556.7553.5359.0754.3954.9352.6957.7152.6753.3651.6756.9153.6355.2353.2930248.0148.0145.0926246.2447.0244.2449.1146.9345.9943.2449.0246.8946.4943.7651.0546.8847.9446.4951.7148.9449.9248.2553.3448.5550.0947.7954.1148.9748.6845.6255.0447.4147.6345.0649.9346.5446.4444.1349.0345.3345.5643.6548.2845.0945.5143.44
10.9213.786.7321.4412.7412.377.0319.5510.1211.347.4617.809.019.595.48-22.7512.9210.311.9545.849.7611.2110.5521.2717.0014.897.3220.6516.1112.967.9022.6615.0014.276.5122.1517.7318.7914.2522.8418.9321.1613.2827.4020.6315.6614.7730.0117.3418.8414.7224.0518.9817.9414.0023.0818.0818.0212.2122.5017.6917.3412.37
10.9213.786.7321.4412.7412.377.0319.5510.1211.347.4617.809.019.595.48-22.7512.9210.311.9545.849.7611.2110.5521.2717.0014.897.3220.6516.1112.967.9022.6615.0014.276.5122.1517.7318.7914.2522.8418.9321.1613.2827.4020.6315.6614.7730.0117.3418.8414.7224.0518.9817.9414.0023.0818.0818.0212.2122.5017.6917.3412.37
---------------------------------------------------------------
-5.3614.077.4321.6312.7012.927.4219.84-31.9111.084.3917.186.146.411.85-40.3610.408.67-0.2844.098.4414.4510.3620.3815.9713.885.9619.8216.0012.677.8422.8916.9715.075.5323.1218.7820.3015.3229.4219.4722.2414.3128.1821.3016.6315.4130.6120.5020.0215.5524.6719.2218.3215.5123.9719.2719.2815.3823.4318.5618.3314.38
-2.2011.6311.1018.9211.5510.236.5016.24-22.668.965.1613.988.539.327.2470.449.677.516.691579.2713.048.758.9714.3612.028.80-4.6814.2312.089.6420.6714.8412.3710.7820.2315.3016.5711.8822.740.0817.2010.7223.1617.3212.9412.9521.0815.4515.0512.4318.6214.6813.7411.6318.1214.7914.2711.3817.6713.6413.3510.57
0.110.120.110.130.110.120.110.130.110.120.110.130.090.100.090.010.110.120.110.020.120.120.140.180.150.160.150.180.160.160.150.190.170.170.160.200.180.180.170.210.190.190.180.210.200.220.200.230.210.230.210.250.240.240.220.260.230.230.220.250.230.220.21
4.795.535.546.134.814.654.214.553.724.303.864.363.253.523.37-2.154.685.045.40-2.355.665.825.736.585.266.206.187.265.946.436.356.865.916.255.926.876.105.455.155.354.895.134.735.304.785.355.265.445.034.904.925.695.255.555.396.045.054.985.105.655.084.714.45
2.372.422.132.212.392.382.172.272.192.292.042.151.761.861.820.302.502.422.060.242.092.082.372.662.392.342.122.272.112.051.912.132.102.041.852.312.161.891.702.012.112.101.962.222.022.051.942.212.092.172.112.332.412.292.182.422.232.332.192.292.212.162.07
37.9937.2442.3240.6737.6537.8741.4839.6841.0139.2644.1641.8150.9948.2949.4530335.9937.1543.7636943.0843.1937.9133.8137.6138.4042.4039.5642.6543.8447.1342.3342.9044.0848.5738.9041.6347.6653.0444.7742.5642.8845.8740.6244.5343.9646.3540.7943.0541.4542.6138.6437.3039.3741.3037.1240.4338.6641.0639.2640.7841.5743.57
-1.297.596.7514.537.407.104.3113.03-15.957.523.4612.964.643.671.87-1.477.966.585.846.589.2514.069.5911.5413.5212.889.16-5.9413.8012.579.5024.5016.6315.7613.3830.9322.0225.4819.6545.9024.0024.2715.1128.2820.6918.0415.7832.8017.6418.8714.7627.1317.1615.7912.5722.6916.0515.9911.7421.1517.3820.0516.76
0.67-4.02-3.35-6.76-3.59-3.54-2.06-6.367.14-3.11-1.34-5.01-1.99-1.52-0.770.65-3.33-2.65-2.26-2.63-3.02-12.35-7.04-8.71-13.64-11.34-7.634.62-12.98-10.53-7.86-20.03-11.83-9.75-8.53-21.16-15.11-17.96-11.74-25.48-17.26-24.10-13.92-53.47-27.82-22.43-22.61-44.33-37.59-35.84-29.70-58.59-68.94-65.39-48.06-96.46-105.84-178.72-191.539,256-99.97-53.10-32.33
-0.241.371.152.431.331.200.702.26-2.551.150.501.870.720.550.27-0.191.100.880.770.911.121.621.221.582.211.981.34-0.842.241.941.493.842.472.121.704.042.733.132.164.702.913.422.065.143.512.802.595.223.303.412.664.713.493.232.534.633.353.272.474.413.102.992.25
-0.412.382.044.522.382.171.244.21-4.942.301.013.851.501.140.55-0.412.221.791.621.842.203.282.833.724.824.252.85-1.834.464.153.318.495.414.513.649.326.507.475.1811.737.328.254.9211.628.547.306.9114.468.318.566.5912.748.268.126.4311.688.118.025.9910.778.238.546.60
26.5326.1725.4024.7125.3624.4523.8724.3022.2821.5621.2521.1524.9324.6224.0823.2223.9423.2322.6723.6620.4320.0718.7318.9721.9220.4319.9219.2221.3419.9019.6419.4418.0516.6215.7014.9413.8614.1312.4812.1314.5517.5616.5421.7518.4316.3317.3316.9919.1717.9918.0217.4018.9919.4318.8018.8718.0016.7917.2717.4314.0811.8010.36
9.876.674.4715.1110.256.974.1111.447.165.023.5714.1411.438.345.4520.3013.759.005.0016.5412.688.645.3216.6412.167.504.9717.8411.787.904.1717.8213.699.365.7317.5611.987.603.6416.7010.836.873.1915.859.976.493.5816.9511.527.513.6516.3510.586.613.0615.1910.026.333.3615.4910.706.833.25
9.646.244.2214.119.386.283.8010.086.234.443.3412.299.987.415.0617.5911.757.734.3514.5811.277.814.8113.219.515.744.1414.899.706.533.4514.5411.227.644.8814.299.576.032.8213.408.365.302.4512.907.885.233.0513.779.045.822.9413.478.445.202.3212.538.105.102.7813.169.125.852.81