Intercontinental Exchange Financial Ratios for Analysis 2009-2024 | ICE

Fifteen years of historical annual and quarterly financial ratios and margins for Intercontinental Exchange (ICE).

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
1.001.051.010.990.991.010.990.970.971.001.001.051.031.021.03
0.440.440.350.420.230.270.200.200.240.150.240.210.210.100.08
0.880.800.610.850.450.430.360.400.490.350.410.310.280.210.13
98.4698.2097.7897.6197.6097.3797.3996.9695.8494.1596.6297.5897.3697.1796.43
46.2449.8948.2650.2551.3851.8851.2948.1452.4346.8349.4460.6859.7656.7351.53
46.2449.8948.2650.2551.3851.8851.2948.1452.4346.8349.4460.6859.7656.7351.53
61.4564.0362.3862.6964.1163.6562.8361.6662.9455.8258.7670.2969.5667.7963.28
36.2324.7979.7445.8347.6950.6154.4645.2849.5245.5031.5457.9657.2753.0049.63
29.6419.8356.7934.6137.1639.9354.4631.6938.1731.7315.8940.5038.4334.6431.76
0.060.040.040.050.060.050.060.060.040.050.020.040.040.040.05
---------------
5.856.245.924.915.275.225.145.814.776.092.9310.739.7310.059.12
62.4258.5161.7074.3869.3269.8671.0662.8676.5459.9712534.0137.5036.3340.02
9.456.5817.8910.7911.3411.7215.049.258.738.112.5815.2816.5114.4812.91
-11.04-13.09-33.60-13.04-31.04-31.98-46.44-20.94-16.19-25.62-5.2259.791294,122118
1.790.772.101.672.072.183.261.781.661.470.501.511.441.531.44
5.253.6611.586.268.708.5212.027.426.626.871.9612.1013.0512.9811.89
45.0040.7240.5534.8231.2030.2829.1326.4824.9821.9321.5310.078.737.696.62
6.276.345.535.194.714.373.513.592.352.551.812.011.931.431.31
5.405.484.734.454.173.892.912.981.852.121.351.821.691.311.19

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
0.991.011.001.001.101.081.051.041.041.011.011.011.021.000.990.991.010.990.991.001.001.011.011.000.980.980.991.010.990.980.970.990.980.980.970.990.990.991.001.001.011.001.001.031.041.041.051.041.031.031.031.011.021.021.021.021.041.031.031.021.021.02
0.410.430.440.450.430.440.440.450.440.350.350.360.400.410.420.440.310.240.230.270.270.270.270.280.200.200.200.230.200.200.200.230.240.240.240.150.150.150.150.150.140.220.240.080.160.190.210.180.190.190.210.110.060.080.100.130.120.070.080.090.100.12
0.820.840.880.910.760.780.800.810.790.620.610.660.680.810.850.910.490.490.450.460.450.440.430.460.410.410.360.380.370.400.400.410.430.450.490.280.260.340.350.330.300.380.410.190.210.240.310.240.250.260.280.200.150.180.210.230.180.110.130.140.160.17
98.3698.4398.4198.4598.4698.5298.3098.2398.0798.2198.1097.6197.8397.5597.3797.3897.5698.1497.8497.3897.7797.4096.9497.3397.6797.5597.6497.3897.2997.2696.8797.0396.7297.2395.7795.4795.9896.1296.1393.6993.4793.2294.2297.9397.8597.7397.7697.5897.5797.4396.9397.4397.4197.6797.2897.1297.2996.9696.2496.1596.4896.88
46.0146.4242.0342.1950.5851.1148.8750.4147.9152.2447.8348.7246.8149.6446.6844.4453.3356.5747.9252.8452.3952.3651.6850.1752.5753.0651.6652.0151.6149.9148.9143.9748.8050.6147.7753.9253.9554.3550.0044.3043.6049.0630.4159.7660.4856.8259.4860.0461.3361.6659.6159.8858.6960.8255.6652.7860.2058.1748.2854.6353.8949.15
46.0146.4242.0342.1950.5851.1148.8750.4147.9152.2447.8348.7246.8149.6446.6844.4453.3356.5747.9252.8452.3952.3651.6850.1752.5753.0651.6652.0151.6149.9148.9143.9748.8050.6147.7753.9253.9554.3550.0044.3043.6049.0630.4159.7660.4856.8259.4860.0461.3361.6659.6159.8858.6960.8255.6652.7860.2058.1748.2854.6353.8949.15
--------------------------------------------------------------
37.1642.1023.4434.0544.8644.7831.90-18.0640.7443.8111545.7311346.3640.3441.3248.2453.6245.2247.9048.3849.2956.4246.1749.0450.3758.5549.1348.0562.1847.2641.0945.7046.7944.6951.8449.9451.8851.5042.0142.6745.42-18.1057.1058.3354.2656.8057.1458.8158.8956.3157.5356.4858.7252.5251.2852.6155.6550.4453.6247.0547.11
27.2833.4916.9527.0142.3234.5524.04-10.5530.6034.6082.9935.1373.3535.9531.4827.6437.4941.6934.5139.6036.3638.1146.7138.1736.5237.8810832.3735.5143.1431.2831.9131.6231.9842.2937.5035.5137.0636.0027.6530.1332.75-32.8441.7241.4038.3540.1740.5640.7640.4938.9038.9237.3238.5634.7833.5434.3435.9232.8434.1328.7831.19
0.020.020.020.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.020.010.010.010.010.010.010.010.020.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.010.01
--------------------------------------------------------------
1.501.391.611.411.441.151.511.451.321.121.521.361.311.171.361.081.090.991.311.271.221.081.371.181.191.051.271.281.291.171.481.371.311.231.251.671.471.401.571.671.741.470.981.922.001.882.552.172.002.042.402.141.962.022.491.732.182.002.351.512.092.09
60.1364.6555.8663.8962.5978.3259.5162.0268.0280.3859.0966.2868.5476.6366.2583.5682.5290.5868.5171.1473.6483.6965.5776.5075.7785.7470.9270.4569.5677.1160.7665.8768.7273.3972.0054.0461.0964.3857.1553.8851.8461.4391.6846.8244.9547.8035.3441.4644.8944.0837.5542.0545.8744.4936.1452.1641.3144.9338.2659.7042.9943.01
2.392.981.512.193.412.901.93-0.782.482.946.722.955.933.252.702.073.113.882.623.122.792.873.592.762.742.797.292.352.683.242.332.252.372.502.512.512.322.622.371.761.712.02-0.973.564.073.663.613.724.264.404.134.554.034.383.613.673.834.073.413.723.233.40
-3.10-3.67-1.77-2.48-8.10-6.21-3.851.47-4.86-5.55-12.62-4.67-8.76-4.18-3.27-2.36-7.89-9.71-7.17-8.32-7.23-7.72-9.80-7.13-7.87-8.12-22.53-6.23-6.92-7.44-5.28-5.13-5.04-4.93-4.66-8.18-7.63-8.28-7.49-6.23-6.96-4.391.9611.1113.8413.8014.1315.7321.4423.1632.2357.8250.161051,029-109.2218.6025.6031.2861.02329-69.71
0.460.600.290.410.600.440.23-0.080.260.320.790.420.930.510.420.310.430.470.480.560.530.520.670.530.560.581.580.480.530.640.450.460.480.480.480.470.460.490.430.330.330.40-0.190.300.390.350.360.360.370.410.360.350.400.450.380.350.370.430.380.440.350.46
1.411.690.841.201.941.631.08-0.431.381.904.351.873.551.901.571.162.142.962.012.272.022.082.611.992.192.235.831.812.162.601.871.731.811.901.912.121.972.222.011.501.461.58-0.743.293.412.972.863.043.443.543.264.053.804.033.243.213.373.793.143.382.893.00
46.6745.8845.0044.6042.6641.5240.7240.1140.9740.6140.5538.4237.5135.5134.8233.9631.2430.9631.2030.8030.5630.3230.2829.5229.3429.2729.1327.3427.0526.6226.4826.1225.7625.3424.9822.4922.4222.0121.9322.3822.8922.5121.5311.1710.6510.3010.079.909.379.378.738.288.418.087.697.447.226.896.626.386.105.85
3.831.756.274.553.221.166.344.403.081.345.533.762.841.305.193.292.510.944.713.342.441.154.373.012.130.983.512.381.851.023.592.511.841.002.351.601.380.832.551.621.440.931.811.521.050.412.011.561.000.511.931.460.870.421.431.020.690.271.310.820.490.18
3.301.505.403.982.861.015.483.822.721.164.733.182.421.094.452.812.250.834.172.982.201.033.892.731.940.892.911.981.600.912.982.091.580.901.851.261.130.722.121.341.270.851.351.240.910.351.821.420.910.471.691.350.790.391.310.920.630.241.190.740.440.16