American Noble Gas Financial Ratios for Analysis 2009-2024 | INFY

Fifteen years of historical annual and quarterly financial ratios and margins for American Noble Gas (INFY).

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
2.311.812.002.552.622.843.553.833.904.154.715.626.346.516.555.81
----------------
----------------
30.1030.2232.5934.9033.0834.8536.0036.8537.3838.3135.8537.3241.1242.1142.7842.12
20.6621.0023.0224.5221.3122.8524.3124.6925.0025.9223.9925.8028.7829.4530.3929.47
20.6621.0023.0224.5221.3122.8524.3124.6925.0025.9223.9925.8028.7829.4530.3929.47
23.7023.8825.8827.7724.5025.2826.9527.1727.3327.9326.7328.6031.5732.5834.5333.00
23.4122.6524.7426.5224.2225.4528.7329.1330.0132.3529.3231.6634.4633.8734.7431.63
17.0616.3718.1719.2718.2418.6422.7320.9621.6023.1121.2323.3224.5424.8127.3327.47
1.121.191.050.911.040.960.890.790.840.820.870.870.930.860.781.07
----------------
3.603.683.613.703.784.044.104.154.384.344.434.224.594.574.985.35
10199.3110198.7596.6590.3689.0988.0383.2584.1882.4386.5479.5379.8873.3268.26
29.8832.3429.7024.9826.8723.4024.9620.1222.0122.9722.0723.5326.0924.4924.4933.85
33.1436.7033.1527.9430.1625.0325.9421.5023.8424.6523.3025.0027.0425.3025.4235.17
19.1819.4819.0817.6919.0717.9620.2916.6518.0318.9618.3920.2022.7721.3821.3629.32
29.8832.3429.7024.9826.8723.4024.9620.1222.0122.9722.0723.5326.0924.4924.4933.85
2.562.232.382.472.052.174.582.332.043.833.471.601.441.341.170.83
0.760.680.790.770.610.520.500.460.410.380.440.380.370.280.320.31
0.700.610.720.700.500.440.430.370.320.300.340.300.300.220.290.25

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
2.191.892.311.991.981.671.811.762.011.872.001.942.172.092.552.612.772.252.622.542.542.082.843.083.302.933.553.293.693.393.83-3.933.543.903.823.733.544.154.274.424.374.714.534.415.005.625.495.995.466.345.756.056.586.516.246.325.986.555.935.835.695.81
---------------------------------------------------------------
---------------------------------------------------------------
30.5330.8729.4729.7930.6730.4530.5030.6730.4129.2530.9532.8033.0933.6634.7535.3035.8433.6433.3233.4333.3332.2333.7334.5235.5035.7536.0835.6436.1136.1837.1437.2436.6836.3538.0237.1837.7936.4439.0038.6838.5336.9937.0036.1435.2934.9134.9337.0538.0139.5541.2242.9741.2938.8441.5742.8442.8541.0942.5943.1842.6342.6942.02
21.1121.0920.0920.5021.2020.8121.0121.4921.4919.9821.4923.4823.5423.6924.4725.4025.3622.6921.1221.9221.6820.5021.5422.6023.6923.6724.7124.2824.1624.0724.6825.0924.8924.0725.5524.8925.5023.9825.7126.6926.1225.1325.5325.0521.8323.5123.5825.6926.2727.9129.8131.0128.0626.0328.9630.2230.2128.2830.0931.0130.3330.1229.44
21.1121.0920.0920.5021.2020.8121.0121.4921.4919.9821.4923.4823.5423.6924.4725.4025.3622.6921.1221.9221.6820.5021.5422.6023.6923.6724.7124.2824.1624.0724.6825.0924.8924.0725.5524.8925.5023.9825.7126.6926.1225.1325.5325.0521.8323.5123.5825.6926.2727.9129.8131.0128.0626.0328.9630.2230.2128.2830.0931.0130.3330.1229.44
---------------------------------------------------------------
22.5822.9527.0222.2022.4722.0522.5723.2922.9221.7823.3124.9225.1625.7326.3327.5927.4824.5123.5625.3224.2723.7024.6123.9427.2926.0727.6329.6929.1828.4428.8829.8329.2628.5530.2529.9130.5629.2632.2432.8232.6731.6532.1730.6225.7528.6830.0330.5133.4432.8837.2135.5532.9331.9634.7134.3234.0232.1834.3435.0634.5835.0333.99
15.8816.1921.0115.7215.9215.6816.3417.1716.4215.5017.5718.2118.3318.6119.3020.0519.7217.8818.4619.3017.7317.4419.0216.8119.8918.8620.3628.8921.1920.4121.1421.4420.8320.4321.7921.7721.7021.1023.0723.5323.2222.6023.2822.0518.5420.9922.9122.7123.9823.7426.1425.3623.5422.9825.0925.0525.0024.0126.9327.1127.4727.9028.64
0.290.270.280.300.300.290.300.310.290.290.280.290.280.260.240.250.250.240.260.270.270.250.250.250.260.250.230.230.200.200.20-0.220.220.220.220.220.210.200.220.220.220.220.240.250.240.230.240.230.250.240.260.250.230.230.240.220.220.210.220.220.230.26
---------------------------------------------------------------
0.910.900.890.890.930.930.920.940.960.960.950.971.000.970.980.960.960.910.940.940.980.961.051.061.061.061.051.051.011.041.04-1.111.111.131.151.131.061.071.171.131.061.121.121.131.091.101.141.101.091.161.261.241.191.211.331.291.291.341.371.341.251.29
98.9299.6610210297.1996.9697.9295.2593.9993.6995.0592.3589.5792.4591.4294.1794.0299.0895.2995.5592.2793.5485.9184.9184.8985.2385.6785.9288.7186.4086.25-80.7580.7979.7378.1879.3584.6183.7577.1879.3785.1180.1580.1479.9882.4581.4678.7081.7482.2977.4571.6172.5875.6274.2767.4669.9769.9967.0165.5367.3871.7970.01
7.187.649.057.597.697.948.088.867.587.347.538.277.757.256.647.176.766.406.827.316.666.636.205.396.466.035.738.345.215.105.10-5.545.635.725.975.945.635.686.356.246.106.146.405.556.126.066.376.336.877.047.806.796.196.576.976.386.176.516.937.097.558.48
8.438.5410.048.548.629.019.1610.098.518.248.419.328.748.187.438.127.517.187.658.037.317.346.635.776.766.315.968.985.565.455.46-5.976.106.196.506.456.156.106.666.556.446.486.795.916.516.446.816.547.127.298.067.016.396.787.226.606.406.767.227.347.838.81
4.604.425.814.704.794.524.875.254.794.544.845.295.134.794.705.104.904.334.845.184.764.404.764.235.154.684.666.704.274.114.22-4.544.524.684.864.804.504.695.215.125.015.115.304.565.145.205.465.475.856.146.705.835.375.736.055.555.335.685.996.116.497.35
7.187.649.057.597.697.948.088.867.587.347.538.277.757.256.647.176.766.406.827.316.666.636.205.396.466.035.738.345.215.105.10-5.545.635.725.975.945.635.686.356.246.106.146.405.556.126.066.376.336.877.047.806.796.196.576.976.386.176.516.937.097.558.48
2.622.422.562.342.362.202.232.162.352.242.382.242.262.292.472.322.282.082.052.022.031.932.172.142.072.044.582.202.422.322.33-2.131.992.041.921.911.853.831.801.791.733.471.581.511.491.601.491.491.331.441.281.331.361.341.251.281.161.171.060.980.900.83
0.490.280.760.540.370.190.680.490.330.180.790.600.410.220.770.570.370.180.610.450.270.150.520.390.250.150.500.380.240.140.460.340.220.100.410.280.180.080.380.390.260.100.440.310.210.090.380.290.180.080.370.280.180.080.280.230.150.070.320.250.180.080.31
0.470.260.700.490.330.170.610.430.300.160.720.550.370.200.700.510.330.170.500.370.210.110.440.330.210.130.430.340.200.120.370.270.170.070.320.220.140.050.300.330.220.090.340.240.170.070.300.230.150.070.300.240.150.070.220.180.120.060.290.230.160.080.25