Innospec Financial Ratios for Analysis 2009-2024 | IOSP

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

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
2.382.152.162.242.082.242.152.412.231.862.622.012.192.031.57
---0.000.060.190.210.290.180.210.260.070.080.100.21
--0.000.000.070.260.280.420.220.270.360.090.100.160.32
30.3329.8829.3228.7230.8129.4530.8637.6234.1831.4331.1730.4529.2431.3431.11
8.299.548.912.829.919.049.5711.1215.4411.7111.0712.436.1010.573.46
8.299.548.912.829.919.049.5711.1215.4411.7111.0712.436.1010.573.46
10.3111.5811.788.3413.0512.4013.4215.4318.9214.7413.5613.917.9512.826.53
8.959.409.063.339.948.919.8011.6715.0511.5411.3312.026.4810.353.06
7.146.776.282.417.415.764.739.2011.808.759.508.626.0810.791.07
1.141.220.940.851.031.000.930.750.980.961.031.341.361.241.10
4.523.693.783.874.284.204.313.174.173.563.553.904.033.843.42
5.425.875.215.395.185.285.345.727.375.856.036.717.798.116.66
67.3962.1970.0067.7370.4369.1268.2963.7949.5462.4160.5454.3946.8544.9854.77
12.1012.789.013.0412.2110.307.7812.4419.7416.3019.0021.1013.7324.514.06
20.0720.8915.235.7625.3626.2122.9660.4070.6314382.1567.3025.6153.37-52.89
8.158.295.932.057.645.774.386.8811.628.419.7911.558.2813.411.18
12.1012.789.013.0411.478.396.188.8816.1612.8114.0919.5612.6222.153.22
46.2342.0141.7038.4237.5033.7832.6227.1625.1221.2416.8213.5914.8912.696.66
8.283.273.755.896.544.263.384.324.804.272.542.571.422.353.54
5.811.692.294.695.333.092.433.644.093.732.082.211.132.003.25

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.632.502.382.512.342.292.152.222.172.212.162.222.212.222.242.302.432.362.082.272.142.282.242.272.282.132.152.242.282.152.413.013.112.942.232.252.202.071.863.283.233.112.622.362.442.352.012.472.652.382.191.701.951.922.032.222.081.881.571.761.901.96
--------------0.000.000.040.060.060.130.140.180.190.200.200.200.210.230.260.250.290.180.200.190.180.180.200.210.210.200.230.240.260.190.070.090.070.070.080.080.080.03--0.100.130.150.160.210.180.180.21
----------0.00-0.000.000.000.000.040.060.070.150.190.250.260.270.280.270.280.310.360.360.420.230.250.250.220.230.260.270.270.250.320.330.360.250.090.110.090.080.100.100.100.290.100.310.160.220.580.720.320.250.270.31
29.1731.1331.4729.5631.3129.0029.6830.4129.9029.4927.3230.0230.5529.6829.2829.6924.1330.5930.2532.0230.6630.3429.5430.5728.7128.9730.6729.7232.2130.8938.4438.5437.5035.9335.0835.5636.0230.3932.3732.2531.0029.7730.8829.7732.1132.0030.4227.6431.7631.8728.8328.5531.1528.4930.0631.3832.0731.9329.2331.6429.7833.90
9.3610.109.009.037.128.059.129.779.909.388.598.3510.448.309.466.34-21.8010.9911.2110.278.759.3210.869.207.908.0110.518.7210.278.6010.569.2012.5412.0713.9416.2123.638.6915.1411.0411.438.1611.0110.1112.0511.1311.189.4313.5015.5410.52-10.0012.0112.908.5712.0114.736.91-1.16-1.144.4512.29
9.3610.109.009.037.128.059.129.779.909.388.598.3510.448.309.466.34-21.8010.9911.2110.278.759.3210.869.207.908.0110.518.7210.278.6010.569.2012.5412.0713.9416.2123.638.6915.1411.0411.438.1611.0110.1112.0511.1311.189.4313.5015.5410.52-10.0012.0112.908.5712.0114.736.91-1.16-1.144.4512.29
--------------------------------------------------------------
10.0511.069.1610.237.628.838.859.539.0510.207.918.1911.319.079.367.62-21.9711.8711.0810.168.429.9910.638.378.248.2311.369.0010.677.8812.206.4215.9611.5514.3116.2921.338.8814.6911.1310.758.6112.719.4911.3011.4811.619.2710.9215.948.78-12.4715.8215.279.3117.997.666.120.062.683.436.41
7.178.287.648.456.026.514.997.546.917.735.786.226.326.897.274.79-16.218.897.968.096.157.395.165.676.096.15-1.367.018.005.849.295.5512.688.9112.8014.0014.206.659.609.118.367.6611.887.269.249.035.298.458.6812.258.88-8.3113.1911.6013.7117.247.134.53-0.18-1.812.194.32
0.260.290.290.290.300.310.320.310.290.290.260.250.240.240.220.200.180.260.270.250.240.250.270.240.250.240.250.250.260.240.200.200.220.210.240.250.240.280.290.290.280.280.300.280.310.340.370.290.300.340.350.340.330.340.320.310.320.300.300.300.270.30
0.981.131.130.990.930.990.960.940.911.081.080.960.981.071.000.780.761.051.111.011.011.091.120.961.011.031.171.101.021.020.840.780.920.891.000.980.931.061.060.900.880.971.050.810.840.961.080.920.870.981.051.050.901.041.011.031.000.940.960.850.770.75
1.451.571.371.521.551.491.531.501.381.401.451.241.261.371.401.291.151.261.341.251.291.311.411.261.291.291.451.351.351.341.541.641.671.451.791.951.851.821.771.951.881.811.781.712.132.051.851.961.872.012.022.111.932.082.111.881.841.781.831.631.561.74
62.1357.2565.4659.1958.2560.4758.9760.0965.4264.3461.9772.4671.4965.7064.1170.0078.4271.6367.2671.7569.5468.7763.7371.3469.6769.9462.2066.5066.6467.0658.4454.9654.0462.1250.2746.1048.7249.3850.8746.2647.9949.7550.5952.7542.1844.0148.7345.8348.1544.8244.6242.6246.7143.3742.7447.9548.9050.5949.2255.1357.7451.84
2.613.493.293.472.643.072.453.543.023.412.312.362.302.442.391.37-4.413.513.383.412.583.382.472.452.662.69-0.603.123.712.543.381.754.523.055.206.056.283.435.414.554.193.967.013.724.865.393.563.854.026.675.19-5.397.226.708.0813.786.464.54-0.19-1.131.212.72
4.185.665.455.434.204.934.015.564.875.583.914.144.154.494.532.64-8.746.957.037.465.978.086.296.217.197.34-1.7810.0612.7410.1216.424.8713.4110.0018.6224.1732.7326.4847.5313.9214.0014.7130.3113.2212.6915.4211.376.426.8611.829.68-10.9113.5613.4517.6056.2960.61-157.452.48-3.964.0110.61
1.842.392.212.421.792.041.592.321.972.251.521.571.531.641.620.95-2.962.272.122.011.501.881.381.381.501.51-0.341.782.041.401.871.092.801.893.063.503.461.832.792.692.352.173.612.012.883.081.952.442.574.163.13-2.814.303.994.425.352.251.38-0.06-0.540.601.30
2.613.493.293.472.643.072.453.543.023.412.312.362.302.442.391.37-4.233.303.182.972.232.772.011.962.122.17-0.482.402.761.892.411.433.632.464.264.964.992.704.253.633.213.015.203.024.514.923.303.593.686.164.77-5.237.226.707.3011.975.513.83-0.15-0.930.992.15
47.9547.5846.2345.3744.0343.4542.0144.0843.1043.0741.7040.3039.5338.9838.4237.6736.6238.4537.5036.0135.2534.6833.7834.4033.5733.8032.6230.9829.1828.0327.1627.2026.6725.8325.1224.4222.7621.5221.2418.7318.0817.5016.8215.8314.9314.2013.5917.3116.6115.9814.8913.3414.3513.5312.699.147.816.866.6610.1210.489.95
3.403.228.285.393.070.873.270.13-1.46-1.163.750.980.870.915.893.551.310.106.544.182.560.544.261.430.01-0.083.381.43-0.44-0.814.323.552.340.274.803.682.230.734.272.371.370.852.541.321.560.752.572.471.270.761.420.880.470.232.351.700.820.343.542.401.851.11
2.552.795.813.591.770.161.69-0.95-2.16-1.502.29-0.100.100.504.692.670.72-0.225.333.261.900.103.090.61-0.41-0.242.430.77-0.98-1.083.643.062.030.154.093.191.940.603.731.991.130.762.081.051.360.652.212.241.130.681.130.630.310.172.001.450.680.283.252.201.721.03