Jones Lang LaSalle Financial Ratios for Analysis 2009-2024 | JLL

Fifteen years of historical annual and quarterly financial ratios and margins for Jones Lang LaSalle (JLL).

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
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0.180.210.110.110.180.150.170.300.160.100.160.180.210.110.11
0.240.290.150.130.250.180.220.450.210.120.210.240.310.140.14
---------------
2.784.165.393.373.984.333.783.518.888.588.277.367.018.914.69
2.784.165.393.373.984.333.783.518.888.588.277.367.018.914.69
4.305.677.015.245.525.675.114.8311.1910.8510.6610.2910.3912.9610.11
1.214.776.323.193.884.333.713.579.718.948.197.076.196.960.10
1.093.144.972.432.972.971.912.537.357.106.045.284.585.25-0.17
1.291.341.251.161.321.631.561.700.961.070.970.900.910.870.80
---------------
---------------
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3.5312.9214.967.5310.3313.178.2712.2916.4216.1112.4810.669.779.82-0.23
21.8010510559.9215270.2676.81-580.3712883.92112351-151.361573.29
1.415.096.192.953.934.903.024.537.217.645.954.804.214.61-0.10
2.9010.2713.286.718.4311.206.908.6613.8214.4610.438.697.688.73-0.20
13512912811010181.9074.4562.2560.3453.7449.2944.4738.9836.8533.04
11.924.0518.6721.329.8413.1517.454.898.2711.026.557.274.768.726.50
8.05-0.1215.3018.466.029.6314.15-1.305.157.584.405.162.707.645.35

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
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0.240.250.180.240.260.290.210.240.250.220.110.130.150.150.110.170.210.290.180.270.230.240.150.200.240.230.170.260.300.330.300.320.280.270.160.170.200.210.100.180.230.240.160.260.280.280.180.240.260.260.210.260.210.150.110.150.160.200.110.180.240.33
0.330.360.240.340.380.420.290.360.350.300.150.170.190.200.130.220.290.440.250.380.330.340.180.280.340.320.220.370.460.520.450.500.390.390.210.210.250.270.120.240.310.330.210.370.420.410.240.320.360.380.310.380.290.200.140.190.240.280.140.260.340.54
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2.712.234.942.332.950.384.543.914.453.667.495.994.992.006.793.890.291.586.823.823.520.666.394.813.841.516.033.913.770.492.894.167.102.2013.458.017.504.3814.979.337.18-1.4712.977.876.652.3512.086.946.301.7910.386.027.761.7512.918.738.433.1010.057.503.01-5.57
2.712.234.942.332.950.384.543.914.453.667.495.994.992.006.793.890.291.586.823.823.520.666.394.813.841.516.033.913.770.492.894.167.102.2013.458.017.504.3814.979.337.18-1.4712.977.876.652.3512.086.946.301.7910.386.027.761.7512.918.738.433.1010.057.503.01-5.57
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1.871.593.151.440.08-0.233.953.487.743.849.036.185.663.246.834.030.430.556.633.813.460.546.564.583.781.586.013.843.770.292.883.767.832.5113.769.258.924.8215.0110.227.55-1.2513.117.596.662.0611.377.015.492.349.985.007.110.3111.816.826.120.098.333.92-2.85-14.63
1.501.292.931.170.05-0.203.122.713.673.037.094.854.452.555.163.320.410.135.072.872.590.564.113.402.761.131.752.792.720.232.122.814.911.9210.387.366.563.4811.087.635.621.539.755.684.681.548.565.214.041.727.383.755.190.228.835.244.670.046.383.32-2.51-12.44
0.350.330.370.330.320.300.360.340.350.310.380.320.330.300.340.290.290.290.400.340.400.360.490.410.420.390.470.470.440.431.090.240.250.210.310.290.270.240.340.280.270.230.330.260.240.200.290.230.240.210.290.240.230.210.290.230.230.190.260.200.190.17
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--------------------------------------------------------------
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1.301.022.690.960.05-0.142.862.305.462.246.563.983.381.794.572.550.280.355.302.662.870.565.443.813.171.232.303.133.130.276.331.693.360.907.304.483.681.848.084.473.110.736.733.102.560.695.472.672.150.815.022.062.690.105.392.522.330.033.791.48-1.08-6.22
7.386.1016.627.250.41-1.1223.2720.1444.4415.3446.0022.3419.5112.5236.3128.744.266.6278.0213013.772.9529.0423.0122.399.9221.3560.97151-20.53-298.824,01730.188.6256.7523.4517.819.8242.1226.7321.515.8260.1861.3289.9526.51180-851.03-65.02-17.98-77.71-20.09-28.511.5086.30368-59.13-0.46-54.51-13.536.0512.41
0.530.421.070.380.02-0.051.130.902.200.932.711.531.480.771.790.970.110.132.020.991.050.202.031.411.200.460.841.311.200.112.330.681.490.403.212.161.810.873.842.121.520.353.211.461.180.312.461.230.990.372.160.901.220.052.531.211.080.011.690.66-0.47-2.13
0.990.772.210.730.04-0.102.281.744.121.765.833.462.881.524.062.120.220.254.331.952.210.434.633.042.420.951.922.312.180.184.461.152.430.656.143.732.961.467.263.652.400.555.632.291.840.504.462.041.590.593.941.532.130.084.792.151.950.023.361.22-0.82-4.14
13713513512913012912912612712912811811511111010398.9497.4210194.2784.6882.9781.9078.4276.1976.4174.4569.9166.9963.9362.2563.0062.2561.8660.3456.0955.3752.3353.7452.2852.1549.9449.2945.7643.8243.7944.4742.2140.0840.2238.9837.7739.0437.6436.8534.6932.7232.5133.0432.0531.3528.44
-8.35-14.0311.92-3.17-9.92-15.064.05-8.26-10.86-14.0618.674.05-4.70-8.8521.326.95-0.86-10.419.84-4.83-10.49-11.9813.15-0.01-5.83-5.6317.456.06-0.84-4.634.89-3.33-6.21-7.418.27-0.40-4.73-7.4011.020.94-3.25-5.826.55-2.22-5.42-6.697.270.76-2.73-4.394.76-0.93-3.07-4.458.722.45-1.82-3.336.501.01-2.40-0.11
-10.04-14.938.05-6.02-11.74-16.10-0.12-11.06-12.61-14.9715.301.90-6.04-9.5118.464.80-2.34-11.266.02-7.34-12.31-12.959.63-2.40-7.38-6.5414.153.92-2.22-5.32-1.30-7.78-8.71-8.905.15-2.33-5.73-7.827.58-1.32-4.74-6.564.40-3.19-5.88-6.975.16-0.46-3.46-4.652.70-2.19-3.88-4.837.641.93-2.12-3.435.350.29-2.98-0.31