Kaiser Aluminum Financial Ratios for Analysis 2009-2024 | KALU

Fifteen years of historical annual and quarterly financial ratios and margins for Kaiser Aluminum (KALU).

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
2.682.492.647.084.583.203.793.982.961.944.594.592.903.312.44
0.630.640.600.530.400.330.330.310.200.180.260.260.150.150.01
1.721.761.501.140.670.500.500.460.250.390.360.360.180.170.01
10.767.2310.4519.7319.7417.9822.3024.7919.8617.5919.9317.9313.2412.3322.35
3.100.122.466.928.309.0511.1113.61-24.8510.1713.3612.204.233.8112.03
3.100.122.466.928.309.0511.1113.61-24.8510.1713.3612.204.233.8112.03
6.693.306.0311.5411.6211.8914.0316.40-22.2113.3316.3614.896.736.2314.25
1.82-1.11-0.923.315.317.579.5211.06-26.717.9011.0410.263.172.3312.02
1.53-0.86-0.712.464.095.783.256.89-17.005.298.086.311.931.106.98
1.361.501.080.630.991.121.010.921.120.780.730.780.990.820.91
5.776.055.806.196.846.055.224.965.085.204.856.005.495.656.12
9.149.256.809.438.187.727.748.8911.339.679.7410.6913.0012.2311.46
39.9239.4753.6938.7244.6547.2747.1441.0432.2037.7437.4734.1428.0829.8331.84
7.24-4.69-2.673.938.4512.396.0811.40-30.557.079.678.012.881.357.82
8.09-5.31-3.164.199.0413.816.4612.37-33.487.5910.348.603.141.367.82
2.08-1.29-0.761.544.066.463.286.35-18.984.125.924.901.900.916.49
2.66-1.70-1.071.835.068.264.077.81-24.425.797.125.912.451.157.76
40.7239.6043.6546.3246.2545.6144.4945.5942.8957.7059.7555.4445.3350.8145.74
13.14-3.975.0113.0014.348.908.209.189.286.675.807.913.313.426.50
5.20-12.231.479.7610.634.553.864.965.623.482.155.631.631.663.49

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
2.602.552.662.682.682.812.612.492.412.282.382.642.752.732.667.087.807.374.054.583.803.633.293.203.503.633.703.793.753.944.133.984.134.192.792.963.343.341.831.941.921.984.744.594.975.014.824.594.804.452.952.902.662.672.633.313.293.383.282.442.472.201.80
0.610.610.610.610.620.620.630.640.620.610.590.600.590.590.530.530.540.540.410.400.330.330.330.330.330.330.330.330.320.320.320.310.310.310.200.200.220.230.230.180.170.170.270.260.260.260.260.260.270.280.140.150.130.140.140.150.140.140.140.010.010.010.01
1.561.571.561.591.621.651.701.761.621.601.461.501.441.441.141.141.161.160.680.670.490.500.500.500.490.490.490.500.470.480.460.460.450.460.250.250.280.300.530.390.360.360.360.360.350.360.350.360.370.380.160.180.160.160.170.170.170.160.160.010.010.010.01
10.1510.7212.8311.2910.5411.769.477.097.215.858.748.929.709.1418.9818.4618.5018.5722.3919.1820.3519.1320.2718.5217.7617.3318.3821.5022.9618.7226.0629.5920.5625.2323.6620.7220.5419.7218.6717.5417.2619.9415.5818.3118.8820.4921.8715.6719.8517.6118.4221.167.6311.4512.9313.8812.959.3813.2723.1225.2826.6315.16
2.332.004.433.012.574.412.37-2.860.40-0.212.662.062.641.505.226.804.811.7012.352.6010.868.6310.889.488.888.359.5611.8712.473.5116.6914.649.3017.2913.0511.1212.0410.08-123.387.939.6213.489.5813.3613.0012.1914.827.6116.7511.4712.644.911.524.346.143.425.011.425.5314.3016.9015.082.71
2.332.004.433.012.574.412.37-2.860.40-0.212.662.062.641.505.226.804.811.7012.352.6010.868.6310.889.488.888.359.5611.8712.473.5116.6914.649.3017.2913.0511.1212.0410.08-123.387.939.6213.489.5813.3613.0012.1914.827.6116.7511.4712.644.911.524.346.143.425.011.425.5314.3016.9015.082.71
---------------------------------------------------------------
2.060.504.351.210.742.622.58-4.510.48-1.881.200.450.81-5.111.302.10-0.12-1.9210.48-4.889.107.069.567.707.616.868.1410.0810.821.9415.3411.997.5812.4512.069.2510.328.77-125.915.277.4111.337.5211.4011.169.2112.364.8414.139.9111.714.061.402.045.271.132.240.425.6114.5116.8714.992.60
1.600.403.341.050.732.251.97-3.400.33-1.450.850.21-0.31-3.021.392.170.16-2.397.88-2.886.785.127.096.065.524.986.62-4.305.981.3210.137.384.657.767.664.206.575.50-78.614.624.697.124.728.777.945.669.932.908.706.087.251.921.271.213.35-0.902.090.043.259.879.058.191.39
0.320.330.320.320.330.360.350.340.320.390.370.330.310.310.150.150.140.150.240.240.260.260.270.270.280.290.280.250.230.260.250.230.220.240.280.250.270.290.240.190.190.190.190.180.180.190.190.180.200.210.260.240.230.240.240.200.200.220.210.220.240.220.25
1.421.551.361.341.361.441.361.371.291.922.011.821.641.760.681.461.321.241.471.681.551.311.351.481.651.941.791.331.211.451.291.161.141.151.241.141.231.361.391.301.331.391.391.191.251.291.321.421.421.451.501.221.531.681.661.371.501.741.771.461.501.331.67
2.012.022.092.142.072.091.982.092.032.381.972.091.851.730.962.191.801.861.871.991.751.851.811.901.801.981.911.962.172.282.102.222.142.352.332.582.472.542.352.412.372.572.482.342.342.452.202.472.122.592.783.172.462.762.753.012.762.942.682.753.003.003.32
44.6744.6343.0342.1043.4642.9945.4242.9944.2737.7845.8043.0548.6952.0093.6941.1649.9148.4448.2045.2151.4248.7349.6947.4750.1245.5247.2046.0141.5439.4842.7640.5741.9738.3838.6534.9136.3935.4238.3837.3337.9235.0736.3138.5138.4336.7540.9736.4642.4134.7332.3628.3736.5832.6532.7229.8632.6030.5633.6432.7030.0429.9727.08
1.800.473.701.170.842.872.50-4.180.39-2.121.140.25-0.32-3.110.610.810.06-0.924.04-1.443.382.573.743.192.852.723.41-2.042.540.614.513.041.833.223.341.722.862.66-38.741.541.442.241.462.522.321.733.090.852.892.142.830.700.430.431.17-0.270.610.010.992.672.782.430.48
1.990.524.121.300.953.232.82-4.740.46-2.501.340.29-0.38-3.720.740.860.06-0.984.32-1.553.752.864.173.553.162.883.62-2.162.690.654.903.311.993.513.651.883.142.93-42.631.651.542.391.562.692.481.853.310.913.122.313.070.760.460.461.27-0.270.610.010.992.672.782.430.48
0.520.131.070.340.240.810.68-1.150.11-0.560.320.07-0.09-0.930.210.320.02-0.361.87-0.691.781.351.931.661.521.451.83-1.101.400.342.551.701.041.832.131.071.751.61-19.040.890.881.380.891.541.421.071.900.521.721.261.910.460.300.290.79-0.180.410.010.692.222.221.890.36
0.700.181.440.450.321.080.93-1.510.15-0.820.460.10-0.13-1.280.290.380.03-0.422.40-0.862.261.722.502.121.921.832.29-1.361.730.413.082.091.262.212.681.372.232.05-29.841.261.201.861.071.851.711.272.280.632.101.542.430.600.370.371.00-0.230.520.010.852.652.762.410.48
41.4641.1541.4140.7240.0139.8539.7939.6040.2740.8244.5343.6545.4545.4446.3846.3245.4945.4645.6746.2547.2546.5646.3545.6146.0845.6644.9044.4946.3545.4346.2145.5945.4244.9443.8042.8943.8744.2843.6857.7061.7360.9960.0259.7558.6557.4856.7755.4457.4455.9253.3645.3354.7754.7252.7550.8151.8951.5350.7645.7441.9340.9640.18
7.575.463.9013.148.522.97-1.26-3.97-3.660.440.095.012.100.31-0.7113.009.506.013.2714.349.544.341.398.906.704.971.538.207.664.250.239.185.913.971.179.285.992.660.436.675.573.861.465.804.752.580.337.915.533.891.833.311.081.720.823.423.452.041.126.505.974.433.39
0.300.972.055.202.03-1.22-2.87-12.23-8.11-2.36-1.681.470.21-0.83-1.289.767.174.001.9610.637.032.510.564.553.582.850.383.864.431.94-0.614.962.751.64-0.255.623.881.40-0.223.483.442.230.632.152.291.21-0.155.634.203.011.361.63-0.110.980.501.661.610.630.433.493.412.562.25