Linde Financial Ratios for Analysis 2009-2024 | LIN

Fifteen years of historical annual and quarterly financial ratios and margins for Linde (LIN).

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
0.800.790.740.800.851.330.991.161.391.141.091.131.031.131.23
0.250.230.200.200.170.180.540.620.650.590.530.510.500.460.46
0.470.430.310.330.270.271.381.751.931.531.261.151.130.900.90
46.7641.7043.0343.5341.0439.2043.8144.4244.6943.2743.4543.0242.6143.1243.81
24.4216.0916.1912.1910.3935.3721.5221.3321.5421.2522.0121.7121.9320.5817.59
24.4216.0916.1912.1910.3935.3721.5221.3321.5421.2522.0121.7121.9320.5817.59
36.0428.6931.2429.1726.9950.1831.9431.9831.8030.7831.3130.6330.8529.7327.03
24.3116.6116.5612.4210.3734.0320.1419.4420.0419.5120.5220.4620.6519.4116.10
18.8712.4312.429.188.0929.5310.9814.2414.3613.8014.7215.0714.8611.8114.00
0.410.420.380.310.330.160.560.540.590.620.590.620.690.660.63
8.279.8310.128.909.815.4610.3910.6511.2212.6413.3313.4414.1614.4213.35
6.967.326.846.546.533.456.646.426.736.836.306.126.276.085.67
52.4249.8853.3355.8355.8910654.9556.8654.2353.4157.9159.6458.2360.0464.35
15.4410.358.715.294.417.5120.0928.2733.1929.0526.2227.1629.7120.0822.96
32813686.2250.5827.1630.6752.4788.3412876.3857.1446.6252.8531.2637.75
7.855.374.852.972.624.596.407.968.698.839.069.6410.538.089.06
11.647.996.974.253.656.189.1510.7111.5611.9212.2213.3114.8010.9212.47
85.1584.0289.3194.7396.4110422.7019.1016.8220.7823.8121.6819.4220.2118.43
18.9017.5918.6313.9911.2210.9410.529.699.329.779.769.128.006.126.94
11.2111.2912.727.594.475.305.984.603.994.053.001.902.151.662.61

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
0.950.910.800.830.780.730.790.740.740.850.740.810.710.740.800.830.800.740.850.901.021.351.330.860.960.940.991.111.031.341.161.341.331.601.391.281.261.171.141.031.241.251.091.021.011.091.131.120.971.281.031.251.381.351.131.321.291.201.231.130.890.82
0.300.270.250.250.250.220.230.210.210.220.200.200.170.170.200.200.190.180.170.170.190.180.180.500.530.520.540.550.570.600.620.620.620.630.650.660.620.620.590.540.540.550.530.550.560.540.510.500.500.510.500.490.460.460.460.430.450.450.460.470.450.46
0.540.510.470.450.420.450.430.390.390.370.310.370.330.330.330.370.360.360.270.260.260.250.271.231.301.281.381.371.501.571.751.751.791.771.932.051.751.741.531.311.251.321.261.371.451.331.151.121.191.091.131.030.900.890.900.800.870.940.900.971.031.15
48.5847.9546.6347.1047.3945.9243.9539.9241.5941.5740.6243.0444.7044.0343.8144.0643.2542.9740.8641.9940.5940.7331.8243.5543.9644.3244.9543.4643.5843.2244.2943.5644.9244.9645.0544.6044.6344.5043.5143.3843.2442.9643.5543.6843.2643.2843.4442.5043.0143.1042.8541.8542.6243.1543.1243.1043.1343.1243.0844.1944.3443.71
26.4225.8624.4325.1624.5123.5921.3618.346.9618.0216.1116.8515.0616.7514.1514.149.2710.889.2514.299.298.7755.7822.2422.6321.8922.2321.6321.3820.7823.0018.3022.0622.0824.0522.1117.5322.6017.5622.6122.3922.3122.9222.2422.0620.7822.0120.1222.6322.0822.1021.8221.9421.8719.2521.7121.6519.7321.277.6020.9120.82
26.4225.8624.4325.1624.5123.5921.3618.346.9618.0216.1116.8515.0616.7514.1514.149.2710.889.2514.299.298.7755.7822.2422.6321.8922.2321.6321.3820.7823.0018.3022.0622.0824.0522.1117.5322.6017.5622.6122.3922.3122.9222.2422.0620.7822.0120.1222.6322.0822.1021.8221.9421.8719.2521.7121.6519.7321.277.6020.9120.82
--------------------------------------------------------------
26.1625.6824.0425.1024.4323.6921.7018.737.6418.6916.3317.3315.4717.1514.3014.189.6911.199.4914.309.488.2254.7820.7121.1220.2820.7020.0219.9719.8321.2216.7220.4119.4922.4320.8116.0721.0014.9221.1821.0120.7921.0620.8820.7019.3920.7618.8221.4520.7720.7420.5820.6820.5818.1920.5720.5018.4119.906.2119.3619.17
20.1220.0918.5919.1919.2018.5016.8114.474.4014.3012.3612.7711.0913.5310.5910.217.188.507.2210.507.257.4551.3415.3315.7715.491.1514.3414.3314.2615.3612.4814.9714.1916.2614.9311.2515.0910.1015.1715.0014.8115.7514.7714.7613.5414.7915.5015.2614.7515.0214.8114.8714.735.0714.8514.6812.9314.1314.2013.9913.66
0.100.100.100.100.100.100.100.120.110.100.100.090.090.090.080.080.070.080.080.080.080.080.060.150.150.140.140.140.140.140.140.140.130.130.140.150.140.140.150.150.150.150.150.150.150.150.150.160.170.170.170.180.170.170.170.170.180.160.170.160.160.17
2.032.012.102.082.082.162.242.852.772.722.842.582.482.392.362.212.112.282.472.462.512.472.402.732.822.682.582.812.822.762.682.852.632.502.692.832.772.863.073.273.263.323.363.273.563.433.333.303.423.353.503.783.643.693.743.583.843.663.633.212.812.82
1.651.621.761.741.711.721.731.911.761.691.841.761.751.751.751.701.601.651.641.651.611.581.351.621.621.571.681.621.581.581.611.601.531.491.621.591.561.571.661.601.501.491.591.541.541.451.531.461.531.471.561.561.481.471.581.481.561.481.521.401.371.40
54.4455.6651.1551.7852.6552.2151.9447.0551.1153.1148.8051.2651.5351.4351.5752.9556.3754.5454.9454.4956.0156.9066.6755.4155.5057.3253.5555.7256.8857.0755.8656.3058.8060.4455.5356.6357.8557.1654.0656.0859.9960.2956.5758.4658.5662.1458.9761.6859.0161.2957.7857.8060.6261.0957.0960.6757.5960.9859.0464.0865.4664.14
4.304.143.843.983.913.763.293.341.002.732.322.211.862.141.621.501.011.291.041.431.030.824.977.137.646.860.756.466.716.777.706.107.376.908.998.895.977.945.217.066.586.607.247.037.336.226.676.937.536.897.437.246.486.262.316.136.615.646.236.216.296.81
12986.4581.5773.5171.0468.4643.3950.9615.1029.8822.9722.4317.1718.2015.4913.018.2710.566.387.955.353.3520.2915.8917.8015.411.9714.8316.7317.9624.0718.3022.9022.0734.7938.2418.8023.8413.6915.6014.0814.7015.7816.6618.0814.0811.4411.5213.1011.7113.2311.239.739.513.609.4010.539.1110.2410.4810.8212.50
2.122.071.952.062.051.931.711.750.531.461.291.201.041.200.910.840.560.720.620.870.620.513.042.402.522.290.242.142.102.052.171.732.061.922.352.241.672.241.582.402.302.252.502.302.332.072.372.492.662.542.642.792.682.580.932.582.672.192.462.372.292.32
3.013.002.892.992.942.922.542.620.792.121.861.761.531.771.301.210.821.060.861.180.830.684.093.603.633.320.342.912.912.712.922.312.782.523.133.012.253.022.143.263.032.973.373.203.262.843.273.463.753.413.703.713.523.401.263.483.613.093.383.323.473.66
82.8083.6785.1582.9684.5184.2984.0278.7482.3288.1889.3189.2191.4391.5494.7392.5691.2289.7896.4195.3797.6810410423.4022.7023.9622.7023.5121.8920.9019.1019.7619.4518.6016.8216.3018.6518.7120.7823.8225.0223.8923.8122.3421.3222.0721.6821.3619.7720.9819.4220.4222.4121.5520.2120.6618.8418.7318.4317.6216.1214.23
8.044.0218.9013.408.223.8517.5913.518.183.9118.6312.487.524.0013.999.425.882.5211.227.263.791.9410.948.065.082.3710.527.624.892.479.697.104.381.939.326.634.231.749.777.104.671.809.766.553.511.579.126.213.731.338.005.443.021.166.125.183.281.556.944.672.921.12
3.521.8711.218.034.802.1811.299.045.262.6412.728.164.642.567.594.942.881.024.472.350.670.415.304.442.761.255.984.262.631.334.603.442.010.803.992.611.650.384.053.012.050.483.001.500.200.021.900.920.26-0.272.151.440.540.081.662.181.310.632.611.480.800.18