Cheniere Energy Financial Ratios for Analysis 2009-2024 | LNG

Fifteen years of historical annual and quarterly financial ratios and margins for Cheniere Energy (LNG).

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
1.630.831.081.442.252.432.692.080.829.726.714.691.012.504.32
0.721.011.000.930.930.940.950.960.910.800.700.491.081.191.17
2.63-145.43-903.4813.9112.6414.7320.4326.1410.633.922.320.96-17.15-6.19-7.04
84.3518.294.0841.3735.8534.6836.1537.2654.9843.2143.9353.5972.3081.1379.26
75.9513.64-4.4228.1224.2725.3424.78-2.34-165.68-101.58-122.87-28.4820.0235.8912.97
75.9513.64-4.4228.1224.2725.3424.78-2.34-165.68-101.58-122.87-28.4820.0235.8912.97
82.0317.162.4139.2933.4831.8332.3716.06-117.34-71.40-94.374.0951.7266.9158.12
71.489.26-14.365.817.3515.3610.11-51.68-404.80-256.66-207.48-129.83-69.95-26.89-92.56
48.454.27-14.77-0.916.665.90-7.02-47.54-359.78-204.49-190.08-125.00-68.43-26.14-89.16
0.470.810.400.260.270.250.200.050.010.020.030.060.100.110.07
7.1733.0721.5518.7920.0116.5114.725.036.7319.5414.1817.5412.2645.391.15
18.4417.2010.5314.4619.8213.6515.105.8947.1460.6459.5776.3795.4562.0418.30
19.7921.2334.6525.2418.4226.7324.1862.027.746.026.134.783.825.8819.95
134-1,540.944,74222.5950.6062.2145.40-79.26-70.26-27.66-19.67-15.2811816.5938.80
134-1,540.941,42323.4052.2564.7948.41-87.27-73.89-28.53-20.22-15.8579.8714.1132.55
27.996.39-3.991.403.473.752.02-2.81-5.83-5.50-5.78-7.45-6.97-3.07-6.14
37.2011.03-5.321.533.713.992.12-2.95-6.66-5.62-5.93-7.80-8.83-3.19-6.42
38.06-0.70-0.138.799.607.515.223.536.6311.0612.4010.34-1.37-7.13-7.72
34.7041.539.745.017.108.025.28-1.77-2.13-1.17-0.24-0.59-0.56-0.30-1.90
25.9634.316.20-2.27-4.74-6.67-9.12-20.80-32.33-13.78-14.47-0.59-0.56-0.30-1.90

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
1.020.981.631.541.331.430.830.770.821.241.080.861.041.131.441.892.611.082.252.212.012.352.432.722.303.652.693.002.822.782.080.810.820.760.823.933.538.419.723.444.077.546.714.732.473.184.694.562.201.881.010.520.721.852.500.613.373.314.322.763.213.42
0.720.720.720.750.780.811.011.211.051.051.000.960.930.920.930.930.910.910.930.950.940.930.940.940.940.940.950.960.960.960.960.960.950.930.910.890.870.840.800.790.790.710.700.710.700.590.490.550.810.951.081.221.191.211.191.191.151.181.171.161.141.16
2.723.022.633.063.884.41-145.43-6.25-23.70-23.01-903.4825.1712.8711.6713.9113.3610.3811.4512.6420.7714.8313.4614.7315.0415.5215.0320.4323.0524.5624.2326.1429.4922.5315.0510.638.496.715.153.923.863.652.412.322.412.281.420.961.234.7122.90-17.15-6.63-6.86-5.77-6.19-6.76-7.51-6.52-7.04-7.43-8.28-7.13
61.6436.8260.9075.9365.8911578.87-29.8222.93-3.2912.35-63.1315.7844.6921.1025.6851.7561.4645.0027.3331.2836.4929.6734.0833.7041.1735.8532.9334.7341.7846.8532.0425.4223.1949.3910247.2422.9933.1743.8333.8361.8165.4939.0920.8050.7652.3060.9448.4152.5177.4263.5970.6876.3178.4779.3883.8082.8687.0085.3575.19-610.45
48.8527.1350.4966.2456.2710973.87-34.0718.45-8.196.70-73.444.8434.439.904.9339.0149.6933.7914.1518.8526.8021.6523.3621.7833.3225.2621.1722.0831.0521.333.23-42.94-131.88-351.30-78.83-140.94-88.12-153.55-91.55-91.85-70.48-118.52-67.75-202.86-102.35-23.61-82.60-9.821.0210.7015.7322.6129.7435.1232.8036.1639.0449.4432.400.85-3,028.18
48.8527.1350.4966.2456.2710973.87-34.0718.45-8.196.70-73.444.8434.439.904.9339.0149.6933.7914.1518.8526.8021.6523.3621.7833.3225.2621.1722.0831.0521.333.23-42.94-131.88-351.30-78.83-140.94-88.12-153.55-91.55-91.85-70.48-118.52-67.75-202.86-102.35-23.61-82.60-9.821.0210.7015.7322.6129.7435.1232.8036.1639.0449.4432.400.85-3,028.18
--------------------------------------------------------------
42.2022.2946.1560.8650.4610670.09-38.3613.66-12.990.95-86.75-7.4221.36-2.66-39.9319.4427.0921.15-12.120.0915.049.8612.649.5327.4316.276.271.7714.2026.22-27.74-189.83-504.35-455.69-464.98-209.20-490.23-276.00-153.92-414.85-180.98-220.05-178.22-242.47-189.22-147.01-169.42-121.71-83.50-80.97-84.28-66.55-51.09-114.76-60.52125-44.83-27.26-74.39-39.72-7,071.98
27.0711.8028.5540.9033.3774.3443.34-26.949.25-11.56-20.18-33.88-10.9012.72-6.96-31.718.2013.8431.23-14.65-4.976.242.813.57-1.1715.927.27-20.60-22.974.4619.23-21.72-168.36-465.22-424.51-450.82-174.19-391.56-240.50-134.09-298.51-144.80-203.60-148.91-230.38-177.68-139.91-165.16-117.19-80.05-79.64-81.95-64.79-50.28-114.12-59.46125-44.23-27.10-75.44-34.38-6,699.76
0.080.100.110.100.100.180.220.200.190.190.170.080.080.080.080.040.070.080.080.060.070.070.070.060.050.080.060.050.050.050.020.020.010.000.000.000.000.000.010.010.010.010.010.010.010.010.010.020.020.020.020.020.030.030.030.030.030.030.030.020.010.00
3.227.404.242.503.46-2.352.3210.188.2713.548.1411.087.005.447.533.885.604.375.305.485.435.155.304.024.3910.724.617.085.406.241.904.951.991.701.91-0.142.573.235.662.697.726.282.172.864.547.054.573.9113.8710.162.503.484.651.9513.4115.6222.081.220.340.400.88-
4.526.304.365.135.797.874.674.834.255.124.353.264.924.584.313.743.725.796.124.285.295.754.077.395.513.694.715.294.374.182.623.022.382.8811.929.9410.082.1014.922.8616.2017.3814.812.602.4924.3519.342.2613.1937.6323.8515.7626.572.3916.0620.943.1722.518.656.334.030.17
19.9014.2820.6417.5515.5611.4419.2618.6521.1717.5720.6727.6518.2919.6620.8924.0424.2015.5514.7021.0317.0015.6422.0912.1716.3324.4119.1217.0020.6021.5534.3029.8437.7731.287.559.058.9342.796.0331.505.555.186.0834.6636.093.704.6539.826.822.393.775.713.3937.705.604.3028.434.0010.4114.2122.34529
13.5210.1220.2426.4426.29118-3,009.9461.06-76.4062.033,300-75.52-5.5621.790.09-21.6413.4822.1847.35-17.500.1015.7611.5612.408.6535.1522.588.312.0917.2917.88-18.56-38.77-28.97-20.00-16.47-6.40-14.26-7.36-4.50-11.41-4.48-5.20-5.29-6.72-4.84-4.37-6.00-14.93-50.3834.0712.4111.267.9418.339.58-22.037.615.4010.284.1419.63
13.5210.1220.2426.7126.61120-3,009.9460.00-71.7858.46990-80.63-5.7522.450.09-22.3813.8422.8248.90-18.450.1016.3512.0412.949.0536.8124.088.952.2718.7419.69-20.83-42.55-30.94-21.03-17.17-6.63-14.75-7.59-4.65-11.77-4.61-5.35-5.48-6.95-4.99-4.54-6.27-17.77-167.1323.1510.499.446.8315.598.04-18.146.464.538.543.3716.54
2.751.964.245.014.0815.9812.47-6.062.21-1.95-2.77-2.28-0.361.570.01-1.411.131.693.25-0.750.011.020.700.740.492.121.000.330.080.660.63-0.58-1.56-1.71-1.66-1.66-0.80-2.25-1.46-0.89-2.37-1.28-1.53-1.51-1.91-1.89-2.13-2.55-2.51-2.01-2.02-2.09-1.85-1.58-3.39-1.583.27-1.30-0.85-1.50-0.54-3.02
3.732.835.636.585.7121.9121.55-12.593.67-2.82-3.70-2.98-0.411.780.01-1.521.191.903.47-0.800.011.090.740.770.532.191.050.350.080.690.67-0.66-1.80-1.99-1.89-1.73-0.83-2.32-1.50-0.93-2.45-1.31-1.57-1.55-2.05-2.00-2.23-2.69-2.81-2.27-2.56-2.74-2.18-1.67-3.53-1.853.38-1.38-0.89-1.60-0.57-3.20
37.8536.0538.0633.1126.9522.37-0.70-17.33-4.77-4.95-0.134.799.2910.348.799.3111.8810.799.605.837.868.317.517.126.997.185.224.554.224.183.533.163.865.386.638.309.8110.4211.0610.2210.7511.9512.4010.0310.5310.9010.348.532.780.78-1.37-5.51-5.31-7.43-7.13-7.62-6.82-8.32-7.72-7.25-6.47-8.56
10.325.3034.7027.6820.5113.9241.5330.3020.2110.459.748.115.424.125.013.034.071.927.104.272.951.598.026.014.041.975.283.852.311.33-1.77-1.39-1.29-0.57-2.13-1.21-1.30-0.06-1.17-0.18-0.05-0.08-0.24-0.10-0.10-0.06-0.59-0.50-0.56-0.52-0.56-0.50-0.42-0.74-0.30-0.21-0.180.07-1.90-1.78-0.54-0.47
5.282.5425.9621.7716.2311.0234.3124.9416.219.756.205.383.953.38-2.27-2.660.180.06-4.74-5.84-2.91-0.82-6.67-4.83-2.17-1.29-9.12-8.63-7.75-4.34-20.80-16.46-11.27-5.62-32.33-26.51-20.27-2.67-13.78-9.31-6.10-3.55-14.47-11.19-0.10-2.22-0.59-0.50-0.56-0.52-0.56-0.50-0.42-0.74-0.30-0.21-0.180.07-1.90-1.79-0.54-0.47