ManpowerGroup Financial Ratios for Analysis 2009-2024 | MAN

Fifteen years of historical annual and quarterly financial ratios and margins for ManpowerGroup (MAN).

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
1.161.211.111.421.461.441.281.401.481.491.491.381.331.481.66
0.310.280.180.310.270.280.140.240.230.130.140.160.100.220.22
0.450.400.440.460.390.400.330.340.320.160.180.310.280.290.30
17.7518.0216.4415.6916.1816.2716.5716.9617.0516.8016.6316.6516.8417.2017.57
1.352.932.821.043.093.623.753.793.563.472.531.992.38-0.650.26
1.352.932.821.043.093.623.753.793.563.472.531.992.38-0.650.26
1.823.363.181.473.464.014.154.233.973.872.992.482.86-0.060.87
1.092.812.740.823.293.433.513.573.423.282.351.782.18-0.88-0.14
0.471.891.850.132.232.532.592.262.172.061.420.961.14-1.40-0.06
2.142.172.111.932.262.582.372.592.572.892.782.953.192.802.58
---------------
3.923.863.803.663.964.173.924.454.565.024.734.955.264.915.22
93.2194.5795.9599.6192.2587.5793.1981.9680.1272.6877.1173.7769.3574.3769.88
3.9715.2115.100.9716.8620.6319.0918.1415.5714.539.887.9010.13-11.00-0.36
69.541331692.4337.7848.2044.3248.6537.8127.0519.0217.5022.00-24.71-0.78
1.014.093.890.265.056.536.145.865.585.953.952.823.65-3.92-0.15
2.7510.9412.350.6712.3414.9516.3513.7311.9712.718.486.679.15-8.60-0.28
46.1448.6247.2443.9947.0744.4243.2536.5336.8637.6836.7232.6331.0829.3232.28
6.918.0211.6416.0613.517.425.908.476.583.794.984.140.842.255.29
5.446.7110.5115.3512.636.435.107.676.103.184.423.290.111.594.89

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
1.141.171.161.211.211.241.211.221.191.121.111.281.381.391.421.481.501.491.461.481.461.431.441.471.481.331.281.291.291.451.401.391.431.501.481.471.481.501.491.501.501.501.491.451.411.411.381.411.391.351.331.321.311.501.481.481.511.651.661.611.711.69
0.310.310.310.280.290.280.280.270.280.180.180.190.310.310.310.290.290.270.270.270.280.270.280.270.270.140.140.150.150.240.240.250.250.240.230.240.120.120.130.130.140.140.140.150.150.150.160.150.150.090.100.100.100.220.220.200.190.210.220.220.250.25
0.510.450.450.400.410.390.400.370.580.420.440.430.460.460.460.420.410.400.390.380.400.400.400.380.380.330.330.340.340.330.340.350.340.330.320.330.150.150.160.160.170.180.180.180.210.300.310.290.300.280.280.280.300.300.290.260.250.290.300.350.340.35
17.3817.3417.5117.5817.7618.1618.2118.3018.1517.4417.2116.5916.3015.6015.8015.8215.4115.6716.5416.0116.2015.9516.3216.4416.3116.0316.5816.4816.6516.5616.9716.8717.1416.8717.1817.1417.0916.7816.9716.7216.8616.6516.8816.4516.5916.5716.8516.5516.5516.6317.0516.4516.9816.9117.3916.9217.3817.1117.1416.8118.2518.27
2.241.50-0.851.492.222.482.103.363.562.703.102.933.222.002.741.34-1.340.823.694.132.432.094.044.003.682.794.214.193.772.694.174.153.902.873.664.153.682.703.773.923.522.593.183.132.541.142.022.291.811.842.372.732.661.69-6.582.191.730.800.97-0.510.500.04
2.241.50-0.851.492.222.482.103.363.562.703.102.933.222.002.741.34-1.340.823.694.132.432.094.044.003.682.794.214.193.772.694.174.153.902.873.664.153.682.703.773.923.522.593.183.132.541.142.022.291.811.842.372.732.661.69-6.582.191.730.800.97-0.510.500.04
--------------------------------------------------------------
2.041.31-1.191.171.972.321.883.273.432.643.022.833.171.892.591.21-1.490.373.583.903.741.863.973.783.502.493.973.973.562.363.973.923.702.593.643.963.532.473.553.743.372.403.003.032.340.901.822.101.601.612.182.542.451.47-6.772.021.470.480.68-1.210.22-0.29
1.330.90-1.820.651.341.641.012.322.411.782.061.902.111.261.510.22-1.720.042.672.782.371.062.942.922.541.763.842.522.261.562.572.542.301.562.502.492.171.452.292.412.061.431.931.831.350.501.021.220.790.791.161.381.280.70-6.731.030.710.070.66-1.260.43-0.05
0.530.520.520.540.550.530.530.560.530.530.550.540.560.530.540.510.440.530.560.600.590.570.630.620.640.620.630.640.640.620.650.660.670.610.660.670.690.660.710.730.710.670.720.730.760.700.740.740.750.730.790.820.780.720.770.710.710.670.710.640.610.61
--------------------------------------------------------------
0.980.990.961.020.971.000.941.020.950.950.991.011.011.011.031.010.890.970.991.020.990.971.021.021.051.021.051.051.051.071.121.111.131.061.171.161.151.161.241.241.181.161.231.211.211.181.241.181.221.201.311.331.261.211.361.281.341.331.441.331.291.24
91.4991.1393.8888.5592.5890.4096.1488.4994.7995.1991.1089.1488.7489.4287.4689.0410292.5291.3287.8390.7192.5288.0588.5585.3488.1485.7485.3385.7083.8280.1481.0479.9784.5277.0877.4578.0277.3372.6672.8176.1277.8973.3174.4874.4976.2872.2976.4773.7474.7568.6267.5871.4174.5466.4170.4367.0467.5362.6367.8669.8772.62
2.801.81-3.781.262.663.101.984.615.003.584.393.934.662.613.110.40-2.530.065.035.384.722.025.875.625.043.307.575.064.502.945.215.224.592.684.604.613.702.303.984.293.562.363.473.392.690.962.132.461.631.572.563.152.841.43-14.621.851.240.111.15-2.060.64-0.07
82.4437.67-66.1711.2423.2223.1317.3650.0757.1033.5449.189.3511.876.727.780.89-5.800.1511.2612.0611.014.7813.7012.7611.377.4517.5812.3811.507.5313.9714.6912.456.6511.1811.167.054.307.417.916.664.486.686.675.822.084.725.253.563.285.566.816.033.07-32.845.093.650.242.47-4.391.45-0.17
0.710.47-0.960.350.740.880.531.301.270.941.131.031.180.670.820.12-0.760.021.501.671.410.611.861.811.631.092.431.601.440.971.681.671.540.951.651.661.490.961.631.771.460.961.391.331.020.350.760.900.590.580.921.131.000.51-5.210.730.510.050.47-0.810.26-0.03
1.931.26-2.620.901.902.231.423.373.612.953.593.193.221.812.140.28-1.810.053.683.953.421.464.254.113.682.836.484.313.832.243.943.903.452.033.543.513.252.033.483.753.082.032.982.902.280.811.802.091.391.422.312.852.551.11-11.431.491.010.090.89-1.600.48-0.06
44.9845.5446.1449.1449.2549.7648.6247.4546.9648.0447.2445.7844.1943.5143.9944.8642.9845.4747.0745.8545.0344.3644.4244.3943.5844.5543.2541.1038.9737.6736.5336.9036.2237.3236.8636.4837.1636.6237.6838.4238.6637.4436.7235.5432.7932.4532.6332.5031.6632.0431.0831.0631.2030.4629.3233.9531.9731.5532.2832.7132.4630.73
-0.452.376.914.68-0.622.418.025.530.401.3011.646.943.532.5316.0612.2310.243.0713.518.224.591.677.424.652.66-0.875.904.252.182.798.475.833.632.246.583.670.490.283.791.29-0.20-0.194.981.40-0.91-0.804.14-0.18-0.49-0.260.84-0.89-2.31-1.912.25-0.68-0.80-0.545.295.254.813.20
-0.902.175.443.58-1.302.166.714.46-0.380.9410.516.263.102.3115.3511.719.932.9112.637.624.191.516.434.032.25-0.975.103.831.802.637.675.223.202.016.103.240.240.163.180.91-0.45-0.294.421.01-1.21-0.953.29-0.76-0.90-0.500.11-1.40-2.60-2.031.59-1.15-1.11-0.634.894.954.633.10