Masco Financial Ratios for Analysis 2009-2024 | MAS

Fifteen years of historical annual and quarterly financial ratios and margins for Masco (MAS).

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
1.691.561.761.801.751.641.962.011.381.642.061.731.452.331.94
0.971.100.980.871.020.980.941.040.980.720.810.870.810.720.56
30.08-12.0352.846.64-49.5243.1716.86-29.1058.743.044.356.795.422.591.41
35.6031.2634.1935.9935.3534.9736.9133.4531.5529.4028.9826.1024.9224.4926.25
16.9214.9416.7818.0216.2216.1917.1114.7712.8010.299.054.03-3.00-6.180.91
16.9214.9416.7818.0216.2216.1917.1114.7712.8010.299.054.03-3.00-6.180.91
18.7916.6118.5819.8918.7718.8519.6416.9314.9412.8912.086.880.67-2.464.23
15.5413.748.2115.7313.6313.6311.9411.309.657.245.710.97-5.47-9.90-1.78
11.409.704.8516.9013.8510.938.786.624.9011.984.17-1.55-8.06-13.97-2.43
1.491.671.501.241.331.231.091.431.260.970.971.090.980.920.83
5.024.834.535.255.755.424.846.887.126.956.287.637.007.727.60
7.317.557.156.326.736.725.648.038.378.546.738.037.848.437.79
49.9448.3251.0357.7954.2654.3164.7045.4743.5942.7254.2045.4446.5343.3046.86
980-345.42854205-1,221.43994258-520.3968376.9538.12-3.37-47.44-62.01-3.27
-108.72-78.76-53.11-172.75-83.01-93.97-55.98-49.22-42.08595-23.721.1926.1791.6815.83
17.9017.458.5714.9213.6112.728.5510.436.9912.044.31-0.26-4.82-12.05-1.00
31.5533.7215.9126.8325.1922.5715.0118.5316.0921.457.13-0.46-8.88-17.47-1.43
0.44-1.160.231.63-0.200.230.59-0.320.183.272.251.532.134.548.04
6.253.623.713.612.893.362.362.392.381.711.830.810.691.332.01
5.182.663.203.182.452.691.891.851.961.391.550.660.320.991.72

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
1.831.761.741.691.781.721.561.561.471.361.601.761.811.831.831.802.011.501.831.751.461.461.431.641.711.671.691.961.941.952.082.012.071.871.521.382.272.261.891.641.661.541.992.061.851.701.741.731.651.561.641.451.492.132.212.332.402.272.401.941.891.821.77
0.950.940.950.970.951.001.051.101.171.241.040.980.970.980.930.870.890.981.061.020.990.980.990.980.930.960.940.940.980.981.021.040.970.980.970.980.990.960.780.720.680.760.810.810.830.860.870.870.840.850.820.810.680.720.720.720.600.610.600.560.540.550.56
20.7616.2019.0930.0820.35432-23.99-12.03-7.69-6.14-26.6052.8429.3149.3313.656.648.1975.11-16.82-49.5213042.2873.0043.1714.3623.5916.8716.8651.4344.06-50.83-29.1029.0942.8051.1458.7412226.154.093.042.523.804.284.354.996.617.336.795.387.065.535.422.712.662.642.591.521.571.541.411.301.321.39
36.5637.5435.5734.7537.5936.1533.8128.3431.5332.7031.9930.6134.1736.3035.5335.4837.9235.6034.6034.4735.6136.6034.5062.8532.7232.6532.2494.2233.7836.1134.0332.8432.7134.9833.0831.0232.0333.0229.8427.5228.4630.6527.8426.5828.2328.3427.0824.6326.1426.7926.8023.2525.0326.6324.2418.4825.2426.6626.5727.6227.2126.9722.98
18.0018.9916.5113.1219.3518.9515.929.6215.9317.3516.0410.7817.4720.0618.5316.5121.3819.2214.2315.5616.8418.8713.0235.4615.0215.5912.7140.4415.8918.0114.4514.1214.3316.7413.6012.3614.0314.469.959.409.8711.787.747.069.868.757.041.695.652.786.04-31.305.764.801.48-46.785.215.814.21-10.326.625.76-0.11
18.0018.9916.5113.1219.3518.9515.929.6215.9317.3516.0410.7817.4720.0618.5316.5121.3819.2214.2315.5616.8418.8713.0235.4615.0215.5912.7140.4415.8918.0114.4514.1214.3316.7413.6012.3614.0314.469.959.409.8711.787.747.069.868.757.041.695.652.786.04-31.305.764.801.48-46.785.215.814.21-10.326.625.76-0.11
---------------------------------------------------------------
12.5117.5015.0112.3817.4817.5814.408.2714.0716.8814.869.5015.52-0.147.9714.7919.1617.1211.0113.2414.0416.4810.1127.5813.0313.5810.42-8.0013.5712.6811.819.9312.0912.6410.299.3310.7711.466.636.787.149.124.733.657.446.144.53-1.422.67-0.623.32-35.603.693.20-0.91-50.151.940.781.19-13.104.273.33-3.39
8.4212.3411.1610.1512.5812.3610.365.779.9811.8210.596.689.94-1.654.4710.2713.8212.7033.2727.467.2812.947.6735.279.459.147.7633.337.817.897.765.397.147.506.284.086.045.443.864.8529.617.413.772.405.073.542.77-4.700.73-3.911.77-39.831.770.35-2.62-63.47-0.310.10-0.43-10.441.302.63-4.56
0.370.390.360.350.370.400.360.370.410.430.400.360.390.400.350.320.360.330.330.330.310.330.270.100.340.410.340.040.350.380.350.340.350.380.260.300.320.330.220.290.250.260.290.290.300.300.280.270.270.250.230.200.240.240.210.200.210.220.200.190.220.210.19
1.241.241.171.201.181.191.101.111.131.171.121.151.311.361.341.371.521.511.371.421.201.200.980.251.271.521.240.021.491.551.421.661.671.701.521.721.671.661.352.101.521.461.691.921.991.951.791.901.701.691.601.441.741.631.581.811.821.791.691.721.901.661.54
1.721.591.471.731.591.551.491.671.661.641.471.731.661.611.511.631.571.351.381.641.461.291.150.541.471.591.420.211.721.681.551.921.781.801.662.011.831.751.332.521.491.441.621.991.781.711.601.961.651.611.521.581.751.681.581.831.771.771.611.791.751.631.58
52.2856.5661.2252.1356.6258.0160.4453.7854.3154.8761.4252.1254.3155.8459.6255.0657.2866.7365.0154.7561.7369.6478.5816761.3656.5863.5642652.2053.6357.9146.8150.5450.0654.2144.7649.2351.5667.7035.7660.3162.6555.6545.2350.6952.5656.3245.8654.3955.8059.3057.0951.5553.5157.1449.0650.8650.8455.7450.1851.5255.2657.00
1271491472051763,971-157.86-48.09-53.44-52.22-208.26250237-25.0052.5349.4185.92595-85.45-300.0076131428117487.4417887.98-8.20273251-250.85-104.8514223314214843290.847.309.9340.2115.1910.996.7317.7816.9414.34-11.805.19-6.956.69-56.334.641.69-1.87-63.460.260.460.15-5.402.052.50-2.72
-25.79-34.96-28.34-22.76-30.95-31.95-21.58-10.97-17.40-19.78-23.66-15.56-26.231.66-15.22-41.68-66.59-29.61-14.89-20.39-18.86-18.48-9.52-16.44-16.44-18.97-14.161.78-18.28-19.93-14.12-9.92-16.35-17.60-12.96-9.14-12.37-13.55-6.5076.71-80.29-11.92-7.03-4.19-8.95-6.22-4.594.17-2.482.95-4.0831.08-5.97-2.312.6193.83-1.03-1.60-0.5926.16-10.31-11.239.86
3.405.074.293.754.845.244.072.434.305.384.532.514.27-0.282.053.605.264.152.913.343.173.942.112.233.234.032.86-0.272.993.212.882.102.723.061.821.522.112.030.941.557.411.901.280.761.731.321.05-0.920.50-0.550.68-5.730.840.31-0.35-12.330.080.130.04-1.660.660.79-0.84
5.838.707.386.618.409.417.884.699.2812.348.924.667.83-0.503.596.479.379.135.416.196.267.854.193.955.707.245.10-0.485.415.805.043.734.725.323.873.493.513.351.602.7712.773.582.081.262.972.341.81-1.590.85-1.011.20-10.541.460.47-0.52-17.880.100.180.06-2.370.941.13-1.20
0.660.830.710.440.660.03-0.62-1.16-1.94-2.50-0.510.230.410.240.861.631.310.14-0.63-0.200.080.250.140.230.680.410.590.590.190.22-0.19-0.320.320.210.260.180.080.392.803.273.882.582.292.251.961.571.421.531.931.782.272.134.284.424.464.547.757.497.778.048.768.598.19
3.061.15-0.436.254.111.980.153.622.290.75-0.943.712.410.95-0.353.612.201.10-0.342.892.110.73-0.453.362.140.95-0.182.361.480.49-0.462.391.470.57-0.212.381.250.40-0.441.720.870.17-0.691.830.990.17-0.600.810.26-0.01-0.480.690.27-0.09-0.461.330.680.19-0.342.011.180.31-0.14
2.550.81-0.575.183.311.39-0.122.661.690.45-1.053.202.080.74-0.463.181.920.93-0.422.451.770.54-0.562.691.620.62-0.301.891.140.26-0.561.851.110.34-0.321.960.960.21-0.521.400.670.04-0.751.550.810.02-0.670.660.10-0.09-0.520.320.02-0.25-0.540.990.470.03-0.411.721.040.20-0.21