Mativ Holdings Financial Ratios for Analysis 2009-2024 | MATV

Fifteen years of historical annual and quarterly financial ratios and margins for Mativ Holdings (MATV).

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
2.532.092.572.382.712.992.942.683.114.213.673.012.321.681.61
0.540.590.650.480.480.530.550.460.550.470.400.230.230.080.08
1.181.451.860.910.911.121.250.871.220.900.690.300.310.100.12
17.5618.6919.6828.7028.3526.7528.8630.7129.3727.5532.7033.3330.8326.8426.10
-20.43-2.46-1.7411.9913.1012.9613.0613.1013.4813.3616.1619.4915.8715.2312.40
-20.43-2.46-1.7411.9913.1012.9613.0613.1013.4813.3616.1619.4915.8715.2312.40
7.034.655.9018.7118.7418.8819.1218.4018.8519.0420.9924.4320.4519.6917.79
-23.74-5.90-2.859.069.4711.2210.3411.1213.8113.6216.5219.2215.2515.0411.65
-15.31-0.469.437.708.339.023.479.8611.6711.299.7710.2511.758.794.91
0.770.450.380.680.700.710.640.720.590.670.630.880.930.860.91
4.733.212.884.264.545.044.504.874.805.313.924.654.794.684.18
9.788.283.756.956.576.246.437.306.407.546.588.166.847.296.59
37.3144.0697.2652.5655.5658.4756.7950.0257.0448.4355.5044.7353.3450.0955.39
-53.49-5.840.2512.9014.3616.996.2916.2919.3418.3413.9820.3419.3513.9112.36
32518.36-0.35-121.80943-178.87-37.4781.7443732.7921.8320.5919.6514.1412.73
-19.21-1.880.075.295.836.462.237.057.027.576.4011.7410.908.577.53
-24.54-2.410.096.767.548.062.818.768.739.708.3315.6914.9312.8511.36
17.5121.4721.6920.7419.3418.1317.8016.6415.3516.0517.8716.4014.7014.5413.49
1.964.761.855.205.204.534.294.264.765.475.705.572.433.911.98
0.743.812.264.144.573.563.193.253.944.284.754.670.581.611.33

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
2.372.462.542.532.272.262.152.092.422.692.622.572.472.372.712.382.652.963.332.712.903.113.082.993.092.983.132.943.063.122.802.682.783.483.503.114.194.134.074.214.124.243.913.673.743.553.253.012.772.682.402.322.102.081.961.681.851.961.871.611.401.331.32
0.570.560.560.540.720.600.600.590.620.640.640.650.670.660.490.480.500.520.560.480.490.510.520.530.530.540.540.550.550.570.580.460.460.500.540.550.460.460.500.470.460.450.460.400.210.230.230.230.250.270.230.230.270.240.160.080.080.080.080.080.260.300.33
1.321.291.301.182.611.541.511.451.611.811.821.862.051.960.950.911.011.101.270.910.981.061.101.121.131.181.201.251.221.321.400.870.850.991.161.220.870.861.020.900.860.820.850.690.270.310.310.300.340.390.310.310.370.340.210.100.100.100.100.120.390.520.57
18.7820.7916.7918.9917.4018.1415.977.0217.4323.3622.7659.6322.2123.3228.0428.4528.7129.2328.4129.7328.1629.2726.3225.6525.0928.6227.4928.4729.4830.1227.1832.4130.1530.7929.5931.3628.4230.1327.3427.0225.8929.0828.1431.5034.1133.0332.2433.5433.8432.9732.9744.3726.6626.7226.1227.6027.2024.8127.7527.3830.2224.3322.60
1.402.00-2.76-0.49-84.281.98-0.40-18.64-5.736.522.6174.526.004.2111.628.3413.2513.5313.0410.4013.4916.3811.7810.7811.9515.5713.368.9515.2415.7911.835.0814.7217.2614.7311.7717.2513.1911.979.5212.3314.9816.17-0.3622.5621.4221.4420.2925.2219.4912.9229.395.3015.3214.6114.1816.8713.6916.0820.6210.606.5512.38
1.402.00-2.76-0.49-84.281.98-0.40-18.64-5.736.522.6174.526.004.2111.628.3413.2513.5313.0410.4013.4916.3811.7810.7811.9515.5713.368.9515.2415.7911.835.0814.7217.2614.7311.7717.2513.1911.979.5212.3314.9816.17-0.3622.5621.4221.4420.2925.2219.4912.9229.395.3015.3214.6114.1816.8713.6916.0820.6210.606.5512.38
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-4.81-1.72-6.08-3.71-87.72-1.63-3.37-26.84-8.183.450.3957.532.970.669.725.4810.1010.2310.637.9211.549.788.537.3613.4512.9410.885.8113.6512.508.871.0613.1915.8313.6510.9617.0315.5012.1810.1812.7815.3215.830.5622.5021.6821.7520.4925.0618.6612.6228.294.2614.9414.7214.4817.0913.2515.3019.9210.225.5111.52
-4.19-0.29-5.6034.87-91.43-0.87-1.420.91-4.122.700.34-43.993.180.457.495.308.668.468.498.3910.767.526.712.9015.649.477.79-11.549.938.665.838.718.8911.879.8310.3413.9912.709.8910.2911.1612.2811.33-4.9915.5413.4415.488.8913.9910.737.3825.344.269.468.807.2410.008.119.656.112.473.877.22
0.190.200.190.170.160.140.150.070.150.180.17-0.050.160.160.180.180.180.160.160.160.180.180.170.170.180.180.170.150.170.170.160.170.170.170.160.160.160.160.170.150.170.160.160.160.200.210.210.220.220.230.230.230.250.230.200.200.220.240.250.210.240.250.27
1.141.201.221.041.130.830.850.570.941.181.15-0.191.141.171.201.111.151.051.171.041.231.241.231.221.291.261.241.091.261.261.241.121.321.391.361.281.291.201.361.221.351.111.121.011.101.171.171.161.091.071.070.931.391.201.071.081.241.291.190.970.971.131.23
2.212.191.972.182.521.771.691.281.171.431.44-0.481.481.521.641.811.591.591.481.531.531.491.491.491.591.691.581.541.551.641.651.731.531.721.561.761.551.701.541.721.371.471.521.671.761.961.912.041.841.811.761.651.631.651.631.701.782.071.961.561.722.072.21
40.6441.1345.7641.2135.7150.9153.2870.5276.6762.9462.43-187.7260.8459.1055.0249.8356.7556.4760.6858.7558.6560.2960.2860.3656.5053.1557.1158.3557.9954.9654.6652.1358.9152.4357.6251.2258.1352.7958.5052.2165.6461.3659.2753.8251.1045.8547.0644.1048.7949.7851.0054.5155.1454.4755.2452.8750.4443.5746.0357.7452.4743.5040.67
-2.36-0.16-3.09-1.43-68.99-1.24-1.34-4.10-3.001.700.23-4.971.920.283.312.363.903.543.803.384.823.583.101.297.194.763.72-4.994.524.092.653.343.565.044.204.625.575.284.323.764.434.594.41-2.005.225.555.875.826.945.203.559.602.154.143.213.074.103.244.045.413.812.274.72
11.630.8616.148.701083.704.0112.879.01-2.83-0.367.06-2.22-0.32-40.22-22.24-27.47-19.25-16.75222-178.71-74.01-40.65-13.58-83.47-31.43-27.7629.74-35.64-22.90-10.8416.7820.8933.8136.0110410.249.738.456.737.187.257.13-3.115.285.625.945.897.035.273.609.752.194.223.263.124.203.324.155.583.992.384.98
-0.79-0.05-1.06-0.51-14.89-0.39-0.42-1.32-0.920.490.07-1.400.500.071.360.971.541.361.361.371.911.381.170.492.751.741.35-1.771.681.480.921.451.552.091.591.672.292.201.661.551.881.981.86-0.913.153.203.393.363.862.791.995.411.132.241.881.892.622.082.573.301.750.971.93
-1.02-0.07-1.35-0.66-19.39-0.50-0.54-1.69-1.150.610.08-1.740.630.091.701.231.951.691.671.772.441.741.480.613.392.181.70-2.232.041.771.101.801.932.541.952.082.992.852.151.992.412.532.40-1.194.154.264.514.495.233.772.737.411.583.142.682.843.783.003.724.982.821.583.14
16.2416.5316.7017.5112.3620.9521.1121.4720.6221.7622.1221.6920.2120.7820.7920.7420.0719.3818.9819.3418.6018.5318.2018.1318.4817.6418.2717.8018.5317.7416.8716.6417.2016.9016.4615.3515.0915.2314.2816.0517.1017.9017.2817.8718.0616.8716.6616.4015.6514.5115.1214.7013.6814.9314.7514.5414.3613.2813.3413.4910.9910.229.22
1.300.61-0.241.960.960.36-0.384.760.330.570.161.850.880.630.415.203.451.590.175.203.861.790.424.533.031.830.724.293.051.470.434.262.731.710.584.762.641.830.375.473.041.900.595.703.942.621.335.574.042.401.512.431.180.36-0.013.912.922.060.861.981.690.740.39
0.770.26-0.430.740.05-0.29-0.643.81-0.09-0.04-0.152.260.060.070.164.142.701.05-0.104.573.081.200.143.562.351.360.513.192.300.790.043.252.091.370.423.942.151.520.194.282.151.390.334.753.282.321.154.673.371.941.260.58-0.47-0.91-0.821.611.421.180.521.331.330.530.27