Mercedes-Benz Group AG Financial Ratios for Analysis 2009-2024 | MBGAF

Fifteen years of historical annual and quarterly financial ratios and margins for Mercedes-Benz Group AG (MBGAF).

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
1.261.161.171.151.211.241.221.211.191.151.191.151.111.071.14
0.410.420.500.580.610.570.550.540.520.530.510.490.460.420.51
1.171.291.722.342.572.191.951.991.851.941.791.681.501.411.83
22.4422.6822.9116.5816.8819.7621.0320.8621.0421.7021.6322.3223.9523.2916.92
11.3712.2610.723.992.376.137.957.908.527.236.626.058.167.44-0.31
11.3712.2610.723.992.376.137.957.908.527.236.626.058.167.44-0.31
15.7216.6015.949.806.869.8911.4111.4812.1311.0810.339.6011.5110.883.83
13.1113.5311.814.112.226.338.518.208.537.838.596.757.936.78-2.91
9.319.6717.182.351.384.336.265.565.645.617.395.335.664.78-3.35
0.580.580.520.540.570.590.640.630.690.680.700.700.720.720.61
4.354.534.814.874.834.555.054.784.974.875.335.014.745.165.10
3.353.303.242.902.742.883.193.183.383.6715.123.873.753.863.67
10911011312613312711411510899.5024.1494.3497.3394.6899.49
15.6617.1115.106.444.3111.4816.2914.8515.9513.4516.0915.0513.7112.53-8.16
19.3220.9519.008.745.7814.7920.6518.6819.5517.0320.5418.7017.1315.61-10.35
5.525.704.251.400.902.694.163.624.013.164.144.203.833.50-2.02
9.289.977.532.691.674.907.406.787.616.317.927.717.387.22-3.99
96.5085.2180.9166.4765.7961.7360.9155.2751.06------
14.7816.6327.1523.858.260.38-1.743.780.23-1.583.20-1.24-0.9110.3915.21
11.2513.6723.0018.111.17-7.22-7.99-1.85-4.49-7.34-1.47-6.48-6.016.3512.23

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
2023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.261.241.181.201.161.131.091.131.171.301.151.141.151.191.201.191.211.221.121.231.241.251.251.241.221.291.241.201.21---1.191.231.161.131.151.201.201.251.191.191.181.161.151.171.171.201.111.171.151.141.071.101.161.181.141.181.101.15
0.410.410.400.400.420.440.450.460.500.510.530.560.580.610.620.600.610.610.590.580.570.570.570.550.550.560.550.560.54---0.520.530.540.540.530.530.530.510.510.520.530.530.490.510.510.360.460.460.430.410.420.450.490.510.510.530.510.51
1.171.191.231.201.291.361.481.511.721.741.982.162.342.602.682.512.572.542.492.282.192.152.141.931.951.971.972.011.99---1.931.891.912.011.941.861.911.791.792.012.161.961.681.781.740.691.501.441.401.341.411.531.621.771.831.882.041.94
19.8321.6023.4225.0721.3723.2823.3322.8529.3521.2222.6521.9620.2318.818.9315.3415.6420.0513.0019.0717.6519.8120.2421.6821.1220.9121.3420.7420.6122.8020.1119.8221.1021.5522.2622.7922.8323.6722.1021.6121.9521.1021.8620.7520.2021.3422.6523.4923.6023.6724.8622.1124.0722.5623.1622.3918.7718.9715.2412.11
10.1010.6811.3913.4112.5111.7211.1313.6312.338.7710.3012.038.637.59-5.811.601.016.01-3.946.775.864.886.577.257.348.108.398.007.5810.436.606.9434.549.589.215.21-2.984.305.037.887.2311.277.882.506.6610.416.748.146.706.4210.3115.174.7415.819.362.283.167.792.66-6.07
10.1010.6811.3913.4112.5111.7211.1313.6312.338.7710.3012.038.637.59-5.811.601.016.01-3.946.775.864.886.577.257.348.108.398.007.5810.436.606.9434.549.589.215.21-2.984.305.037.887.2311.277.882.506.6610.416.748.146.706.4210.3115.174.7415.819.362.283.167.792.66-6.07
------------------------------------------------------------
11.0513.3913.3014.8413.1113.7012.4814.8812.109.1011.7013.859.157.53-5.771.450.625.95-3.926.615.315.836.218.167.608.128.869.578.1910.268.225.934.039.479.668.486.0711.309.485.567.186.6116.852.956.655.536.987.337.067.609.527.025.788.577.404.860.541.41-5.92-8.68
7.749.779.3210.529.7310.408.5310.0176.887.808.2710.467.015.09-6.630.25-0.263.97-3.115.283.354.204.245.717.185.275.936.635.246.726.293.865.196.486.325.993.078.526.673.695.226.309.542.167.914.225.254.955.905.156.104.774.326.425.232.89-1.650.29-5.18-6.88
0.150.140.150.140.150.140.140.140.060.110.150.140.170.140.100.130.150.140.150.130.170.150.150.150.170.160.170.160.17---0.190.180.180.160.160.170.180.170.190.190.180.150.190.180.180.180.190.180.190.200.200.200.190.150.180.150.150.14
1.180.981.020.981.231.021.071.120.541.201.161.111.451.110.910.981.320.971.110.961.301.001.121.131.341.201.241.151.28---0.971.181.221.141.291.191.251.211.481.241.201.101.341.131.181.111.261.181.231.191.421.321.321.171.421.161.211.02
0.880.810.850.830.880.840.830.820.390.820.840.760.900.770.550.640.740.720.730.660.800.730.770.770.850.850.870.800.85---0.920.910.960.850.870.940.980.974.191.051.000.851.060.990.980.940.990.981.041.071.061.100.980.851.050.920.910.81
10311110610810210710810922910910711899.52117164141122125124135112124116117106106103112106---97.4798.4693.7310610395.9991.6992.5921.5085.6689.9610684.5390.9792.2395.2990.8091.5386.6884.1585.0181.8191.5910685.7497.6999.28111
3.394.044.114.414.554.834.084.571.102.695.136.435.583.68-3.240.27-0.042.89-2.013.172.492.692.843.524.943.574.144.543.73---3.754.754.804.252.125.994.832.523.934.737.151.385.472.923.623.124.023.354.183.323.064.843.841.82-1.170.18-3.38-3.89
4.184.955.045.385.575.935.065.661.383.356.668.497.585.11-4.510.36-0.053.87-2.684.073.203.453.664.456.254.525.265.774.69---4.885.895.965.342.687.536.173.215.026.079.281.786.793.674.563.885.024.195.224.143.816.104.872.32-1.490.23-4.23-4.78
1.201.411.411.521.511.531.241.390.310.701.271.481.220.74-0.650.06-0.010.59-0.420.720.580.640.680.901.260.881.021.070.91---0.981.141.150.950.501.441.170.641.011.181.710.331.530.760.950.881.120.941.190.960.851.280.980.45-0.290.04-0.79-0.94
2.012.392.462.662.652.732.242.480.551.332.412.862.341.43-1.230.11-0.011.12-0.821.321.061.151.211.602.241.581.862.011.70---1.852.212.221.960.992.842.281.221.942.273.330.652.801.441.782.012.161.822.371.941.762.681.960.89-0.570.09-1.66-1.92
96.5094.7490.3891.2285.2177.9778.0082.2680.9182.9781.2576.6266.4764.0660.5865.1465.7958.6857.7563.4961.7361.2860.0162.5260.9158.6456.7254.6755.27-------------------------------
14.7811.197.493.7516.6312.647.943.1127.1522.5813.435.5023.8518.929.251.568.266.842.310.660.37-0.901.070.93-1.814.202.592.033.893.592.751.260.221.520.991.89-1.583.942.102.053.983.801.920.51-1.25-0.440.04-0.58-0.910.530.45-0.609.859.595.282.8914.929.958.533.60
11.258.745.983.0613.6710.626.482.3123.0019.5511.254.4218.1115.036.120.011.171.65-1.09-1.04-7.12-5.96-1.96-0.50-8.330.300.351.17-1.90-0.130.310.15-4.38-1.47-0.831.00-7.340.16-0.570.86-1.830.03-1.93-0.68-6.53-3.90-2.52-1.79-6.01-2.81-1.81-0.546.027.213.871.9112.008.227.072.73