Moody's Financial Ratios for Analysis 2009-2024 | MCO

Fifteen years of historical annual and quarterly financial ratios and margins for Moody's (MCO).

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
1.741.721.612.031.921.611.251.342.662.242.602.171.261.440.82
0.670.730.720.780.870.891.021.501.110.980.860.801.161.324.97
2.012.752.543.646.728.65-48.22-3.27-10.1559.386.044.21-7.85-4.15-2.00
71.4870.5073.6772.5471.2871.9671.0871.7171.9872.1072.3370.8870.0370.2470.38
36.1234.4445.7444.4641.3842.0443.3218.0642.2843.1641.5339.4638.9538.0338.25
36.1234.4445.7444.4641.3842.0443.3218.0642.2843.1641.5339.4638.9538.0338.25
42.4340.4949.8748.5645.5246.3747.0721.5745.5446.0344.6842.8942.4341.2941.82
32.7132.1944.3141.5037.4837.6342.5115.4839.5943.8239.3437.5136.8235.1635.96
27.1625.1335.6133.1029.4529.4823.817.4027.0129.6527.0625.2725.0524.9922.37
0.400.380.420.430.470.470.490.680.680.710.680.690.790.800.90
---------------
3.573.313.623.763.403.453.664.064.344.214.284.394.664.084.04
10211010197.1810710699.6089.8784.0186.7485.2483.1378.3989.3690.36
46.2651.1075.93101172201-877.28-26.85-285.172,345235176-364.90-172.05-68.29
-35.50-25.63-39.89-38.49-32.56-28.14-18.33-11.75-59.04-76.00-151.40-149.83-54.79-55.04-38.76
11.009.5815.0814.3213.9213.8611.735.1818.6121.5518.5617.6720.1020.2120.32
15.3513.6321.4321.7122.2922.4420.1813.5531.1638.8433.3134.9257.0055.21271
19.0514.6815.719.424.433.43-0.60-5.39-1.700.211.631.78-0.71-1.29-2.52
11.697.9810.6711.348.747.523.896.445.894.744.153.633.502.762.71
10.226.459.9310.798.387.053.425.855.454.403.963.433.212.432.33

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
1.671.521.421.741.781.651.481.721.801.391.361.611.522.312.182.032.492.101.701.921.421.711.451.611.381.541.471.251.153.692.451.342.152.642.682.662.732.722.672.242.942.692.872.603.102.722.492.172.241.531.511.261.631.811.591.441.640.880.880.820.750.690.64
0.630.610.630.670.670.680.690.730.750.740.740.720.730.730.740.780.790.840.890.870.870.900.940.890.880.910.921.021.031.111.231.501.131.121.111.111.081.031.050.980.840.760.840.860.880.780.780.800.830.910.931.161.171.011.221.321.322.963.544.977.441,500-4.43
1.861.761.862.012.042.182.442.753.083.093.022.542.852.672.853.643.775.148.506.727.519.3817.078.658.1711.5713.11-48.22-36.49-10.45-5.63-3.27-9.55-9.26-9.75-10.15-13.01-30.04-21.1759.385.283.125.336.047.193.513.534.215.3011.4313.56-7.85-7.14-74.88-5.53-4.15-4.23-2.25-2.10-2.00-1.98-1.78-1.53
71.7674.1973.8571.5572.0171.4970.8868.2269.1871.5472.6068.4974.1876.5075.4468.2973.1674.7773.6471.2171.7771.9970.0571.2871.6672.7572.0570.8070.3171.5371.7772.5872.3972.1369.4670.9171.7273.4371.7770.8871.0074.5771.8571.6471.1673.9372.5670.6269.8971.8271.3268.0567.8171.8372.1467.9470.0671.8971.4969.7670.1071.6070.07
40.7142.6544.8533.6536.3536.8137.6923.7232.3936.7843.1033.4044.3051.5853.3134.4247.3549.4845.8940.8844.2739.7940.4635.5043.1945.4443.5639.9642.2045.9945.81-48.9243.3444.1637.2638.4741.8945.6742.9039.2842.8547.1343.4040.0341.3246.4038.3234.5039.1743.4641.5930.3536.9144.6343.3434.8436.8039.8741.2936.8338.1841.5436.41
40.7142.6544.8533.6536.3536.8137.6923.7232.3936.7843.1033.4044.3051.5853.3134.4247.3549.4845.8940.8844.2739.7940.4635.5043.1945.4443.5639.9642.2045.9945.81-48.9243.3444.1637.2638.4741.8945.6742.9039.2842.8547.1343.4040.0341.3246.4038.3234.5039.1743.4641.5930.3536.9144.6343.3434.8436.8039.8741.2936.8338.1841.5436.41
---------------------------------------------------------------
38.7839.5742.1130.4133.0832.9334.4225.3529.8832.0840.0133.5340.5648.8153.8831.0144.1746.4143.7236.7441.3735.5836.0830.4238.1942.1739.1535.0043.8246.1846.28-49.4140.2440.7933.7736.0741.1541.3039.8038.2740.2455.5540.6238.7337.3544.5536.5131.3438.4041.2939.9827.4434.7843.6640.7630.5935.3437.2338.2934.4436.0138.7434.63
29.4530.3832.3122.9726.4325.2334.0819.0723.7623.6832.7227.7531.0637.1546.0024.3434.4435.4737.8329.1230.6525.5432.6623.6428.7032.0133.102.2229.8531.2035.44-45.4927.8427.5122.6025.1627.7428.5026.5826.9326.3736.5428.4226.5326.0729.8325.7421.2326.7126.9226.8216.9624.6031.2326.9524.3526.5025.3223.7920.9822.2724.2522.06
0.120.120.120.100.100.100.100.090.090.100.100.100.110.120.130.100.120.130.110.120.130.130.120.110.130.130.130.140.130.150.180.180.180.180.160.170.170.180.170.190.160.180.180.180.170.200.190.190.190.220.220.200.210.220.230.220.220.240.240.240.240.240.23
---------------------------------------------------------------
1.061.070.970.890.970.970.860.780.840.860.830.890.961.071.070.901.001.020.910.871.010.970.880.820.951.030.931.021.061.091.021.061.101.100.961.081.161.151.031.111.151.151.041.121.191.241.151.211.251.211.101.161.331.231.151.131.251.231.121.091.191.111.01
84.7983.9192.4710192.5192.8910511510710410810193.7284.4984.2199.7790.2787.8798.5810489.1692.3210310994.2587.0996.4588.5985.2982.4488.0084.7781.5981.7593.9783.3677.6778.5587.6281.2778.5478.1386.5680.1875.5272.3578.3774.2071.8474.5181.9977.7367.8473.2678.5179.3571.9973.2980.6382.4275.4881.3988.83
13.1314.0415.459.7811.6311.3816.389.1512.4713.1919.2914.6418.1024.2433.0817.8127.6741.3160.9543.4454.9354.1211538.6151.4882.1389.71-25.07-203.89-67.08-47.7641.42-71.70-69.85-53.09-66.19-97.34-255.42-158.2156345.4948.1456.3760.2563.9950.0041.1140.8557.90162192-61.93-75.83-1,148.79-70.39-46.55-46.10-24.92-21.48-17.33-15.71-14.81-9.91
-13.19-14.24-13.88-7.51-8.60-7.93-10.00-4.59-5.64-5.78-8.47-7.69-8.19-14.45-17.73-6.80-10.83-11.00-9.68-8.23-8.77-6.80-7.53-5.40-6.82-7.97-7.46-0.52-5.80-17.33-16.9318.13-15.04-14.87-10.78-13.70-15.19-18.43-15.82-18.24-25.12-54.82-46.57-38.89-34.78-62.58-51.43-34.69-33.45-22.88-21.55-9.30-16.97-29.17-18.39-14.89-18.39-13.18-11.69-9.84-9.23-9.24-6.70
3.393.683.842.332.752.573.401.712.172.283.382.913.294.605.892.534.004.514.313.524.043.243.932.663.704.324.180.343.854.806.36-7.995.115.123.654.324.905.284.655.174.386.785.094.774.506.024.894.095.095.935.863.415.246.956.225.475.846.265.735.165.435.925.06
4.885.435.773.253.823.685.002.443.063.395.054.134.946.618.593.845.806.736.865.637.055.336.734.316.137.016.800.586.467.1011.02-20.909.308.466.067.238.118.807.849.327.2411.688.908.567.8111.089.218.089.6414.4114.289.6712.8715.7415.7414.9414.6348.9254.5268.8210122,200-53.81
22.4521.6320.4519.0518.3218.0516.6714.6813.2713.5113.9915.7114.0912.7811.899.428.996.564.264.433.693.041.713.433.162.402.19-0.60-0.82-2.45-3.79-5.39-1.87-1.92-1.81-1.70-1.21-0.52-0.720.212.303.191.841.631.362.072.091.781.450.490.41-0.71-0.78-0.07-0.98-1.29-1.27-2.10-2.25-2.52-2.74-3.17-3.90
11.867.984.2311.699.106.583.307.985.974.122.5310.679.116.763.5811.347.865.171.828.746.263.951.907.525.584.002.013.891.80-0.21-2.646.444.582.791.285.894.412.911.274.743.312.120.814.152.941.630.893.632.191.040.273.502.911.930.872.762.011.290.692.711.921.360.82
10.537.053.8010.228.025.892.916.454.863.402.219.938.706.523.5110.797.424.841.718.385.943.741.807.055.253.801.943.421.44-0.43-2.735.854.142.511.155.454.092.711.184.403.051.940.723.962.801.550.853.432.040.940.213.212.681.770.782.431.781.140.622.331.651.220.77