Altria Financial Ratios for Analysis 2009-2024 | MO

Fifteen years of historical annual and quarterly financial ratios and margins for Altria (MO).

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
0.490.840.710.790.590.200.640.980.690.900.930.760.930.870.72
1.161.191.060.910.810.450.460.520.820.820.770.800.780.700.73
-7.52-6.80-17.4610.084.441.740.901.094.474.883.534.383.722.352.94
58.3456.7753.7949.8050.6248.3146.7744.9543.7041.4342.7438.8537.5637.7137.50
47.1647.4944.4441.5741.1235.9437.5134.0332.8731.0733.0429.4625.5025.5623.19
47.1647.4944.4441.5741.1235.9437.5134.0332.8731.0733.0429.4625.5025.5623.19
48.2748.3945.3842.5642.0236.8338.3334.8233.7631.9233.9130.3826.5626.7024.42
44.6429.4414.7026.353.0536.8338.4384.8831.7631.7028.3726.3123.4523.4920.70
33.1422.929.4717.05-5.1827.4239.9155.2220.5720.6318.5416.9314.1915.9713.61
0.630.680.660.550.510.460.590.560.810.710.700.700.650.650.64
8.399.1910.076.685.415.626.126.917.057.047.468.628.358.428.13
34514.1955319116517918017020519821312888.81287245
1.0625.730.661.912.212.042.032.141.781.851.722.864.111.271.49
-232.95-146.93-154.11152-20.5447.1166.5011218216811013292.1375.2178.78
-33.92-26.83-12.97-29.9611.24-259.38-439.49-313.19-36.31-35.40-34.58-29.70-24.97-32.30-24.23
21.0815.606.269.39-2.6312.5623.6731.0116.6714.7113.0111.849.2310.458.75
37.6027.199.7714.42-3.8926.1136.0053.4433.3630.3525.0426.8320.2322.4721.03
-1.98-2.20-0.881.573.407.898.096.571.471.532.071.581.802.491.96
5.234.584.564.514.194.442.551.962.982.362.191.921.741.331.66
5.124.464.464.394.064.322.451.862.862.282.121.861.681.251.53

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
0.440.450.480.490.330.370.780.840.500.490.620.710.740.720.800.790.770.750.710.590.560.560.620.200.600.650.650.640.770.830.920.980.930.830.870.690.840.740.810.900.770.890.920.930.910.830.750.760.930.850.900.930.941.040.890.870.870.840.780.720.700.700.84
1.171.141.251.161.161.191.191.191.211.111.071.061.050.900.900.910.900.830.800.810.720.650.660.450.430.450.460.460.530.530.530.520.820.800.820.820.820.820.840.820.750.760.770.770.760.780.770.800.780.750.780.780.750.750.690.700.700.730.720.730.750.780.82
-7.36-8.44-4.95-7.52-7.48-7.20-6.64-6.80-6.21-11.52-15.86-17.46-22.238.679.9110.089.055.024.524.442.622.022.071.740.900.880.900.901.141.121.131.094.714.084.684.474.485.025.504.883.263.193.403.533.744.173.894.383.593.203.703.723.102.952.242.352.372.692.852.943.213.844.92
60.8459.1958.8258.5658.8957.7358.2157.4456.4456.0357.2553.0054.1353.8154.2149.9052.1851.6345.1851.3451.0150.1449.9547.7947.6149.8248.0747.5747.1246.7445.6444.9345.6245.3543.7943.0845.4743.4142.6441.9841.2041.6140.8939.6143.0540.5148.3738.1839.7938.4538.9938.7340.0333.3138.0638.0338.6837.8436.1834.1036.2736.5545.15
50.3640.8047.9646.8049.1844.6448.2146.1147.5147.4648.9543.6943.4945.9344.5740.9444.3643.9136.7440.4042.9441.0539.7728.5237.4039.6237.9236.6738.4837.9436.8131.8634.5036.9632.5931.1034.4433.6332.1330.5530.8031.5731.4329.5932.5331.7438.9328.2831.5428.9329.0822.1230.7521.8827.2725.1927.7424.3724.8319.9522.1324.9626.33
50.3640.8047.9646.8049.1844.6448.2146.1147.5147.4648.9543.6943.4945.9344.5740.9444.3643.9136.7440.4042.9441.0539.7728.5237.4039.6237.9236.6738.4837.9436.8131.8634.5036.9632.5931.1034.4433.6332.1330.5530.8031.5731.4329.5932.5331.7438.9328.2831.5428.9329.0822.1230.7521.8827.2725.1927.7424.3724.8319.9522.1324.9626.33
---------------------------------------------------------------
48.3582.4049.1245.7746.3043.1243.3544.256.2124.5345.3736.45-48.6641.9432.0940.31-4.5540.2933.15-20.36-31.0439.3026.9427.9738.1540.5640.3735.7839.2943.6734.3725125.0138.8631.0431.2334.1734.0826.9130.5132.5731.0932.7411.7332.3231.1538.8428.1616.7127.8633.1019.3029.3519.5325.7023.7426.2921.5522.2417.8819.5923.9221.25
36.5461.1038.0934.3934.4132.4731.1943.953.3713.5933.1825.92-40.1430.9423.5430.43-13.3730.5224.37-30.18-37.9430.1619.8720.4328.3929.7130.9881.2827.7029.8123.0016415.8125.3520.0319.6622.8121.8517.5119.6521.5220.1221.248.1421.2420.0325.0517.5610.4918.8221.1613.5319.127.4816.6015.2517.6716.6114.1112.0614.0015.0313.02
0.180.180.150.150.170.180.160.170.190.180.150.160.170.160.120.130.150.130.120.120.130.120.100.110.160.150.140.140.150.150.130.140.210.210.180.200.210.210.170.180.190.190.160.170.180.180.150.180.180.190.150.170.160.160.150.160.170.180.150.160.180.190.12
2.232.161.852.042.202.311.912.202.582.512.082.462.751.791.421.611.831.611.741.271.541.481.201.371.721.491.411.441.791.781.561.681.901.811.621.771.871.961.601.782.021.971.661.952.172.211.572.212.312.371.882.112.252.361.922.042.432.362.032.192.282.271.22
71.9486.2472.4284.151103.553.173.4512615212813318952.5542.5146.0147.1745.4843.2639.5241.5540.6135.6243.0636.5643.7845.9242.9645.4755.9945.0641.4047.2953.4558.3350.9548.9046.5733.7450.4761.2459.5848.8252.8771.2355.3149.3632.3431.8525.3423.1422.8731.4835.6679.4869.7378.0769.7133.8862.6568.4866.5252.59
1.251.041.241.070.8225.3828.3926.050.710.590.700.680.481.712.121.961.911.982.082.282.172.222.532.092.462.061.962.091.981.612.002.171.901.681.541.771.841.932.671.781.471.511.841.701.261.631.822.782.833.553.893.942.862.521.131.291.151.292.661.441.311.351.71
-67.09-128.22-42.04-59.03-64.52-56.05-46.71-68.57-5.29-37.08-111.31-101.1221565.9747.4565.71-29.5833.4923.35-28.71-24.4613.807.968.4612.5511.8812.3132.3015.3416.0211.4380.4737.1252.6244.3243.4453.0452.2540.2741.0632.5628.7328.5711.8535.0735.5038.8034.8616.9928.6832.2622.7326.569.5817.2017.7121.9523.0619.0617.8323.6930.2221.18
-9.81-16.56-8.37-8.60-9.07-8.71-8.36-12.52-1.03-4.47-10.19-8.5114.49-14.83-9.61-12.936.56-16.10-13.8315.7135.58-65.24-32.57-46.57-88.52-98.07-82.03-213.49-35.00-39.16-26.73-225.99-7.61-11.66-8.37-8.64-10.58-9.96-6.88-8.63-10.71-9.74-8.96-3.72-10.53-9.26-10.13-7.85-4.91-9.44-8.81-6.16-9.13-3.51-7.93-7.61-9.31-8.16-6.23-5.48-6.57-7.33-4.10
6.7111.065.845.345.945.704.857.280.662.424.874.11-6.874.842.914.05-2.053.862.95-3.68-4.923.471.892.264.424.354.3211.504.234.553.0422.383.325.283.583.974.784.552.983.594.103.793.321.403.883.683.853.131.883.553.162.283.161.212.432.463.052.962.141.982.462.821.52
11.3818.5510.669.5310.5010.438.8412.691.093.948.296.41-10.566.834.566.22-3.095.814.61-5.44-6.934.802.734.697.106.516.6717.497.167.565.3638.566.5010.357.817.949.679.246.607.408.236.866.492.698.277.698.967.093.707.067.124.996.712.425.315.296.526.325.264.765.926.733.86
-2.01-1.73-2.95-1.98-1.90-2.13-2.14-2.20-2.36-1.33-0.97-0.88-0.691.771.621.571.743.113.573.405.697.747.527.898.248.388.138.096.376.476.346.571.511.611.401.471.471.411.291.532.172.212.072.071.991.781.781.581.912.101.821.802.152.242.612.492.472.172.051.961.801.621.35
3.181.631.645.233.421.741.674.583.131.421.694.563.121.451.644.513.142.661.684.192.821.281.224.443.492.041.482.552.161.011.381.961.810.561.392.982.090.641.272.361.550.381.072.191.430.220.831.921.05-0.040.901.741.250.230.991.330.830.140.981.660.970.070.99
3.121.591.625.123.341.691.644.463.051.371.674.463.061.421.624.393.062.601.664.062.741.241.204.323.422.001.462.452.090.961.361.861.740.521.382.862.010.591.252.281.490.351.062.121.390.200.821.861.01-0.060.901.681.210.210.981.250.770.110.961.530.890.010.97