MRC Global Financial Ratios for Analysis 2009-2024 | MRC

Fifteen years of historical annual and quarterly financial ratios and margins for MRC Global (MRC).

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
1.482.022.062.422.512.572.352.583.163.102.422.852.592.362.73
0.020.470.480.520.460.500.410.350.350.510.420.510.680.660.66
0.620.880.921.090.860.990.690.540.541.040.741.062.121.971.95
20.2218.1415.6416.8417.8316.5115.9615.3917.3517.1618.2518.2014.6513.4714.96
5.484.160.26-10.162.813.041.26-1.84-6.235.095.967.314.031.73-6.82
5.484.160.26-10.162.813.041.26-1.84-6.235.095.967.314.031.73-6.82
6.655.321.88-8.324.564.703.180.56-4.356.697.498.685.643.87-4.20
4.483.27-0.53-11.051.802.280.19-2.99-7.553.814.533.261.15-1.95-9.69
2.641.52-1.43-11.640.411.200.71-3.52-7.602.432.912.120.60-1.35-9.28
1.811.771.601.441.581.711.561.411.811.531.571.651.501.291.19
4.864.764.964.184.294.374.374.594.794.144.404.704.594.353.57
7.936.717.038.037.987.116.987.628.506.096.446.776.116.116.94
46.0054.3851.8945.4845.7551.3652.2647.8942.9659.9556.6753.9459.7759.7052.57
23.3619.43-4.33-78.296.0710.696.59-10.88-34.6210.3111.379.954.02-7.51-45.67
187-122.959.66192-31.97-64.91-52.6363.85-2,546.15-131.02-7,510.77-67.89-4.737.6649.83
6.043.96-0.84-15.381.683.042.14-3.84-13.263.724.563.500.90-1.73-11.02
22.9410.37-2.27-37.593.285.393.90-7.10-22.565.076.564.841.29-2.53-15.53
5.794.613.894.267.898.088.318.049.3513.6913.1311.688.548.174.41
2.12-0.240.683.182.88-0.12-0.502.606.76-1.033.162.48-1.221.346.39
1.95-0.370.593.412.68-0.27-0.782.276.39-1.222.992.23-1.391.206.26

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-31
1.992.081.481.482.082.162.102.021.912.011.932.062.152.061.832.422.382.482.352.512.472.622.542.572.642.432.302.352.312.352.322.582.813.043.233.162.823.012.863.102.572.472.632.422.592.652.452.852.722.772.482.592.412.46-----
0.130.230.010.020.390.460.480.470.480.500.470.480.490.460.450.520.540.580.460.460.480.520.520.500.480.480.460.410.360.340.350.350.390.370.360.350.320.370.500.510.500.500.490.420.440.460.460.510.520.550.680.680.680.67-----
0.150.290.600.620.650.850.950.880.941.030.890.920.980.861.111.091.181.390.840.860.931.101.100.990.930.940.860.690.580.540.550.540.640.600.560.540.480.601.001.040.990.990.960.740.790.860.871.061.071.212.112.122.092.06-----
20.0820.7920.2219.9220.6120.0920.2318.1818.2517.8118.3315.6013.8716.3316.9115.5419.4913.1218.6417.1018.4717.6817.9416.9516.0616.3616.7315.6115.8516.1616.2416.9711.1016.7616.9918.0817.2717.2017.0316.4317.1817.3317.7816.8118.1419.2418.8919.7719.1016.9017.1114.3414.7214.7914.82-13.3412.67-
4.645.654.713.656.425.176.444.034.983.663.910.15-1.021.460.49-1.212.39-48.012.77-1.313.934.173.612.282.993.793.07-0.782.291.841.62-0.83-4.54-1.34-0.51-44.734.013.924.724.895.764.954.654.365.897.106.587.968.426.336.523.824.864.162.99-2.040.79-
4.645.654.713.656.425.176.444.034.983.663.910.15-1.021.460.49-1.212.39-48.012.77-1.313.934.173.612.282.993.793.07-0.782.291.841.62-0.83-4.54-1.34-0.51-44.734.013.924.724.895.764.954.654.365.897.106.587.968.426.336.523.824.864.162.99-2.040.79-
-----------------------------------------------------------
4.025.053.352.995.523.905.313.803.762.363.10-0.44-1.900.73-0.49-1.211.37-49.501.76-2.483.083.252.471.592.242.772.48-1.550.520.980.81-2.36-5.30-2.55-1.66-46.383.362.423.253.504.714.012.813.174.574.985.46-0.805.913.344.241.332.420.61-0.18--1.42-2.95-
2.892.881.611.953.272.073.161.731.990.941.35-1.46-2.48-0.29-1.48-1.90-0.51-47.670.38-3.921.591.831.240.401.681.481.193.21-0.31---3.34-5.80-3.08-1.79-41.120.931.252.242.053.102.621.801.732.953.463.54-0.493.832.192.710.271.600.40-0.11--1.02-1.72-
0.450.470.420.410.450.440.440.460.470.450.420.410.400.390.330.330.320.320.350.330.380.370.360.410.420.410.400.390.410.410.390.330.340.310.320.390.330.350.350.390.410.380.350.400.400.390.390.390.410.410.400.400.420.37-----
1.381.291.181.101.141.031.051.231.271.261.211.281.251.191.000.960.810.830.930.911.041.020.951.051.061.041.041.091.241.311.271.061.210.900.901.020.990.960.911.061.241.111.021.151.161.091.111.081.131.111.121.241.351.17-----
1.671.731.691.791.711.681.671.731.721.731.641.811.721.801.651.821.711.591.671.671.611.571.551.721.591.601.631.731.661.771.811.801.771.731.671.821.611.601.521.551.491.481.441.661.561.581.621.591.561.631.591.651.601.58-----
53.9852.0353.3750.3952.5053.6353.8051.8952.3751.9054.9549.7252.4250.1254.5349.5952.7756.6653.9553.9355.9957.3558.0852.3656.6456.2355.3452.0354.2450.9549.7049.9450.8451.8854.0249.5655.7956.3859.2158.0160.6060.6162.3754.3857.6556.9255.6356.7057.6655.3256.7154.5156.4056.87-----
5.215.743.844.307.565.528.255.446.614.034.72-1.24-3.321.15-0.87-1.430.86-82.401.46-3.743.133.572.651.453.102.932.424.610.390.780.80-2.36-4.97-1.97-0.87-41.001.161.142.112.223.522.781.721.742.943.483.75-0.544.682.804.910.493.040.66-----
20.0028.3026.0334.43113-1,200.00-113.33-34.43-26.67-12.61-12.902.767.69-3.012.113.50-1.97171-6.6219.67-21.21-21.43-15.38-8.77-52.17-27.50-17.65-36.84-3.37-5.45-4.5813.8538.1030.9180.00-3,015.39-30.28-30.10-31.67-28.25-33.77-19.06-13.03-1,150.75-206.95-66.29-40.153.71-40.85-14.71-6.43-0.58-3.47-0.72-----
1.651.680.991.111.791.201.681.111.250.750.90-0.24-0.640.23-0.16-0.280.17-14.970.39-1.030.840.910.670.410.930.840.711.500.130.270.27-0.83-1.71-0.71-0.33-15.700.500.460.780.801.260.990.630.701.171.331.39-0.191.590.901.080.110.670.15-----
4.524.443.824.234.592.994.262.903.422.002.50-0.65-1.680.62-0.48-0.690.40-34.650.79-2.021.621.711.270.731.611.511.312.730.250.510.52-1.54-3.05-1.24-0.56-26.720.790.711.061.091.771.400.881.011.651.882.01-0.262.261.271.580.160.980.22-----
6.536.215.825.795.495.164.894.614.344.154.063.894.004.204.174.264.234.167.527.898.168.088.038.088.568.318.218.318.218.107.978.048.458.979.359.3513.4413.7413.4613.6913.9613.8813.4013.1312.9412.4012.1011.6811.7011.029.068.544.264.20-----
2.291.170.442.120.87-0.12-0.35-0.24-0.35-0.74-0.150.680.190.570.293.182.171.020.452.881.610.10-0.47-0.12-1.59-1.52-0.80-0.50-0.39-0.250.232.602.401.510.586.764.692.691.13-1.03-0.67-0.50-0.723.162.361.771.702.480.64-0.470.22-1.22-1.12-0.680.070.000.17-0.010.00
2.021.010.371.950.77-0.18-0.39-0.37-0.45-0.80-0.180.590.120.520.273.412.070.960.422.681.460.02-0.49-0.27-1.69-1.62-0.85-0.78-0.63-0.400.122.272.161.860.956.394.472.571.09-1.22-0.75-0.54-0.742.992.251.671.662.230.46-0.600.18-1.39-1.22-0.730.05-0.11-0.04-