Marathon Oil Financial Ratios for Analysis 2009-2024 | MRO

Fifteen years of historical annual and quarterly financial ratios and margins for Marathon Oil (MRO).

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
0.400.721.111.331.221.591.301.641.501.050.690.740.731.241.17
0.230.330.270.340.310.310.320.270.280.200.250.260.210.240.28
0.480.520.380.510.450.450.470.410.390.300.340.380.280.330.39
87.0890.8590.4782.0885.9485.7379.9570.1868.0959.8862.6359.7860.1357.5961.10
35.0952.4023.35-38.1012.5628.24-2.59-22.56-46.4514.7423.5927.8032.9336.1333.85
35.0952.4023.35-38.1012.5628.24-2.59-22.56-46.4514.7423.5927.8032.9336.1333.85
69.6075.6560.2436.6859.9169.6051.2144.0712.2542.3446.5144.5848.3553.7256.53
29.8350.1217.93-47.307.7424.18-10.30-35.97-52.6212.5521.1325.9430.3034.7032.41
24.2547.9016.89-46.859.4818.57-129.80-66.13-47.5528.0815.4813.2220.0821.9717.16
0.330.380.330.170.250.280.200.100.140.300.320.340.470.230.18
4.455.526.947.309.898.777.027.104.7312.1911.6313.3316.201.440.92
5.566.584.904.154.515.474.074.335.086.275.314.957.511.941.80
65.6355.4874.4288.0480.8966.7389.5784.3771.8258.1968.7873.7648.57188203
13.8731.698.85-13.743.959.04-7.09-11.90-9.174.614.814.6810.017.923.27
13.8731.698.85-13.743.989.11-7.16-11.98-9.234.714.944.8210.348.413.49
7.9418.115.57-8.082.375.14-3.77-6.71-5.262.692.612.425.483.761.52
10.6621.356.45-9.092.726.22-4.83-8.65-6.593.683.623.457.876.002.36
19.4218.0014.3813.3915.2714.8113.7720.7127.4031.1427.7525.8624.3733.4830.95
6.727.904.111.863.393.822.341.102.338.037.435.669.148.247.41
3.345.812.810.210.202.032.091.12-2.495.981.800.175.685.203.84

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
0.690.570.550.400.640.800.750.721.081.181.101.110.991.321.131.331.231.321.321.221.061.091.491.591.431.511.521.302.092.121.211.642.162.722.141.501.351.350.831.051.011.061.110.690.740.820.820.740.600.690.740.731.731.761.341.241.211.211.251.171.171.171.24
0.290.290.290.230.300.340.330.330.240.240.260.270.270.310.310.340.330.330.320.310.290.290.310.310.310.310.310.320.360.350.310.270.280.280.270.280.270.270.210.200.240.240.240.250.250.250.260.260.200.200.210.210.220.220.240.240.250.260.280.280.280.280.29
0.420.470.490.480.510.520.510.520.360.350.350.380.370.460.510.510.540.490.460.450.450.450.450.450.460.450.460.470.550.590.580.410.380.380.380.390.430.410.310.300.320.320.330.340.350.340.350.380.360.300.270.280.300.300.340.330.340.350.380.390.390.400.40
87.1987.0385.6386.0689.1685.5887.1788.7190.3992.4491.3790.9990.8989.9589.7283.3383.0573.6784.3886.2986.9586.0284.4285.1486.0285.8385.8882.9879.2276.9579.3876.8572.1365.8361.9320564.6057.5856.2760.6360.0359.2859.7035.3459.9065.2573.76-143.7069.5266.7764.2572.8054.5952.9560.2357.1159.2254.9318.1720.6522.7424.3026.77
31.0231.3929.1332.8137.7830.5938.6146.6654.9859.6945.7142.6724.138.379.94-30.41-31.80-143.471.465.9218.9818.465.9233.8427.5014.1737.2215.28-31.42-2.677.9413.17-26.02-13.67-87.25-135.74-77.31-22.42-25.13-5.9617.7020.3324.05-30.3727.5328.9438.03-327.1644.1539.5236.7535.0236.5325.1235.1125.6736.7932.856.366.286.285.864.27
31.0231.3929.1332.8137.7830.5938.6146.6654.9859.6945.7142.6724.138.379.94-30.41-31.80-143.471.465.9218.9818.465.9233.8427.5014.1737.2215.28-31.42-2.677.9413.17-26.02-13.67-87.25-135.74-77.31-22.42-25.13-5.9617.7020.3324.05-30.3727.5328.9438.03-327.1644.1539.5236.7535.0236.5325.1235.1125.6736.7932.856.366.286.285.864.27
---------------------------------------------------------------
26.7726.7124.8427.7632.7524.6033.5743.0452.6457.4344.6939.4313.072.079.09-41.48-40.74-156.12-4.79-0.2414.0113.982.2529.4223.219.6834.099.56-38.68-11.95-1.76-4.59-36.35-25.23-100.16-174.01-82.73-26.31-28.30-8.3815.7817.6922.23-34.8125.1726.7136.13-342.4742.8438.0035.4333.7935.7124.7727.0025.0136.2329.036.175.736.847.905.13
16.4820.9519.3125.0525.5819.3426.6132.7540.6944.5674.0537.4712.801.288.24-41.12-41.66-153.06-4.49-1.6213.2111.6614.5028.2616.526.6323.16-2.03-50.59-14.83-546.53-136.83-22.30-22.34-66.50-286.28-54.12-25.91-18.6038.6215.0218.7042.7124.4918.9714.1510.1279.5111.1510.5310.9915.0211.1026.9627.1321.0024.3925.262.912.242.883.172.77
0.090.080.080.080.090.070.080.080.110.120.100.100.080.070.060.050.040.030.050.060.060.060.060.060.070.070.070.060.050.040.040.030.030.020.020.010.040.040.040.070.080.080.070.040.080.090.110.010.120.120.120.120.120.120.070.070.060.060.330.340.320.290.23
1.341.341.231.191.101.571.481.451.871.761.952.031.701.621.551.801.681.682.052.352.302.682.252.141.951.751.971.871.861.541.291.711.090.960.76-0.931.511.881.712.643.032.912.682.723.342.842.702.733.803.704.582.754.855.070.470.420.290.353.343.473.022.822.13
1.531.241.211.381.241.151.291.401.481.431.221.521.351.241.281.101.180.791.461.101.091.211.111.281.151.231.401.281.251.221.211.341.100.930.790.301.401.251.111.391.401.411.210.721.171.231.530.171.571.811.701.872.122.000.560.560.530.563.173.343.293.323.46
58.7272.3974.6765.4172.8778.4869.7864.3460.8762.7773.7559.3466.8472.3470.4281.7976.0411461.7981.9082.7274.5581.4570.3778.1273.1464.4170.5171.8373.6774.5267.1981.8597.2111529664.4472.1881.3364.8964.2263.6474.3412576.8673.0558.6553757.4249.7752.9848.0742.4544.9016116117116128.3626.9527.3727.1225.99
2.513.112.673.544.042.553.664.617.308.3811.476.071.700.150.91-3.20-2.91-6.71-0.38-0.161.341.331.433.222.110.792.96-0.24-5.09-1.23-0.40-7.88-1.09-0.72-1.86-1.56-3.87-1.91-1.34-0.441.501.812.01-0.442.081.272.04-2.212.492.212.383.262.421.781.841.782.001.642.060.911.771.501.23
2.513.112.673.544.042.553.664.617.308.3811.476.071.700.150.91-3.20-2.91-6.71-0.38-0.171.361.341.443.242.130.802.98-0.24-5.14-1.24-0.40-7.94-1.10-0.72-1.87-1.57-3.97-1.95-1.37-0.451.541.852.06-0.462.141.302.10-2.282.572.282.463.372.501.841.951.892.131.742.200.971.901.611.32
1.481.771.512.032.271.442.082.634.585.287.253.821.070.090.53-1.88-1.70-4.04-0.23-0.100.810.760.811.831.170.441.65-0.13-2.61-0.63-0.20-4.45-0.64-0.42-1.10-0.90-2.16-1.08-0.79-0.260.831.001.10-0.241.110.691.08-1.141.301.221.311.791.330.980.880.850.970.790.960.420.860.740.61
1.792.211.892.722.811.692.443.105.536.348.544.431.250.100.62-2.12-1.95-4.50-0.26-0.110.960.950.982.211.450.542.03-0.16-3.28-0.80-0.27-5.73-0.79-0.52-1.35-1.12-2.81-1.40-1.06-0.351.141.371.52-0.331.560.951.52-1.631.991.761.892.561.891.391.391.351.501.221.490.661.281.080.88
20.4620.0519.6219.4219.0318.5518.3118.0017.4016.7415.8514.3813.6813.4813.5413.3913.7914.1515.1215.2715.3215.0514.8914.8114.3714.2114.1113.7713.8514.5914.8020.7122.3422.5922.8227.4028.5629.8630.6131.1429.9629.5229.0827.7527.2926.8326.2525.8625.5925.2324.8324.3723.8023.4034.7033.4832.9032.2231.3930.9531.2030.8130.38
5.413.251.316.724.983.161.387.906.403.891.464.112.651.620.791.861.340.900.883.392.551.610.633.822.801.660.762.341.751.090.701.100.740.300.102.331.791.060.468.036.393.772.117.435.683.362.155.663.972.461.379.147.696.153.638.234.202.991.197.414.652.861.18
2.451.280.473.342.221.260.535.814.752.921.012.811.711.030.530.21-0.01-0.280.100.200.090.20-0.092.031.681.371.292.092.252.200.371.120.600.34-0.50-2.49-2.41-2.36-1.695.984.323.773.721.801.490.450.730.17-0.71-0.310.235.684.824.292.605.192.302.281.183.84-1.22-1.08-1.02