MSCI Inc Financial Ratios for Analysis 2009-2024 | MSCI

Fifteen years of historical annual and quarterly financial ratios and margins for MSCI Inc (MSCI).

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
2023202220212020201920182017201620152014201320122011201020102009
0.931.401.711.882.311.772.091.972.131.631.241.011.50-1.152.06
1.201.291.041.151.031.070.840.870.640.350.340.360.45-0.530.40
-6.09-4.48-25.46-7.60-40.04-15.475.186.531.750.550.520.600.82-1.170.75
82.3482.0282.4582.7981.0779.9678.5278.0975.1072.2573.6572.1569.24-70.0473.21
54.7553.7152.4952.1948.5147.9045.5042.4237.5733.8337.2638.4835.74-31.0934.09
54.7553.7152.4952.1948.5147.9045.5042.4237.5733.8337.2638.4835.74-31.0934.09
61.2560.2759.3058.9855.3154.1352.0549.7645.0142.3146.5651.2245.96-41.4242.92
54.1446.4241.9940.4838.7343.9336.6433.5432.5230.9434.2531.5429.24-23.1529.74
45.4238.7235.5335.5036.1835.4223.8622.6720.8028.5124.3722.2819.25-13.7918.19
0.460.450.370.400.370.420.390.370.340.350.290.270.29-0.220.37
----------------
3.013.393.083.043.123.033.895.195.165.585.395.394.99-4.495.74
12110811912011712193.8470.2670.7065.4567.7367.7773.15-81.3063.60
-155.26-86.37-444.12-135.78-734.74-305.0575.8082.1325.5213.8812.7811.5613.29-8.5316.13
-25.06-22.93-24.25-26.82-29.65-25.48-20.52-16.45-21.79-35.17-23.67-16.49-16.55--6.86-149.39
20.8117.4213.1814.3313.4114.999.288.467.316.906.375.465.61-3.056.82
30.5724.9118.1620.5918.8221.0812.2610.909.278.968.507.377.31-4.039.68
-9.35-12.61-1.98-5.37-0.90-1.984.453.488.9212.7813.2511.8710.77-9.044.84
15.4813.4911.219.608.306.834.404.582.922.622.652.822.090.001.621.30
14.3412.5910.508.997.676.293.874.142.482.182.292.461.90-1.501.17

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
0.930.961.000.931.361.251.501.401.431.331.151.711.822.691.621.882.212.262.032.311.861.731.631.772.752.652.062.092.051.961.991.972.441.451.632.132.621.691.751.631.522.121.811.241.111.241.081.011.361.251.691.501.461.331.191.23-1.091.452.29-1.541.471.42
1.201.191.171.201.301.361.251.291.311.301.271.041.071.101.171.151.131.101.131.031.061.101.141.070.870.880.830.840.850.870.880.870.790.750.720.640.590.360.350.350.360.320.330.340.330.330.350.360.360.370.440.450.470.480.490.52-0.550.100.37-0.490.510.54
-5.97-6.14-6.93-6.09-4.30-3.78-5.00-4.48-4.19-4.40-4.73-25.46-14.86-10.78-8.03-7.60-8.71-10.82-8.95-40.04-17.44-11.12-8.14-15.476.807.434.935.185.776.767.446.533.762.952.571.751.410.560.550.550.570.480.510.520.530.530.560.600.590.620.790.820.880.920.971.15-1.220.120.68-1.041.151.27
82.5981.9081.1082.2483.1682.2881.6582.2382.4581.7481.6582.5682.6682.4782.0782.8883.3882.8082.1082.7582.1281.3377.8379.6180.1980.3479.7079.3278.7578.3277.6078.2078.1678.6277.3476.2575.6075.0973.4078.2572.2869.7868.5384.1570.1969.4970.2586.7770.9769.3068.4469.4369.3569.6068.5571.06-65.6075.6675.93-74.0573.2472.68
55.3854.0449.9153.7256.4955.6953.1253.5855.2154.4451.6151.0354.1951.6953.1752.7653.5252.5349.8849.0551.0449.9043.8046.9549.2847.7947.5846.0446.2046.2243.4043.0442.7343.2540.5839.4140.5936.4133.7733.8933.3934.8233.1735.3136.7039.3537.7753.7535.4836.5235.3536.1036.5536.5133.7836.77-20.4537.3138.84-34.7233.5130.95
55.3854.0449.9153.7256.4955.6953.1253.5855.2154.4451.6151.0354.1951.6953.1752.7653.5252.5349.8849.0551.0449.9043.8046.9549.2847.7947.5846.0446.2046.2243.4043.0442.7343.2540.5839.4140.5936.4133.7733.8933.3934.8233.1735.3136.7039.3537.7753.7535.4836.5235.3536.1036.5536.5133.7836.77-20.4537.3138.84-34.7233.5130.95
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49.2548.0343.5267.8050.7949.4546.6746.1148.0247.1244.4644.7038.8039.2845.1543.9944.4533.9839.0736.0442.8041.4334.5451.7841.0343.0639.6937.9237.5137.1833.7433.1633.8134.6032.5631.3136.8532.3129.5528.1731.7933.0730.6832.5134.0136.7333.8048.1832.1124.0029.7931.0131.2430.7523.8928.34-10.1730.3236.03-30.9729.2324.91
38.7637.6837.6458.4541.5239.7440.3137.3138.6338.1640.7935.2632.8533.2141.1435.2142.8728.1135.5430.2034.7532.6047.9842.0634.6032.1832.7619.3026.4425.7124.2223.3122.6323.0421.6521.7723.9620.7016.6817.6620.5542.3533.5419.9524.1926.7326.8543.9420.5015.7419.1920.2221.9119.9714.8718.86-5.0318.9622.24-18.6717.4215.32
0.130.130.120.130.130.130.120.120.120.110.120.100.100.100.100.110.100.100.110.100.110.110.110.110.090.100.110.100.100.100.100.100.090.100.100.090.080.090.090.090.090.080.080.080.070.070.070.040.080.080.070.070.070.080.080.02-0.070.130.10-0.100.100.10
----------------------------------------------------------------
1.131.000.910.821.041.010.920.871.070.940.950.831.041.020.940.790.990.880.860.810.960.880.870.760.950.920.761.021.041.091.151.321.221.171.071.311.291.261.421.411.311.191.251.401.271.431.310.811.891.751.331.251.351.281.200.53-1.771.351.07-1.421.151.02
79.9590.2098.6910986.8188.8097.5010484.3495.7195.2010986.4588.2695.3511390.9510210411193.4910210411895.2297.8911988.0786.4082.3578.3768.0873.5876.6583.9868.6869.7371.3463.3064.0668.5975.5672.0664.4070.8363.0868.4511247.5251.3367.6571.8666.7770.4174.85171-50.8466.5384.25-63.2578.4888.25
-37.40-36.32-39.35-54.53-24.75-20.68-26.49-21.33-20.10-20.52-25.98-118.60-60.66-44.98-40.87-35.24-47.17-37.03-41.80-160.05-92.65-54.22-56.30-91.3732.7233.7227.3116.1123.6326.4526.1621.4911.8412.519.816.665.753.913.413.023.703.413.022.613.283.613.562.463.292.663.223.413.953.782.911.25-1.004.185.04-5.675.765.34
-6.11-5.81-5.70-8.80-6.81-6.21-6.48-5.66-5.60-5.49-6.17-6.48-5.47-7.72-8.64-6.96-8.33-5.44-6.84-6.46-7.01-6.14-8.33-7.63-8.50-7.74-7.90-4.36-5.57-5.13-4.51-4.30-4.78-4.80-4.54-5.68-7.63-10.34-9.47-7.65-8.40-16.28-10.58-4.84-5.66-6.58-5.62-3.50-5.76-4.12-4.52-4.24-4.49-3.88-2.68-1.05--0.74104-231.77--10.51-8.38-6.24
5.194.894.677.315.345.184.724.304.534.364.873.523.303.454.313.724.442.753.792.923.943.675.414.493.253.093.441.972.702.632.432.211.972.402.131.911.911.951.711.501.801.811.521.301.621.811.751.161.581.251.411.441.621.521.150.45-0.352.542.30-1.931.841.62
7.527.076.6410.747.527.466.636.156.326.056.964.854.384.606.825.346.123.775.264.105.645.367.896.324.194.004.602.613.493.413.102.852.493.162.752.422.392.512.201.952.382.322.011.742.192.412.331.562.111.671.811.882.101.971.480.60-0.453.773.15-2.922.812.45
-9.58-9.33-8.21-9.35-13.26-15.09-11.26-12.61-13.45-12.75-10.83-1.98-3.40-4.46-5.84-5.37-4.66-3.72-4.23-0.90-1.75-2.74-3.74-1.984.273.904.694.454.003.413.083.485.835.636.388.9210.6612.9712.9512.7812.4714.3213.4013.2512.8612.8712.3311.8712.0311.5811.2310.7710.4710.049.589.22-8.725.495.20-3.693.403.13
13.608.193.7715.4810.666.963.2813.499.645.622.9711.217.865.292.589.606.814.451.328.305.453.251.036.834.813.230.964.402.841.740.404.583.181.600.372.922.050.800.592.621.720.800.212.651.871.280.582.822.331.540.562.091.430.66-0.210.350.001.010.52-0.140.001.200.690.22
12.607.543.4714.349.796.363.0112.599.005.202.7810.507.425.032.468.996.414.191.197.675.033.010.936.294.523.090.893.872.531.550.304.142.851.410.312.481.770.640.532.181.360.610.132.291.691.210.542.462.021.380.531.901.290.60-0.240.34-0.950.48-0.17-1.090.590.16