ArcelorMittal Financial Ratios for Analysis 2009-2024 | MT

Fifteen years of historical annual and quarterly financial ratios and margins for ArcelorMittal (MT).

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
1.531.661.451.231.341.381.251.231.241.331.351.331.491.391.40
0.130.140.110.200.220.170.200.270.390.280.260.300.290.230.24
0.190.210.160.310.350.280.320.420.720.440.420.520.470.390.38
6.9415.7025.127.762.4511.8511.3611.20-2.547.565.280.809.328.903.62
3.4312.8722.173.96-0.898.607.917.33-6.543.831.51-3.145.544.62-2.41
3.4312.8722.173.96-0.898.607.917.33-6.543.831.51-3.145.544.62-2.41
7.3516.1025.479.523.4612.2811.9412.12-1.528.807.422.4410.5310.255.09
1.8514.1023.542.04-2.746.557.294.79-11.83-0.66-2.97-6.383.022.38-6.98
1.3511.6519.53-1.38-3.486.776.653.13-12.50-1.37-3.28-4.002.583.740.26
0.730.840.850.650.800.830.810.760.830.800.710.740.770.600.48
3.393.352.893.993.983.233.383.424.864.243.914.403.933.633.49
18.6520.8014.8917.3419.7917.1617.7819.1023.7321.4516.2616.5614.5613.6310.61
19.5717.5524.5221.0518.4521.2820.5319.1115.3817.0222.4522.0425.0626.7834.39
1.8217.1630.32-1.44-5.9112.0811.205.36-30.55-2.16-4.84-6.873.465.050.33
2.0118.8233.17-1.61-6.8213.8913.036.50-38.32-2.63-5.79-8.484.616.450.44
1.0910.0917.20-0.70-2.725.845.362.31-10.96-0.98-2.29-3.041.612.550.17
1.5914.7526.91-1.15-4.609.988.973.93-18.70-1.56-3.61-4.792.443.910.25
68.4469.0356.3737.2240.0043.5240.0631.7149.9381.9096.4897.74109128130
9.0511.168.943.585.944.114.462.842.795.027.2410.343.467.5315.10
4.447.476.221.442.410.941.700.45-0.500.282.282.10-1.591.939.71

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
1.461.531.551.531.621.631.571.661.621.581.551.451.421.281.271.231.221.301.251.341.421.411.401.381.401.381.261.251.211.231.231.231.271.321.201.24-1.381.321.331.321.341.321.351.401.401.541.331.371.381.571.49-1.481.411.391.361.271.351.401.381.361.33
0.140.140.130.130.130.130.130.140.110.100.100.110.120.120.170.200.200.220.230.220.210.200.190.170.160.170.180.200.190.220.250.270.280.300.370.39-0.310.310.280.260.260.260.260.260.270.290.300.270.270.310.29-0.270.260.230.230.220.240.240.250.270.29
0.200.200.180.190.180.180.200.210.170.160.160.160.170.200.270.310.360.360.380.350.340.310.300.280.300.320.310.320.390.390.430.420.440.470.730.72-0.530.510.440.440.420.450.420.420.450.490.520.450.450.500.47-0.420.410.390.390.380.390.380.430.490.55
9.3410.3510.53-10.6911.2214.009.85-2.1814.0223.3223.2623.4629.9526.1220.0210.986.796.446.51-16.396.398.078.613.7914.7315.3713.098.6710.9112.2513.8712.5213.0612.016.92-41.108.678.288.053.069.498.528.86-3.968.728.427.928.067.3311.389.337.649.9413.5811.64100.00100.00100.00100.00100.00100.00100.00100.00
4.366.446.58-13.617.2410.356.44-1.818.7020.3020.3021.9126.4222.9116.3114.095.41-2.31-2.38-9.891.79-0.824.015.698.4611.818.186.977.008.069.805.738.2912.702.05-38.130.133.433.343.044.784.023.41-0.182.431.742.05-24.400.285.373.541.234.828.966.5396.6594.5194.0293.5590.2092.8391.9192.61
4.366.446.58-13.617.2410.356.44-1.818.7020.3020.3021.9126.4222.9116.3114.095.41-2.31-2.38-9.891.79-0.824.015.698.4611.818.186.977.008.069.805.738.2912.702.05-38.130.133.433.343.044.784.023.41-0.182.431.742.05-24.400.285.373.541.234.828.966.5396.6594.5194.0293.5590.2092.8391.9192.61
---------------------------------------------------------------
4.044.847.19-23.647.4211.497.181.147.5221.8421.9922.9828.2924.3717.3511.614.24-3.13-5.23-11.42-2.13-2.033.053.136.069.217.525.147.258.778.122.295.758.722.06-47.49-4.341.81-2.98-3.640.091.16-0.49-6.51-0.75-3.33-1.25-28.28-3.183.52-0.35-0.863.236.522.04-3.523.807.771.53-0.760.25-13.79-14.69
1.893.105.76-20.385.5910.005.921.555.2317.7218.8919.4422.8420.7114.118.51-1.97-5.09-7.55-12.13-3.24-2.322.166.514.859.336.215.876.837.676.232.854.687.54-3.10-47.82-4.561.06-4.25-5.100.110.25-1.04-6.47-0.98-3.86-1.75-19.72-3.314.520.41-4.452.726.114.82-3.776.428.463.675.745.63-5.22-7.03
0.160.180.180.150.180.200.190.180.210.230.220.230.230.230.190.170.160.140.180.180.190.210.210.200.220.230.220.210.210.210.200.190.190.200.180.18-0.180.190.190.190.190.180.180.180.180.170.170.170.190.180.18-0.190.170.160.160.170.140.150.130.120.13
0.750.820.790.860.780.800.840.860.790.730.760.800.750.880.981.021.000.720.891.040.820.860.850.850.860.950.880.900.880.870.850.840.931.000.971.47-1.001.011.051.041.020.951.070.971.020.990.930.911.020.970.96-0.910.91--------
3.593.883.703.973.713.903.714.404.063.733.444.053.633.464.284.624.233.604.304.353.833.823.744.144.064.133.834.583.974.054.054.754.264.214.035.22-3.944.025.074.063.943.574.063.403.443.223.803.083.212.863.48-2.912.783.622.782.742.593.242.442.442.39
25.1023.1924.3422.6424.2623.0924.2720.4622.1824.1126.1822.2524.7925.9921.0319.4921.2624.9920.9520.7023.4823.5724.0721.7622.1621.7823.5119.6322.6722.2522.2218.9521.1421.3722.3317.25-22.8222.3617.7722.1622.8725.2322.1626.4526.1427.9323.7029.2228.0131.4725.87-30.8932.4324.8932.4232.8934.7727.7636.8636.9337.70
-------0.41---8.08-9.00-3.20--1.40--4.69---2.91---2.52-3.63-1.10-3.47--25.68-0.46-1.88-2.08----2.47----7.74-1.141.73--1.77--15.84-0.422.062.5916.151.751.45-1.39-30.42
0.591.041.92-5.861.833.612.230.452.127.698.228.8410.759.996.373.59-0.66-1.62-3.59-5.41-1.46-1.051.163.352.545.053.362.933.694.323.631.342.574.25-1.92-32.22-0.56-2.31-2.540.100.19-0.36-2.96-0.33-1.81-0.79-9.55-1.492.270.22-2.36-3.071.22-0.542.743.501.342.361.98-1.91-2.88
0.320.561.06-3.181.032.001.200.241.164.134.354.585.494.882.881.57-0.27-0.65-1.37-2.16-0.61-0.440.491.411.102.141.411.211.431.621.300.480.921.48-0.55-9.21-0.20-0.81-0.950.040.08-0.14-1.17-0.13-0.69-0.30-3.42-0.570.850.08-0.82-1.180.47-0.211.051.310.510.900.72-0.67-0.94
0.470.811.52-4.631.462.871.760.351.756.416.797.178.687.884.762.58-0.47-1.10-2.39-3.65-1.01-0.740.822.401.863.632.382.022.532.832.270.811.522.42-0.96-15.72-0.31-1.30-1.510.060.12-0.22-1.84-0.20-1.09-0.46-5.39-0.831.260.12-1.25-1.730.69-0.331.582.020.761.331.08-1.02-1.44
-------69.03---56.37-45.46-37.22-34.40-40.00---43.52---40.06-35.54-31.71-31.40-49.93---81.90---96.48---97.74---109---128---130---
3.051.22-0.129.055.133.591.1011.167.344.952.118.945.172.860.843.582.170.800.595.943.052.720.954.111.991.370.164.461.640.89-0.292.841.030.18-1.152.790.750.17-1.535.022.641.80-0.797.242.703.45-0.5210.344.745.090.995.57-2.05-3.43-2.517.060.87-0.63-1.375.508.384.460.72
-1.14-1.57-1.654.441.371.230.017.475.143.681.566.223.501.830.321.440.73-0.32-0.252.410.320.930.020.94-0.120.02-0.581.70-0.10-0.23-0.860.45-0.570.09-2.14-0.50-1.80-1.98-2.780.28-1.70-0.96-2.252.28-1.400.71-2.112.10-2.210.75-1.442.72-8.31-7.27-4.514.33-3.01-2.77-2.363.944.641.41-1.14