Mettler-Toledo Financial Ratios for Analysis 2009-2023 | MTD

Fifteen years of historical annual and quarterly financial ratios and margins for Mettler-Toledo (MTD).

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
1.041.201.111.261.471.421.461.531.421.251.621.541.672.111.31
1.090.990.900.820.750.630.640.670.500.320.300.300.380.460.22
-13.8881.259.814.723.071.751.792.061.020.630.440.470.650.880.41
59.1658.8858.4158.3857.8757.3857.8257.3256.4454.6653.8953.0052.7552.7051.44
28.5028.7326.7625.4124.2123.2722.3821.4120.9219.2218.8518.0716.4917.1016.35
28.5028.7326.7625.4124.2123.2722.3821.4120.9219.2218.8518.0716.4917.1016.35
31.7031.6229.6628.6127.1626.1525.1824.1623.5921.7421.3420.4118.6319.3618.75
25.7027.3125.5324.2722.6522.2121.0720.1019.3517.9016.9316.3415.1215.6213.00
20.8222.2620.6819.5418.6517.4613.8015.3214.7313.6112.8712.4211.6711.809.98
1.131.121.121.101.081.121.071.161.221.241.111.161.050.861.01
4.013.653.734.314.624.654.504.824.875.515.215.534.524.295.00
5.715.535.745.205.315.485.165.515.825.715.105.355.435.335.52
63.9766.0563.5570.2568.7066.5970.8066.2162.6963.9671.6168.1867.2068.4266.08
-526.073,51944921313386.8768.7088.3760.7847.0032.7435.1634.5030.0924.27
-71.35-92.68-98.00-129.79-174.56-316.38-171.46-184.361,86520883.9111312799.84105
23.5124.9823.1121.4220.1219.5714.7517.7418.0116.8414.2214.3812.2310.1710.04
45.3745.1343.8938.4733.8832.5524.9429.3430.5332.0523.0024.7721.4216.1018.87
-6.971.127.5012.0417.4423.6821.4316.7221.4325.4831.7127.2024.7323.8021.01
43.9637.8138.7429.9524.1621.9219.5617.0515.5614.1711.2610.308.557.866.78
39.2032.5034.3126.2520.3216.7015.1912.4812.6711.178.587.315.635.705.09

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
1.010.921.071.041.121.241.281.201.131.181.201.111.241.251.281.261.371.411.771.471.341.391.371.421.391.461.461.461.511.551.631.531.521.521.591.421.461.571.281.251.341.381.751.621.581.721.731.541.511.651.721.671.711.942.132.111.301.311.301.311.531.671.81
1.091.101.091.091.061.051.010.991.051.000.950.900.910.890.890.820.730.720.830.750.720.680.640.630.650.660.640.640.670.670.680.670.620.580.560.500.510.480.380.320.300.280.330.300.310.350.350.300.320.360.360.380.400.430.460.460.250.220.220.220.330.400.47
-13.46-13.47-13.15-13.88-19.92-24.00-86.7681.25-23.9026522.149.8110.648.657.964.722.762.675.123.072.682.261.891.751.972.011.771.792.082.102.192.061.691.451.291.021.060.960.790.630.570.510.500.440.470.570.550.470.520.590.590.650.710.760.890.880.440.410.420.410.510.680.92
59.9759.7559.2059.0059.3759.4258.8559.7759.3158.4357.8758.5358.3958.0858.6459.6058.1757.6257.6859.0457.7157.3657.1558.3957.0557.1556.7458.5857.3857.4657.7559.2956.7957.1455.5758.0156.2055.4855.7856.5554.6153.9053.1554.8653.8453.3753.2454.2853.2652.4351.7653.3952.3152.7952.4353.4152.2352.6452.3052.7651.6950.6250.24
29.1628.0926.9028.2029.4629.4926.7832.3429.4627.5025.0229.1326.9725.8624.4629.6526.7423.5619.6128.8524.3922.6219.9627.8423.1521.7919.3426.3821.6120.9819.5925.4421.9219.8017.3425.8620.9419.0116.7624.1819.0017.3615.2323.1018.4917.3815.3222.4917.9816.7814.1219.5315.5916.0814.0720.4316.7516.3013.7020.3616.0614.4513.27
29.1628.0926.9028.2029.4629.4926.7832.3429.4627.5025.0229.1326.9725.8624.4629.6526.7423.5619.6128.8524.3922.6219.9627.8423.1521.7919.3426.3821.6120.9819.5925.4421.9219.8017.3425.8620.9419.0116.7624.1819.0017.3615.2323.1018.4917.3815.3222.4917.9816.7814.1219.5315.5916.0814.0720.4316.7516.3013.7020.3616.0614.4513.27
---------------------------------------------------------------
27.1325.6923.8224.8726.6526.8224.4030.7327.9826.2423.7327.5726.0124.9223.0528.7025.4922.4818.2527.3922.4721.2218.5028.1821.8219.8917.7724.9219.9819.4119.1525.5420.4916.9616.0123.9819.3517.5315.4922.8517.7816.0013.8721.1816.5315.7013.1920.6916.5214.3312.9518.1214.4814.5012.6918.5715.6814.8112.2818.5313.069.329.37
22.1623.4319.1719.7621.3921.7820.2925.1322.3821.6819.3822.2621.4019.9918.6123.0620.0418.3215.1122.8417.1617.3916.4622.1517.2415.4414.129.8915.0215.5415.5519.4115.5813.0812.1718.3114.7113.3211.7717.3713.5112.1610.5416.1012.5611.9310.0215.9212.4810.829.7714.5411.3410.739.3913.6412.6610.969.0913.579.546.819.06
0.290.290.280.280.290.290.270.300.300.290.270.310.300.290.270.330.290.260.230.300.290.270.260.310.290.280.260.310.280.290.270.330.290.300.270.340.290.280.270.350.300.280.260.320.280.270.250.330.280.280.250.290.260.240.220.260.260.270.240.300.260.250.23
1.021.041.010.991.021.010.890.960.890.880.851.041.041.111.041.271.160.980.941.261.131.091.031.271.141.151.031.261.131.101.041.301.171.111.051.321.171.161.081.481.301.251.151.471.251.331.231.511.261.251.081.251.080.990.961.271.091.201.121.441.281.271.18
1.501.491.421.411.481.521.451.491.611.561.451.601.581.541.401.581.551.411.251.491.501.471.391.531.481.491.371.471.451.461.351.561.571.491.391.641.551.451.401.601.531.421.301.471.471.381.281.501.421.441.381.531.511.471.361.611.481.511.371.631.531.421.29
60.0860.3463.2163.9060.6459.3862.0260.3655.8257.6461.9456.1757.0458.4464.2756.9858.1763.9171.8960.3960.0861.3764.8158.9360.6160.6165.9161.1562.2361.7066.5157.7057.3560.3664.5954.9858.1862.2264.2456.2258.7863.1969.4961.3961.2565.0170.4859.8963.2562.6965.4159.0259.6561.2965.9756.0260.9459.5665.6955.0558.8763.2469.51
-137.03-145.20-111.84-123.25-190.45-238.48-770.071,072-266.392,92020613512896.5273.8676.5236.5128.1232.0245.8129.5225.2319.9030.7123.8220.9416.6433.24-21.9921.0231.6820.2516.1812.0921.2515.1511.859.4716.8410.018.156.2911.788.778.516.5712.659.047.966.4812.078.327.185.9410.488.227.165.329.766.384.696.51
-19.42-20.42-16.15-16.72-19.14-20.39-19.10-28.24-21.71-22.69-19.99-29.42-26.50-24.82-20.32-46.58-54.32-43.69-22.49-59.96-42.80-52.61-59.55-111.83-55.76-49.80-44.69-82.97--54.62-45.27-66.08-67.22-120.01-315.1365237675.9553.4674.4629.4922.0516.4130.2026.4027.6921.9840.6731.5529.3522.2844.4828.0221.7220.2234.7730.9130.0123.5142.1133.1441.99623
6.376.835.415.516.136.355.537.616.706.365.186.946.355.884.947.685.854.723.406.914.914.784.246.924.954.363.717.13-4.524.206.364.563.863.236.304.333.703.196.034.033.452.725.123.473.242.545.173.503.002.484.282.972.572.043.543.252.942.214.042.471.672.09
12.1713.9210.1710.6311.0610.949.4613.7512.6611.609.4013.1811.3210.308.4913.8010.037.935.3911.648.287.997.1211.508.337.186.0612.07-7.216.6810.527.646.725.3610.677.486.165.8611.487.005.914.238.286.035.504.308.916.135.114.187.504.984.123.195.616.205.574.147.594.282.803.43
-7.31-7.20-7.43-6.97-4.88-4.10-1.081.12-3.710.323.737.506.698.288.7112.0418.6218.7812.8217.4418.0020.4822.6523.6821.2321.1222.0821.4320.0518.0017.0316.7219.0818.5720.3021.4321.4323.6223.8225.4829.7431.4231.6131.7128.5527.0926.5127.2026.0524.9825.6624.7325.9426.3024.5523.8023.0221.4721.1621.0119.3017.5415.46
33.0620.928.8243.9631.2719.026.8937.8124.5713.583.9438.7428.5417.196.7129.9519.5610.272.6924.1616.158.993.9021.9214.278.382.9319.5613.357.772.5417.0511.435.981.5115.5610.315.752.0414.179.465.071.4211.267.763.720.7610.306.843.500.648.555.442.830.207.866.033.471.296.785.483.181.03
30.1419.028.0139.2027.9716.695.8432.5020.6310.853.1134.3125.7015.325.6726.2517.318.821.9220.3213.327.263.0216.7010.816.171.9715.1910.496.322.1312.489.544.931.0012.678.304.501.3911.177.393.840.878.585.912.530.157.314.812.150.075.633.541.68-0.335.704.902.890.995.094.472.540.71