Nordic American Tankers Financial Ratios for Analysis 2009-2024 | NAT

Fifteen years of historical annual and quarterly financial ratios and margins for Nordic American Tankers (NAT).

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
1.551.971.582.512.193.115.017.615.677.346.825.254.6310.2416.18
0.330.330.360.360.390.410.350.340.270.220.230.240.210.07-
0.560.570.640.600.670.730.550.510.370.280.290.310.270.08-
51.6231.06-0.0946.9934.4915.0822.5542.3049.4725.392.1821.4626.3862.7358.11
32.6510.57-73.8022.9110.08-13.36-59.1314.9228.74-1.36-38.42-51.96-75.130.621.94
32.6510.57-73.8022.9110.08-13.36-59.1314.9228.74-1.36-38.42-51.96-75.130.621.94
46.1426.48-37.3543.2631.6012.95-24.7840.7447.5521.93-7.392.05-6.2650.6146.72
25.234.46-87.4914.13-3.24-30.30-66.1111.8325.74-3.74-43.23-56.01-76.27-0.640.81
25.204.45-87.5214.11-3.26-32.98-68.98-1.2525.72-3.75-43.26-56.01-76.27-0.640.81
0.450.390.230.360.310.270.260.260.360.300.210.120.080.120.13
6.089.209.399.699.2512.109.979.8815.1811.799.8225.359.2013.07-
14.9016.5720.8855.8512.9012.7913.2219.7815.5921.3912.9610.124.9511.445.48
24.5022.0217.486.5328.2928.5327.6118.4523.4217.0628.1636.0773.7731.8966.58
18.342.80-34.398.35-1.74-15.83-28.83-0.5113.02-1.48-12.33-9.04-8.33-0.080.11
18.342.80-34.398.35-1.74-15.83-28.83-0.5213.30-1.51-12.61-9.04-8.33-0.080.11
11.231.72-20.135.14-1.00-8.90-17.96-0.339.25-1.12-9.28-6.74-6.42-0.070.11
12.221.87-21.925.36-1.07-9.34-18.63-0.349.51-1.16-9.54-6.91-6.59-0.080.11
2.582.592.713.964.044.245.018.549.889.9711.3415.3018.3421.1722.13
0.670.12-0.270.740.37-0.110.311.381.960.67-0.74-0.01-0.261.241.56
0.320.05-0.290.620.350.48-0.06-0.110.57-0.19-0.88-0.06-2.20-2.94-2.87

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.790.771.551.811.820.961.971.791.531.521.581.412.022.122.512.441.892.192.182.542.793.11-2.914.975.144.697.6110.244.835.915.677.118.13--9.1311.52---8.123.855.2511.2114.9013.174.633.107.446.1510.2430.5043.7924.48-17.38-26.53
0.260.270.330.300.300.220.330.360.390.350.360.340.370.360.360.330.370.390.400.400.400.41-0.350.360.350.340.340.320.310.270.270.220.22--0.220.21---0.200.240.240.230.220.210.210.160.090.080.070.050.16----0.05
0.540.560.560.480.510.510.570.650.720.610.640.620.610.610.600.530.650.670.710.700.690.73-0.570.560.550.520.510.470.450.380.370.280.28--0.280.27---0.250.320.310.290.280.270.270.190.090.080.080.050.19----0.05
74.5774.3823.1769.5976.5183.9823.1568.7051.91-7.404.23-86.71-5.1112.55-0.2953.0680.3020.3849.9747.9870.2212.6624.9213.8425.6344.8459.9514.7452.8069.6076.3025.2376.4077.0076.80-60.8632.17----67.556.482.69-4.7745.1547.1911.31-23.1644.9751.0242.1053.2569.7772.13-33.11-78.90
44.2938.0813.0330.1250.3762.7816.0933.715.51-134.77-43.84-409.88-129.95-97.71-16.25-4.6555.2710.70-8.87-16.0534.141.76-66.14-58.57-37.64-26.339.252.52-4.7728.5743.7314.5743.6145.6644.68-2.84-69.21----287.42-170.27-53.88-140.75-25.19-28.45-52.55-329.96-40.20-25.75-60.84-20.0421.1024.41--64.25-39.58
44.2938.0813.0330.1250.3762.7816.0933.715.51-134.77-43.84-409.88-129.95-97.71-16.25-4.6555.2710.70-8.87-16.0534.141.76-66.14-58.57-37.64-26.339.252.52-4.7728.5743.7314.5743.6145.6644.68-2.84-69.21----287.42-170.27-53.88-140.75-25.19-28.45-52.55-329.96-40.20-25.75-60.84-20.0421.1024.41--64.25-39.58
-----------------------------------------------------------
32.6924.869.3415.5939.5453.8614.9221.12-11.38-173.87-48.30-479.60-171.30-133.06-20.82-26.8845.896.38-42.48-48.8810.52-1.82-159.12-100.66-66.43-40.67-6.224.38-16.5121.0438.1812.8238.7442.0639.88-1.18-73.11----316.05-187.62-57.89-150.99-27.75-30.81-51.65-335.07-41.96-27.31-62.74-21.2120.4522.85--66.48-38.85
32.6924.869.2715.5939.5453.8614.9121.12-11.38-173.87-48.34-479.60-171.30-133.06-20.86-26.8845.896.35-42.48-48.8810.52-5.00-163.79-100.66-66.43-40.67-6.22-22.61-16.5121.0438.1812.7738.7442.0639.88-1.18-73.11----316.04-187.62-57.89-150.99-27.75-30.81-51.65-335.07-41.96-27.31-62.74-21.2120.4522.85--66.48-38.85
0.080.070.210.060.080.100.270.050.040.020.180.010.020.020.140.040.080.190.030.030.050.20-0.030.030.030.040.130.030.050.060.190.060.06--0.030.02---0.010.020.050.010.020.030.030.010.020.020.020.020.030.04-0.02-0.05
0.700.624.650.660.690.547.300.550.490.736.921.040.910.697.100.990.897.111.010.720.729.01-1.070.890.920.997.071.011.091.3111.890.910.82--0.520.54---0.750.6613.51---4.00---3.29-------
2.902.717.182.192.463.2911.801.833.051.8416.101.151.302.4821.644.462.678.161.731.992.279.26-1.251.191.701.739.592.392.061.878.252.483.79--2.361.58---1.230.734.351.171.521.631.780.782.221.811.851.962.211.42-0.84-1.26
31.0533.1712.5341.1436.5527.367.6249.1829.4948.825.5978.5869.1236.344.1620.2033.7611.0352.0745.3439.579.72-72.1075.4453.0252.109.3937.6743.6248.1010.9036.3623.77--38.1057.12---73.0112420.6976.9059.1755.2050.4511540.4749.7148.5846.0140.6363.28-107-71.22
4.11-3.25---6.67----14.64--5.10--4.78--2.14----1.74------4.49---3.42------------4.02----2.03----1.29-------
4.112.853.251.404.868.446.671.95-0.80-5.49-14.64-8.16-5.10-4.34-4.78-1.596.552.14-2.43-2.570.94-1.74--4.15-2.88-2.01-0.41-4.59-0.831.573.443.502.993.53--0.05-1.82----3.83-4.21-4.02-2.72-0.88-1.02-2.03-4.19-1.05-0.72-1.29-0.530.750.89--1.25-1.95
2.511.731.990.903.045.444.101.13-0.44-3.25-8.57-4.90-3.09-2.64-2.94-1.013.811.23-1.36-1.460.54-0.98--2.53-1.78-1.23-0.26-2.90-0.531.022.372.432.222.62--0.04-1.37----2.92-3.01-3.00-2.07-0.68-0.79-1.57-3.39-0.94-0.65-1.19-0.500.630.88--1.23-1.83
3.032.092.170.983.406.544.471.25-0.49-3.57-9.33-5.34-3.24-2.76-3.07-1.064.131.31-1.44-1.540.57-1.03--2.72-1.84-1.27-0.27-2.98-0.551.052.442.502.282.70--0.04-1.41----3.00-3.12-3.07-2.11-0.69-0.80-1.61-3.52-0.96-0.66-1.20-0.510.630.89--1.25-1.85
2.522.532.582.552.642.662.592.462.452.492.713.193.553.763.964.194.104.043.994.114.244.24-4.614.827.968.318.549.19-9.769.889.9210.03--10.1210.39---12.8314.3715.3016.2116.3517.3918.3419.0120.1320.7821.1721.7022.4122.84-22.33-23.28
0.340.180.670.600.470.670.12-0.08-0.070.13-0.27-0.22-0.13-0.100.740.830.240.370.320.290.13-0.11-0.18-0.09-0.080.380.271.381.391.171.431.961.561.060.000.000.350.180.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
0.330.180.320.600.470.320.05-0.22-0.300.05-0.29-0.31-0.15-0.100.620.800.240.350.320.280.130.480.300.07-0.090.02-0.06-0.11-0.200.23-0.680.570.360.62---0.480.09---------------------