Nabors Industries Financial Ratios for Analysis 2009-2024 | NBR

Fifteen years of historical annual and quarterly financial ratios and margins for Nabors Industries (NBR).

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
1.361.682.862.201.901.921.571.411.471.752.102.771.711.213.58
0.820.830.820.700.620.570.580.520.460.470.390.420.440.360.43
5.804.734.542.361.631.301.371.100.850.880.650.740.830.830.76
41.3037.5736.2637.5836.8235.1433.0333.0237.4633.8436.2834.0138.9042.5043.90
4.23-9.21-24.17-33.04-19.29-17.02-22.61-59.69-11.28-8.881.704.198.427.031.95
10.31-2.54-15.68-23.38-12.60-9.57-13.92-50.46-6.48-6.275.277.9912.6113.569.48
31.7522.6919.7218.0617.1119.9820.11-6.5719.3810.7123.3324.0829.0334.4331.39
4.23-9.21-24.17-33.04-19.29-17.02-22.61-59.69-11.28-8.881.704.198.427.031.95
-0.39-13.12-28.38-38.41-23.58-21.43-21.31-51.30-9.83-9.852.242.494.062.27-2.42
0.580.560.370.390.450.390.310.250.400.570.510.520.470.360.33
12.1113.0210.188.3010.9411.9410.3312.9815.4219.5818.9817.3913.7015.1119.65
8.778.157.025.886.744.033.673.954.834.494.464.793.883.744.88
41.6344.7851.9962.0454.1590.5799.3792.4575.5481.3481.7576.2694.0497.6174.82
9.21-57.23-75.63-60.70-33.19-21.75-16.92-31.07-7.67-13.612.653.916.204.792.56
9.21-57.23-75.63-60.70-33.66-23.30-17.98-32.75-7.98-14.112.904.256.815.282.65
0.95-6.50-9.84-13.86-10.07-7.61-5.92-12.35-3.45-5.641.301.842.692.201.25
1.63-9.99-13.66-18.05-12.64-9.44-7.14-14.80-4.15-7.231.602.253.493.041.45
57.6957.0187.621722823854675737648501,0131,026974935911
69.6456.3156.3849.5597.3548.7111.1896.19151306239267249191282
10.5914.3525.6121.8536.52-19.91-91.1624.68-1.86-6.7840.467.54-100.2030.4791.37

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
1.881.821.781.361.821.801.871.681.731.761.842.862.562.052.112.202.392.202.171.902.021.902.111.922.052.041.951.571.411.341.451.411.361.371.451.471.641.611.881.751.972.132.172.102.632.452.862.772.762.001.981.711.802.491.221.211.131.023.723.583.152.732.52
0.840.830.830.820.820.810.810.830.810.810.790.820.790.750.720.700.710.680.670.620.600.590.580.570.560.550.610.580.570.550.530.520.490.480.480.460.450.430.430.470.420.390.390.390.410.410.420.420.440.430.440.440.420.430.360.360.370.310.420.430.440.450.45
5.445.014.815.804.564.234.404.734.344.333.834.543.693.012.572.362.422.172.061.631.501.451.391.301.261.241.561.371.351.221.151.100.970.940.920.850.830.760.770.880.720.650.640.650.690.690.730.740.800.820.820.830.770.750.810.830.860.710.730.760.790.840.86
41.9240.7541.2542.4339.8341.5141.4040.5738.1536.0834.4636.1335.8236.1437.0638.6038.2139.0735.4239.0537.1635.6535.6334.2836.1034.9035.2933.5033.3933.7831.1838.5141.0734.0015.2635.8336.2243.4235.3433.0634.8134.3133.1535.7136.6734.0438.5037.7732.4030.1535.6838.9937.9538.8040.0141.7342.1042.9543.6439.0446.3948.3041.78
-3.090.340.953.13-2.795.4810.66-4.161.13-9.59-28.31-16.72-21.53-33.86-25.68-14.57-34.36-24.91-49.86-36.05-10.03-23.50-9.09-18.49-10.70-22.66-16.34-19.44-20.23-21.41-30.76-72.83-24.78-44.04-104.17-32.29-40.842.847.29-50.989.044.794.016.40-8.672.376.369.053.68-8.3411.538.227.648.029.9717.39-3.315.825.8111.504.75-23.7013.77
4.367.277.729.903.1311.4116.381.597.40-2.80-20.06-8.52-13.48-25.34-16.38-3.84-22.39-15.36-42.21-29.18-3.25-16.83-2.62-11.57-4.09-14.67-7.98-11.39-11.98-12.73-20.72-64.01-15.78-35.30-93.55-25.60-35.377.9910.57-48.5311.427.646.839.33-5.066.4610.0613.107.57-4.3914.9311.7611.1712.7315.2423.102.8913.0113.2620.8713.04-16.1819.64
---------------------------------------------------------------
-3.090.340.953.13-2.795.4810.66-4.161.13-9.59-28.31-16.72-21.53-33.86-25.68-14.57-34.36-24.91-49.86-36.05-10.03-23.50-9.09-18.49-10.70-22.66-16.34-19.44-20.23-21.41-30.76-72.83-24.78-44.04-104.17-32.29-40.842.847.29-50.989.044.794.016.40-8.672.376.369.053.68-8.3411.538.227.648.029.9717.39-3.315.825.8111.504.75-23.7013.77
-8.50-5.32-5.591.10-7.69-0.365.09-8.64-1.97-13.53-32.44-20.91-23.36-40.06-30.48-25.05-36.82-28.32-55.30-37.30-16.29-26.93-15.08-24.17-15.28-26.68-19.63-16.40-22.42-21.09-26.45-62.24-21.39-35.71-92.46-23.59-36.41-4.268.69-49.925.853.973.149.37-6.80-0.306.131.824.62-4.537.28-5.874.5214.235.913.91-3.674.814.48-6.683.67-21.9810.95
0.160.160.160.140.160.170.170.160.150.130.120.100.100.100.090.080.080.090.110.110.100.100.100.100.100.090.090.080.080.080.070.070.060.060.050.070.080.080.130.150.140.130.130.130.130.120.130.120.130.130.140.130.130.110.120.110.090.090.080.070.070.080.10
3.042.982.922.873.062.993.213.573.353.352.822.752.462.121.881.711.651.962.652.472.552.783.143.082.982.852.732.843.713.863.543.202.162.252.372.892.922.664.835.194.874.935.464.924.284.144.053.794.304.324.463.854.374.144.314.744.384.815.064.283.733.394.65
1.932.021.782.122.292.622.572.352.312.271.911.891.851.571.391.231.261.541.571.581.231.051.091.031.000.971.001.021.071.081.091.061.031.030.720.880.930.951.461.181.121.121.091.151.141.101.131.111.071.001.071.091.181.141.131.161.081.191.220.981.141.111.17
46.5844.6450.4342.4339.3034.3735.0238.3039.0139.6247.0347.6048.5357.4264.6073.1371.4158.6157.2256.9672.9885.9782.6887.6589.6692.5589.8688.6384.4583.1982.2084.8587.2287.7412410296.5394.7161.4976.5180.6480.3082.4278.4179.1081.9679.8081.3584.0489.9683.9182.4176.5779.3079.7877.8383.5575.6573.8492.1678.6180.7476.85
-7.18-2.60-1.720.71-5.702.7410.48-10.83-0.75-11.64-25.66-15.20-13.88-20.32-11.38-8.27-10.79-9.15-22.81-13.88-4.26-7.85-3.90-6.02-3.16-6.32-5.25-3.90-4.08-3.76-4.63-10.14-2.72-5.01-10.13-3.75-5.56-0.852.50-18.021.741.080.822.15-1.550.471.542.091.10-1.722.451.691.551.251.733.74-0.600.840.832.861.04-3.832.48
-7.18-2.60-1.720.71-5.702.7410.48-10.83-0.75-11.64-25.66-15.20-13.88-20.32-11.38-8.27-10.79-9.15-22.81-14.07-4.43-8.15-4.19-6.45-3.36-6.70-5.60-4.15-4.33-3.97-4.89-10.69-2.85-5.25-10.58-3.90-5.75-0.872.54-18.681.911.180.902.35-1.690.521.682.271.20-1.882.681.851.701.371.904.12-0.660.870.852.951.07-3.962.57
-0.73-0.28-0.190.07-0.660.361.30-1.23-0.09-1.46-3.60-1.98-2.24-3.78-2.44-1.89-2.52-2.31-5.93-4.21-1.37-2.57-1.33-2.11-1.18-2.35-1.73-1.37-1.47-1.43-1.82-4.03-1.16-2.16-4.43-1.69-2.53-0.401.17-7.470.810.530.401.06-0.740.230.730.980.50-0.771.080.730.710.590.801.72-0.270.420.411.390.50-1.781.13
-1.12-0.43-0.300.13-1.020.521.94-1.89-0.14-2.18-5.31-2.74-2.96-5.06-3.19-2.46-3.15-2.88-7.44-5.29-1.70-3.21-1.63-2.61-1.40-2.83-2.05-1.65-1.73-1.69-2.16-4.83-1.38-2.58-5.29-2.03-3.04-0.491.42-9.581.010.650.501.30-0.920.280.891.200.61-0.971.380.950.900.711.112.38-0.380.580.481.620.58-2.121.35
48.2452.5254.8057.6957.8761.9961.0557.0163.3163.7972.5387.621011161521721862072252823223383653854154324314675125385575736356576947647968468548501,0151,0151,0041,0139891,0061,0161,0261,0089871,003974981986954935915916923911913892886
46.9531.3811.6969.6449.8435.0815.6156.3133.0917.864.9856.3841.2928.5811.1949.5535.0928.618.3997.3561.1938.849.9648.7110.9811.78-13.2311.18-6.46-1.71-10.4496.1973.1460.8729.2715110690.4353.6730621114174.3323916511230.4726718712341.8524919014849.7019112081.0838.3828222617888.81
7.886.180.2810.595.386.423.5814.353.190.14-5.1625.6118.5412.795.4421.8513.4213.47-0.0436.529.12-0.20-10.15-19.91-37.41-20.12-28.45-91.16-86.82-58.31-43.4524.6821.6525.935.73-1.86-24.47-8.61-9.97-6.78-16.93-2.768.0440.4632.8727.77-9.567.54-21.83-44.08-39.34-100.20-72.69-22.65-11.5630.477.2217.3312.4591.3764.7252.3519.84