NewMarket Financial Ratios for Analysis 2009-2024 | NEU

Fifteen years of historical annual and quarterly financial ratios and margins for NewMarket (NEU).

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
2.852.811.912.872.853.002.632.842.913.073.623.393.152.923.05
0.370.570.510.440.480.610.500.510.560.460.380.510.300.310.32
0.601.321.490.790.941.571.001.051.270.860.611.060.450.450.55
28.6323.1723.2529.5928.7625.5728.9533.0431.7228.4928.6528.5025.8228.6830.28
17.9012.8510.9415.5115.4012.7814.6817.3116.6615.5315.4316.2015.6015.9817.14
17.9012.8510.9415.5115.4012.7814.6817.3116.6615.5315.4316.2015.6015.9817.14
20.7915.8214.5219.6819.4015.9217.2019.5018.6417.3117.4518.1717.6318.1619.29
18.1212.5810.5116.4715.1412.6814.3516.7515.8314.5214.9715.2614.0914.4715.64
14.3610.088.0813.4311.5910.238.6711.8611.129.9711.6110.839.689.8510.61
1.171.150.921.041.161.351.281.451.661.901.721.751.791.691.49
4.223.363.633.534.264.304.084.414.164.795.294.905.174.695.53
6.246.096.015.986.527.276.566.687.437.717.367.457.686.977.12
58.4859.9060.6961.0655.9650.1955.6754.6649.1047.3349.6049.0247.5152.3451.26
36.1036.6725.0535.6137.2347.9131.6650.3861.5655.4042.3458.9937.3836.0335.42
40.8343.9330.0942.9646.1366.3341.6651.4963.3557.7144.1363.8440.1639.7939.28
16.8411.617.4613.9913.4913.8311.1317.1918.5518.9318.2618.7717.2416.6715.83
22.6015.8312.3019.9119.1818.6215.8224.5827.1629.7326.2928.7026.2724.9824.06
11278.5873.5469.5761.0543.8051.0840.7932.4433.8343.7029.9841.0035.0330.12
60.1910.8215.3725.9230.2017.1920.5329.8821.9018.5420.9220.3513.4611.2014.81
55.155.238.0319.2424.8810.717.9617.8011.5613.8316.5217.469.568.718.96

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
2.832.662.862.853.213.273.162.812.762.602.711.913.493.834.032.872.773.382.982.852.952.933.293.003.283.192.932.632.743.433.222.843.173.093.222.913.123.233.163.073.373.393.703.623.523.493.343.393.383.413.093.153.013.003.052.922.982.883.193.052.072.872.81
0.440.490.530.370.450.510.540.570.600.560.530.510.560.540.550.440.460.520.540.480.500.540.590.610.590.580.490.500.490.520.530.510.530.550.580.560.570.420.460.460.440.410.400.380.390.440.500.510.160.220.250.300.320.320.330.310.330.350.310.320.270.380.39
0.800.951.110.600.801.031.171.321.511.261.111.491.281.171.220.790.841.091.160.941.021.151.451.571.451.380.951.000.971.081.131.051.111.211.381.271.350.730.840.860.780.690.660.610.670.821.041.060.210.300.370.450.510.490.500.450.500.550.470.550.580.620.65
33.6430.7631.0527.5330.2328.5528.1826.3121.3121.7623.4218.5122.2123.8728.5528.5732.4923.5532.3426.8429.2830.3228.4926.3525.0224.3526.6125.9328.9729.8731.1029.0734.3734.1934.4331.9632.3130.2732.4028.7028.0229.1328.0927.2528.2229.0230.0926.8529.0827.8530.1323.8926.0525.5527.7427.5528.8128.1430.4729.1434.2230.0427.01
23.3820.6920.2115.7519.8518.1317.7916.0511.3111.5512.576.1410.1411.9815.6214.3219.276.7619.6112.6415.8717.5115.4414.0812.1011.2113.8411.9214.3515.9116.6212.0119.7318.6518.7114.6718.0515.8617.8314.5814.9316.8415.6413.5315.0015.9417.2312.9916.8716.0718.6110.0121.6914.7115.3714.5716.4315.7417.4015.1922.4416.4613.66
23.3820.6920.2115.7519.8518.1317.7916.0511.3111.5512.576.1410.1411.9815.6214.3219.276.7619.6112.6415.8717.5115.4414.0812.1011.2113.8411.9214.3515.9116.6212.0119.7318.6518.7114.6718.0515.8617.8314.5814.9316.8415.6413.5315.0015.9417.2312.9916.8716.0718.6110.0121.6914.7115.3714.5716.4315.7417.4015.1922.4416.4613.66
---------------------------------------------------------------
23.3420.1319.7616.2620.1618.2017.8115.8711.5411.8311.095.209.8311.3515.7714.4622.936.6419.6812.4715.7417.1615.0613.2112.1311.6113.8011.6014.0415.5916.2512.7519.0317.6417.4414.1016.7615.5216.7313.3214.2915.7814.5413.0914.1616.0816.5112.9016.6413.8217.569.7718.5313.2114.4415.0914.3212.8615.8215.5720.8312.5012.77
18.1915.6615.4112.4516.6214.4913.8413.229.059.168.932.988.348.7712.2812.6518.645.4315.279.3612.1713.1411.5811.6010.388.8310.260.7910.8811.4411.769.0913.8212.3112.1211.2211.4410.4511.409.469.6410.749.969.7213.5910.9612.1110.4011.749.4111.836.8212.809.039.7610.739.698.4810.6611.4413.578.278.51
0.230.230.220.280.290.290.300.280.300.310.290.230.260.240.240.270.270.230.290.280.310.320.300.320.310.340.330.330.320.330.350.350.370.380.390.370.420.430.440.450.460.490.450.420.430.460.440.400.440.470.450.410.460.480.450.430.440.460.390.390.420.410.41
0.901.000.971.020.920.910.890.800.921.070.970.941.010.980.980.940.940.891.021.071.061.040.971.001.091.191.071.081.021.081.131.141.031.131.100.931.081.161.101.121.271.331.281.321.331.331.221.161.171.341.251.231.311.311.241.221.281.521.351.481.511.541.54
1.491.431.501.491.561.571.541.501.461.411.431.471.501.481.521.571.561.381.611.591.631.611.531.711.621.611.561.671.691.651.641.631.701.721.621.671.741.791.841.811.801.781.691.801.791.781.691.721.791.831.801.781.811.841.741.791.771.871.851.881.821.781.74
60.5462.7960.0360.4857.7157.3158.5559.8261.5664.0563.1061.1660.0160.8559.3557.3657.6865.2555.8556.5555.1855.7858.9452.6455.6055.9257.8053.8953.3754.6754.9855.0752.8352.4255.4554.0451.7650.1548.7949.6550.0150.4353.1550.1250.1950.5253.2552.3750.2049.1149.8950.7049.6848.8251.8150.3650.8448.1048.7547.8449.4650.4951.75
9.709.049.357.4711.4511.1611.8711.879.479.227.802.266.736.128.608.8013.243.5213.387.3310.7712.5911.5612.8210.379.579.250.689.5110.7512.049.4514.9814.9015.8313.9116.4811.8314.4412.3611.5113.0010.729.4310.5813.8015.9912.898.908.4710.845.8712.829.299.5210.059.559.108.9010.0913.748.529.15
21.7923.6528.108.4413.1312.9814.0214.2311.6911.189.372.718.077.2110.2410.6216.154.4316.839.0913.6616.2915.4317.7513.7112.8011.810.8912.4210.9412.289.6615.2615.2216.2414.3117.0512.1814.9512.8811.9613.5411.189.8311.0914.6317.1613.959.328.9411.526.3013.8210.0510.4111.1010.6310.309.7811.2015.529.8810.95
4.183.543.413.484.864.214.153.762.712.852.600.672.142.102.913.465.101.244.422.663.834.203.463.703.182.983.400.243.513.834.103.225.094.744.704.194.814.555.084.234.425.254.484.074.245.045.224.105.044.445.312.715.884.324.384.654.243.914.154.515.643.353.52
5.404.644.434.676.355.515.485.133.774.073.701.112.952.823.874.927.191.696.203.785.345.854.714.984.234.034.730.344.825.185.654.617.096.756.646.147.026.857.836.636.477.706.455.866.427.757.936.277.466.578.084.128.676.356.406.976.415.946.116.8610.075.315.58
14212912011210193.1085.3778.5867.6171.5674.1273.5472.6577.7174.1569.5766.2558.1658.4461.0556.2552.6648.1043.8049.4648.1855.5551.0853.0249.2544.8040.7940.2536.4833.0132.4431.3939.9535.5933.8339.4640.6141.6943.7040.6635.0431.4129.9853.4648.5145.8241.0041.5240.6737.6235.0333.4930.4431.4930.1227.1223.6620.63
34.9722.7810.7660.1942.4027.4011.4010.821.602.400.6615.3713.409.554.5325.9219.848.655.7930.2020.8913.491.7117.198.875.650.8520.5315.037.832.8929.8821.9515.906.2721.9015.459.934.5618.5412.886.640.3420.9215.699.242.0320.3513.827.274.7113.468.803.401.1611.207.324.932.8214.8112.7710.156.34
30.5019.809.3455.1538.7624.6810.175.23-2.45-0.34-0.578.037.485.472.6519.2416.164.973.9824.8817.5611.410.7910.714.031.99-1.087.964.800.63-1.0317.8013.3510.463.8711.568.555.892.9113.839.785.02-0.3816.5212.146.840.8217.4611.936.014.159.565.670.89-0.578.715.573.722.388.9611.039.165.81