NGL Energy Partners LP Financial Ratios for Analysis 2009-2024 | NGL

Fifteen years of historical annual and quarterly financial ratios and margins for NGL Energy Partners LP (NGL).

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
2024202320222021202020192018201720162015201420132012201120102009
1.211.161.211.110.921.452.071.581.461.471.321.161.371.531.51-
0.860.790.820.780.640.490.560.580.630.500.520.450.330.580.15-
6.363.724.693.501.810.951.281.381.721.011.070.840.541.400.20-
14.2312.0210.1714.0312.928.139.933.777.695.025.848.577.134.823.713.89
2.553.331.04-7.48-0.041.462.691.62-0.890.641.101.981.151.180.911.28
2.553.331.04-7.48-0.041.462.691.62-0.890.641.101.981.151.180.911.28
6.626.674.90-1.143.614.015.863.151.231.892.473.732.461.841.431.76
-2.020.61-2.30-12.26-2.38-0.90-0.300.76-1.600.280.511.130.650.930.831.11
-4.07-0.84-3.63-14.01-7.722.85-1.880.84-2.10-0.050.351.020.601.080.490.67
1.391.591.310.881.171.471.132.012.112.522.341.931.755.736.59-
45.5853.6428.4128.3694.8458.6411.3621.7829.4736.1029.4531.8312.8870.4197.24-
8.538.317.027.1113.088.596.7415.7421.8816.1110.967.5415.1921.1819.78-
42.7943.9251.9751.3527.9042.4754.1423.1916.6822.6633.3248.3924.0317.2318.45-
-143.5412.53-50.29-106.27-13.01-3.83-1.194.38-11.041.863.185.421.9421.377.82-
12.71-5.2315.8060.2020.74-21.6870.98-21.1224.29-51.69-16.83-44.948.8837.4410.00-
-2.850.96-3.03-10.72-2.78-1.35-0.371.50-3.370.751.182.101.056.183.25-
-4.351.45-4.53-14.94-3.70-1.79-0.471.85-4.060.931.542.961.308.966.63-
3.385.815.467.3113.4718.2817.1618.0116.2525.9219.2916.5714.054.332,367-
2.853.401.592.363.642.741.14-0.223.353.041.383.214.440.300.381.12
1.692.270.490.91-0.72-0.960.03-3.31-2.960.40-1.291.454.070.140.351.09

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-03-31
1.211.151.211.231.201.201.161.021.361.261.211.271.271.201.111.271.161.100.920.991.181.421.451.251.082.142.071.691.561.631.581.621.571.461.461.541.501.461.471.291.471.331.321.201.271.131.161.251.131.081.371.231.151.431.53-----
0.940.930.860.760.770.780.790.780.820.820.820.820.820.820.780.730.670.670.640.600.570.550.490.450.430.600.560.600.600.560.580.620.610.590.630.580.550.540.500.550.510.450.520.500.410.480.450.480.410.390.330.240.090.090.58-----
16.8914.146.363.123.413.563.724.034.664.604.694.594.494.423.502.752.041.991.811.501.351.200.950.961.061.471.281.481.541.301.381.671.571.431.721.371.251.161.011.231.060.811.070.990.690.930.840.950.810.750.540.570.500.111.40-----
17.1115.4313.9114.1014.2714.6513.5813.0412.219.717.6810.2013.0311.0110.2412.5317.4019.8217.3413.0711.929.728.8010.753.342.543.142.713.082.732.335.243.843.7110.689.375.876.108.935.283.743.145.316.106.595.988.399.997.218.4111.196.564.092.556.286.322.531.30--
5.755.40-5.055.444.674.461.494.803.423.491.522.263.70-4.66-3.99-23.693.11-1.28-10.554.331.672.544.516.290.28-1.450.222.31-3.09-0.242.260.66-1.185.12-8.783.070.57-0.033.170.400.14-0.561.581.500.62-0.532.083.751.64-4.623.781.84-2.16-2.982.442.32-0.95-1.44--
5.755.40-5.055.444.674.461.494.803.423.491.522.263.70-4.66-3.99-23.693.11-1.28-10.554.331.672.544.516.290.28-1.450.222.31-3.09-0.242.260.66-1.185.12-8.783.070.57-0.033.170.400.14-0.561.581.500.62-0.532.083.751.64-4.623.781.84-2.16-2.982.442.32-0.95-1.44--
------------------------------------------------------------
0.270.41-14.422.461.551.22-1.612.750.210.92-1.09-0.88-0.08-9.07-13.15-26.100.45-4.03-13.302.24-0.830.462.674.28-0.50-2.81-0.720.74-4.24-1.54-0.640.07-2.176.73-8.841.91-0.28-0.693.43-0.16-0.33-1.071.100.90-0.04-1.291.453.040.89-7.433.281.33-2.57-3.552.131.95-1.11-1.39--
-2.09-1.38-16.700.55-0.36-0.90-3.301.22-1.34-0.19-2.24-2.08-1.55-10.70-14.45-27.62-1.55-6.79-15.991.02-12.09-6.471.143.536.47-3.231.860.92-4.88-1.970.47-0.23-2.476.37-8.771.04-0.81-1.262.92-0.50-0.56-1.350.920.72-0.21-1.391.312.930.83-7.583.181.29-2.57-3.542.121.94-0.70-0.88--
0.280.290.320.350.330.300.380.360.330.400.420.360.290.250.290.250.190.130.260.310.270.290.360.390.800.920.800.690.620.610.560.530.500.450.420.410.500.530.480.660.820.860.960.610.530.590.710.550.560.170.590.620.800.961.90-----
5.787.3910.727.976.307.4312.427.815.127.489.315.844.775.389.937.545.284.9819.9610.535.153.2514.223.587.289.498.696.576.586.446.155.265.635.025.655.887.366.796.648.055.509.4612.145.814.196.2511.685.153.981.564.122.381.883.5022.96-----
1.861.842.001.841.571.791.961.881.761.902.242.072.011.752.382.372.571.922.902.321.802.032.102.253.705.294.794.084.595.704.384.345.114.454.334.594.453.833.092.673.654.044.492.482.632.482.762.242.920.935.093.993.813.947.02-----
48.5148.9145.0448.8557.3350.4045.9647.9451.0747.3640.2143.5744.7551.5637.7737.9435.0446.8631.0438.8049.9944.4042.8639.9424.3617.0218.7722.0719.6115.7820.5720.7517.6020.2320.7719.6220.2523.5029.1433.7424.6722.3020.0436.2934.1736.3532.5840.1230.8197.1317.6922.5623.6322.8112.83-----
-2.08-7.80-237.438.936.064.46-7.9213.050.925.94-8.03-4.80-0.29-32.43-38.22-45.060.47-2.59-16.072.88-0.920.472.794.60-1.19-8.88-1.911.79-9.26-2.88-1.040.07-3.419.09-12.222.10-0.25-0.974.13-0.24-0.69-2.242.821.56-0.07-2.072.514.601.25-3.073.361.74-5.35-6.2313.96-----
-0.25-0.7821.02-5.41-3.11-2.033.31-5.77-0.33-2.062.521.650.1011.5121.6543.50-0.663.6825.62-5.754.9013.7115.7946.27-18.17154113-8.0234.5416.085.03-0.199.48-29.9026.87-15.262.5918.62-114.563.22-5.18205-14.90-11.261.6111.49-20.83-34.70-17.3890.2315.383.64-6.83-7.6224.45-----
0.070.22-4.720.850.500.37-0.611.000.060.37-0.48-0.31-0.02-2.28-3.85-6.390.10-0.53-3.430.68-0.230.140.981.63-0.41-2.61-0.580.50-2.65-0.95-0.360.02-1.103.04-3.720.78-0.09-0.381.67-0.08-0.24-0.941.040.54-0.03-0.740.971.660.50-1.301.820.85-2.06-3.414.03-----
0.100.32-7.191.290.790.54-0.921.580.090.56-0.72-0.46-0.03-3.25-5.37-8.510.12-0.68-4.570.96-0.320.191.302.32-0.62-3.24-0.750.65-3.31-1.15-0.440.03-1.333.75-4.490.89-0.11-0.452.05-0.11-0.33-1.241.360.79-0.04-1.081.372.370.73-1.882.251.32-4.87-5.695.86-----
1.401.613.386.496.175.965.816.095.665.635.465.725.885.887.319.2212.4912.8113.4715.9916.0117.0518.2818.6519.2316.9317.1616.3516.3818.3618.0117.8318.2119.2816.2523.0423.6224.6325.9225.2726.1420.3919.2919.3618.4815.7616.5716.5617.9217.9914.0513.296.827.354.33-----
-0.09-0.142.851.690.990.423.401.54-0.240.021.590.21-0.06-0.042.361.441.120.623.612.58-0.040.562.660.92-0.72-0.340.940.030.100.01-0.22-1.07-0.52-0.553.352.761.660.793.040.92-0.700.121.380.95-0.830.483.21-0.04-1.04-1.694.44-0.56-3.57-1.740.30-2.80-2.81-604.940.000.00
-1.22-0.591.690.790.380.152.270.63-0.96-0.290.49-0.62-0.66-0.400.910.260.09-0.14-0.71-0.72-2.08-0.68-0.93-1.50-2.30-0.940.03-0.63-0.29-0.22-3.31-3.52-2.42-1.64-2.96-1.92-0.46-0.390.40-0.61-1.64-0.54-1.29-0.64-1.97-0.091.45-0.75-1.33-1.774.07-0.72-3.71-1.810.14-2.89-2.84-611.69--