Northrop Grumman Financial Ratios for Analysis 2009-2024 | NOC

Fifteen years of historical annual and quarterly financial ratios and margins for Northrop Grumman (NOC).

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
1.151.081.301.601.131.172.341.221.161.321.631.391.261.371.24
0.480.440.500.570.590.630.670.570.540.450.360.290.280.230.25
0.930.770.991.351.451.702.021.341.160.820.560.410.380.350.34
16.6720.4220.3820.3221.4522.5722.8023.9223.9823.3621.8122.1321.3018.8117.52
6.469.8415.8411.0511.7312.5612.3813.2613.0713.3312.6612.4112.4010.058.22
6.469.8415.8411.0511.7312.5612.3813.2613.0713.3312.6612.4112.4010.058.22
9.8613.5019.3214.4915.4715.2214.2015.1115.0615.2614.6714.4314.4612.0210.21
5.9715.9425.0610.137.5312.4316.2610.8511.8612.2511.6111.7611.678.417.49
5.2313.3819.648.676.6410.7311.038.278.468.637.927.848.027.296.10
0.840.840.840.830.820.800.740.960.960.900.930.951.040.900.91
29.5229.7835.0238.6333.9535.6350.4423.0422.1624.7727.6224.6123.8125.5019.49
5.504.885.135.545.084.655.757.498.288.559.188.828.918.458.15
66.3974.7371.2265.8771.8378.5263.4348.7444.0842.7139.7441.3740.9643.1844.80
13.9031.9754.1930.1425.4939.4440.2338.8536.0428.6018.3820.7920.1814.1711.30
-67.92-189.18-135.57-41.30-20.57-27.23-53.38-28.41-28.68-39.55-107.37-67.81-102.36219-84.20
4.4211.1916.457.175.478.588.177.988.157.797.407.458.216.064.74
7.1918.0627.2512.8410.4114.6313.3316.5916.7115.7211.8014.7114.6210.968.50
98.5699.9882.7163.4552.5447.9940.9730.0430.4636.3748.8139.7740.7146.1841.34
25.4918.6422.1725.6925.2821.9214.8815.5811.2812.2310.6210.427.518.156.60
13.8210.4213.9018.4417.8414.779.6010.498.839.589.069.115.766.205.13

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
1.091.111.131.151.281.201.221.081.141.301.311.301.471.491.461.601.441.351.291.131.291.251.181.171.261.242.522.341.211.111.271.221.131.131.151.161.161.251.351.321.471.551.631.631.661.701.411.391.391.371.321.261.341.351.471.371.161.091.121.241.111.000.97
0.500.510.510.480.460.470.480.440.460.480.490.500.530.530.550.570.580.590.610.590.590.600.610.630.600.640.650.670.490.510.560.570.530.530.530.540.530.510.490.450.370.370.360.360.390.380.290.290.260.270.270.280.250.240.240.230.210.210.210.250.250.220.22
1.001.031.040.930.870.890.910.770.850.940.970.991.121.141.211.351.361.471.581.451.421.501.591.701.531.751.872.020.961.051.271.341.111.121.141.161.131.040.950.820.600.580.560.560.630.620.420.410.360.370.370.380.330.330.310.350.320.330.330.340.380.320.33
21.0721.4421.054.5620.8821.3021.3418.1820.2722.2621.2917.9522.1822.3319.0020.4720.2620.5519.9824.1520.3820.4620.7120.6824.6021.8623.1519.7723.0824.0824.3424.4024.1823.6223.4223.1124.3724.6623.7523.8222.5423.3523.7221.5922.0322.0521.5824.1020.8621.5821.8922.0721.3921.3020.4819.1718.3418.9018.8528.0116.3215.8616.85
11.2010.6710.57-3.6910.3910.1010.189.039.4110.8410.208.5911.9611.4130.8211.2810.8411.1910.8413.0311.2211.1911.4311.5614.5011.4812.599.8612.7413.4913.4513.8713.4213.2812.4112.1013.2813.7913.0912.4812.8513.5814.4512.4712.9412.8112.4312.7211.7412.3412.8412.2812.4812.8212.049.7810.2210.349.8214.967.417.197.80
11.2010.6710.57-3.6910.3910.1010.189.039.4110.8410.208.5911.9611.4130.8211.2810.8411.1910.8413.0311.2211.1911.4311.5614.5011.4812.599.8612.7413.4913.4513.8713.4213.2812.4112.1013.2813.7913.0912.4812.8513.5814.4512.4712.9412.8112.4312.7211.7412.3412.8412.2812.4812.8212.049.7810.2210.349.8214.967.417.197.80
---------------------------------------------------------------
11.8811.2211.16-7.1211.4410.3110.7324.4412.1513.0713.0038.7214.6214.2332.942.9912.8513.5412.22-6.5212.4512.1612.634.9416.8713.7114.8328.1911.9012.5412.297.6712.4912.1711.3510.9112.1912.4811.8211.4811.6012.5213.4411.4811.7911.5011.6612.1511.0811.5912.2012.0211.4212.0111.265.949.509.308.8113.306.996.526.98
10.269.209.32-5.039.598.489.0520.7310.2010.7510.8631.3712.1911.3323.973.2310.8611.3110.07-4.6911.0110.1810.544.3615.3911.0812.4715.589.798.5710.145.589.788.629.348.068.639.018.128.287.908.469.907.768.147.758.018.237.327.658.168.427.867.937.875.457.039.806.7814.655.874.614.90
0.210.210.210.230.220.210.210.230.210.210.210.200.210.220.220.230.200.200.200.210.210.210.210.220.210.190.190.190.250.250.250.260.260.250.250.230.250.240.240.230.240.240.230.230.220.230.240.240.250.250.250.260.260.260.250.220.230.240.230.090.270.280.26
4.795.345.849.165.715.866.568.397.237.538.268.747.788.248.6210.708.498.488.798.458.338.308.359.898.488.0611.9013.215.024.735.206.115.864.715.085.435.285.195.556.276.916.255.716.926.076.595.156.167.916.996.025.815.885.726.236.234.845.134.351.745.626.545.60
1.231.261.221.491.221.201.121.341.071.021.121.241.201.251.271.541.181.191.071.311.071.131.031.261.111.001.321.451.491.511.572.001.681.721.782.001.831.871.902.181.851.841.812.292.032.012.002.272.112.011.922.201.991.891.892.071.691.741.650.832.112.011.80
73.1771.5973.5660.4773.9774.8780.0867.2283.9387.9280.1272.5074.9772.0771.0558.5376.1175.4684.0968.7383.7779.7187.3871.4481.2889.6068.2962.0760.4859.5157.1745.0253.5052.2550.5644.9149.1948.1047.3041.3548.6248.8849.7739.2544.2644.6744.9739.7242.6744.7446.9241.0045.3047.6647.6243.4053.1051.6154.6310842.5944.7750.09
6.966.576.64-3.625.885.245.5613.586.566.937.1920.979.319.2820.863.129.4210.359.58-4.649.599.349.884.3513.679.5910.9414.329.909.3811.697.0010.449.109.898.319.068.607.176.994.784.985.484.505.315.115.165.604.194.484.805.324.354.283.912.283.405.743.241.863.733.023.04
-33.78-26.88-26.3517.67-49.06-34.19-30.69-80.37-22.84-21.75-20.03-52.45-15.80-14.76-28.41-4.27-10.85-10.15-8.183.74-9.24-8.05-7.67-3.00-11.31-6.66-17.59-19.00-10.78-8.49-9.43-5.12-8.99-7.62-8.13-6.62-7.63-8.44-8.47-9.67-18.40-23.23-30.49-26.29-16.13-16.95-16.48-18.27-32.19-29.47-27.61-26.99-88.29-129.6842035.25-39.86-51.50-23.80-13.86-15.49-11.25-10.80
2.121.971.97-1.152.091.781.904.752.142.262.286.362.512.465.300.742.202.312.01-1.002.302.182.170.953.282.112.412.912.432.152.561.442.502.152.321.882.152.161.921.901.892.022.271.811.811.771.892.011.821.902.022.162.072.051.850.971.482.491.380.781.501.221.21
3.493.243.26-1.873.152.772.917.673.553.573.6610.544.394.339.431.333.994.193.72-1.893.963.743.821.615.413.493.814.745.064.575.152.994.954.284.633.854.264.223.683.852.993.163.512.893.253.153.653.963.093.283.503.853.273.232.991.762.694.532.551.402.792.372.38
10197.6496.0498.5610610299.6199.9890.4888.1485.4082.7171.9169.6665.3963.4562.7858.2654.2352.5457.6854.4251.4447.9952.4047.2144.0440.9737.3033.9931.8230.0432.6231.7531.0830.4631.1632.7634.5936.3748.6949.1049.1648.8141.8141.4140.2839.7744.5643.2041.7940.7145.0143.7043.3346.1845.1543.7442.0241.3439.4938.1937.14
12.364.87-4.7325.499.531.43-4.5818.644.19-4.39-3.1222.1713.255.96-0.4025.6916.168.03-5.9025.2810.794.08-5.3521.928.293.64-1.3514.885.740.39-2.4915.587.143.00-0.3311.282.82-0.14-3.2612.235.270.79-1.8210.625.501.390.0010.426.283.03-0.417.512.84-0.54-0.408.153.580.29-1.736.603.752.02-0.52
5.860.87-6.5413.823.12-2.60-6.6010.42-0.34-7.64-4.6713.909.523.61-1.6618.4411.214.80-7.5117.846.120.93-7.0114.773.800.76-3.099.602.03-2.08-3.7210.493.750.40-1.958.831.04-1.34-3.859.583.91-0.03-2.109.064.731.01-0.169.115.502.51-0.725.761.68-1.29-0.826.202.57-0.30-2.075.132.391.11-1.01