Nissan Motor Financial Ratios for Analysis 2009-2024 | NSANY

Fifteen years of historical annual and quarterly financial ratios and margins for Nissan Motor (NSANY).

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
1.861.681.681.541.321.501.731.621.591.611.661.671.591.451.450.29
0.450.430.450.500.420.430.470.470.420.420.440.430.420.390.43-
1.211.251.421.751.791.431.361.501.361.271.211.171.111.561.6313.74
16.2916.1716.0713.3614.5416.4517.8819.6019.6318.7617.6116.6917.3918.4418.24-
4.483.562.94-1.92-0.412.754.816.336.515.184.755.445.806.004.00-
4.483.562.94-1.92-0.412.754.816.336.515.184.755.445.806.004.00-
9.8310.1111.117.108.3610.5212.2513.5113.3412.0611.2211.5711.7113.3412.94-
4.723.804.56-4.32-5.804.135.958.246.016.045.055.375.635.471.88-
3.362.092.56-5.71-6.792.766.255.664.304.023.713.563.633.640.56-
0.640.600.510.480.580.610.640.640.700.670.710.750.850.820.74-
5.175.225.185.986.307.697.607.407.697.057.507.137.637.957.66-
1.611.531.291.201.421.441.451.461.651.601.822.002.373.192.94-
227238283304257254252250222229201183154114124-
6.954.304.75-9.95-15.066.0813.4213.5610.759.348.879.0910.9510.012.30-90.30
7.154.434.86-10.24-15.466.2313.7413.9011.039.559.059.3711.3510.442.426.01
2.261.371.46-2.63-3.921.804.073.803.182.882.822.893.413.050.68-9.58
3.802.472.61-5.00-8.723.467.177.166.225.404.995.206.356.141.30-90.30
23.8721.2122.8720.8520.8125.8726.1824.5718.9922.7722.2923.5220.91---
3.434.623.856.365.586.684.936.213.673.013.472.264.233.856.112.19
0.603.032.334.331.882.04-0.340.57-1.38-1.15-1.35-2.670.091.034.261.62

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.861.751.801.701.681.731.701.751.681.651.591.571.541.561.561.421.321.451.461.501.501.541.581.711.731.731.711.621.621.621.701.591.591.531.591.621.611.691.661.661.661.731.771.691.671.55-1.561.591.601.581.561.451.491.481.461.451.491.351.331.32
0.450.420.430.430.430.420.430.450.450.460.460.470.500.520.530.480.420.410.410.430.430.440.440.470.470.490.490.470.470.490.470.430.420.400.410.420.420.440.430.430.440.450.440.430.430.42-0.420.420.420.410.400.390.400.430.410.430.430.430.440.47
1.211.191.161.231.251.231.291.341.421.521.571.641.751.902.081.961.791.461.421.411.431.461.401.361.361.571.531.531.501.641.461.401.361.391.301.301.271.341.241.241.211.301.191.211.171.65-1.551.111.601.531.481.561.491.691.521.631.591.701.831.98
13.8716.2518.1917.0615.2516.6717.0415.9215.4115.6016.8516.5314.1714.7213.718.4013.6413.7216.3914.2116.4016.4316.6516.3118.3416.7618.4517.8719.9519.5919.9018.8720.2119.5320.0718.5921.2017.9418.1217.5218.4916.7117.5817.44100.0015.69100.0016.9817.4916.6117.5618.1916.9817.3918.5720.7018.0919.8118.4617.049.81
2.514.566.624.412.904.693.633.04-5.942.3612.583.77-0.851.22-0.25-13.11-4.020.911.140.070.113.393.594.026.122.874.445.556.945.556.156.626.346.406.636.685.245.305.204.976.193.124.514.84100.002.81100.007.853.665.797.407.113.645.4210.358.19-1.128.305.14-2.21-24.43
2.514.566.624.412.904.693.633.04-5.942.3612.583.77-0.851.22-0.25-13.11-4.020.911.140.070.113.393.594.026.122.874.445.556.945.556.156.626.346.406.636.685.245.305.204.976.193.124.514.84100.002.81100.007.853.665.797.407.113.645.4210.358.19-1.128.305.14-2.21-24.43
-------------------------------------------------------------
4.452.107.864.434.253.342.684.942.352.994.698.49-0.69-0.19-0.85-25.94-29.050.392.961.130.484.515.815.906.474.296.186.7410.916.517.577.463.796.616.617.385.955.646.615.976.034.264.535.15100.003.74100.005.085.025.076.376.291.776.336.747.691.454.362.60-1.95-14.39
2.820.946.063.623.371.780.692.200.491.482.795.70-3.31-1.70-2.31-24.32-30.02-1.042.240.270.022.314.634.264.9810.494.904.897.264.485.485.142.284.235.705.273.503.464.664.553.583.344.273.673.832.454.403.382.783.554.314.081.573.814.485.20-0.542.251.36-1.09-15.81
0.170.170.170.160.180.170.140.130.130.140.120.130.150.140.120.070.140.140.150.130.160.160.150.150.180.150.150.150.180.160.160.160.190.170.180.170.180.180.180.170.210.170.190.170.190.18-0.200.240.220.220.200.230.210.230.210.210.210.190.150.17
1.421.261.261.291.591.331.141.141.371.451.221.381.891.561.480.891.531.501.591.471.971.721.531.762.191.401.451.562.101.571.631.682.101.651.761.631.831.661.641.562.231.521.701.54-1.35-1.522.221.701.821.632.331.661.971.842.301.922.001.602.41
0.430.420.410.400.460.420.360.320.340.360.320.330.380.360.310.190.340.340.350.320.370.380.340.330.420.350.350.350.420.380.390.390.450.400.410.400.430.440.440.440.550.470.510.470.500.60-0.690.680.820.860.780.920.830.930.830.840.830.660.600.68
210214218226195212248284267249281276235249288485264262254285244239265274215260258261216239230228199224218227211204204206164193177193181150-13113311010511598.0210897.11108108109136151132
1.780.333.121.851.971.010.410.980.310.801.322.71-1.77-0.80-1.02-7.01-17.670.771.160.190.121.342.352.133.115.432.712.714.952.853.343.001.692.573.352.922.282.172.692.512.542.092.572.082.311.64-2.191.732.573.032.551.212.523.713.44-0.381.530.89-0.60-10.75
1.840.343.201.912.031.040.421.000.320.821.352.78-1.82-0.83-1.05-7.21-18.140.781.190.190.131.382.402.183.195.562.782.785.072.933.433.081.732.633.432.982.332.222.742.572.592.132.622.122.381.69-2.271.792.673.152.651.262.633.893.60-0.401.610.94-0.64-11.48
0.580.111.050.600.630.330.130.310.100.240.390.77-0.47-0.20-0.25-1.80-4.600.230.350.060.040.400.710.650.941.550.760.761.390.760.950.880.500.771.040.900.700.660.860.800.810.660.840.670.740.50-0.670.540.800.950.800.370.791.041.07-0.110.470.26-0.16-2.76
0.980.191.791.061.130.590.230.540.170.430.711.44-0.89-0.39-0.48-3.64-10.230.450.680.110.070.761.321.141.662.761.381.432.611.461.771.700.981.531.971.681.321.201.541.421.431.141.441.181.320.95-1.281.001.481.801.530.741.522.112.02-0.220.870.51-0.33-5.74
23.8722.3622.2622.3221.2120.1920.5721.1022.8721.1019.6920.8820.8519.7919.1919.2720.81-25.9225.5325.8725.6626.5826.8226.1825.5024.7323.8524.5723.0722.8621.8818.9920.9020.8220.9222.7721.4222.3221.6622.2921.6520.9820.19-----------------
3.431.760.960.514.622.771.890.693.852.741.470.986.364.733.510.105.583.812.781.286.683.422.421.524.931.111.540.516.213.312.631.483.671.611.220.443.011.191.09-0.133.470.751.020.302.26-0.810.00-0.224.241.761.671.010.000.001.400.986.104.453.811.572.19
0.60-0.25-0.49-0.363.032.091.600.392.331.430.360.384.333.312.50-0.441.880.860.690.152.040.210.300.47-0.34-2.89-1.25-0.850.57-0.69-0.210.11-1.38-2.00-1.08-0.70-1.15-1.65-0.99-1.10-1.35-2.80-1.32-0.80-2.67-2.70--1.490.09-1.02-0.150.13--0.110.384.253.203.141.111.62