Nucor Financial Ratios for Analysis 2009-2024 | NUE

Fifteen years of historical annual and quarterly financial ratios and margins for Nucor (NUE).

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
3.573.392.483.613.343.082.422.724.233.073.272.792.803.904.22
0.230.250.250.320.280.290.260.310.360.350.360.300.320.370.29
0.310.340.390.480.410.420.420.530.560.570.560.460.560.590.41
22.5130.1230.2211.0611.8617.1412.6912.506.788.767.407.799.404.951.38
17.9525.0625.374.968.4213.269.298.822.496.174.875.297.132.85-1.76
17.9525.0625.374.968.4213.269.298.822.496.174.875.297.132.85-1.76
21.3127.6227.748.8611.6716.1312.8813.066.759.618.088.4210.086.533.30
18.0724.6825.224.157.8912.888.648.011.475.444.154.396.251.69-3.70
12.9918.2518.633.565.609.386.494.900.483.212.552.593.870.83-2.64
0.981.281.411.001.231.401.281.061.151.351.251.371.371.140.89
4.825.324.245.025.184.565.115.726.837.016.777.719.139.678.41
11.7511.569.478.7610.4610.009.989.9311.8810.2010.5211.3811.7011.0010.03
31.0531.5738.5641.6634.9036.4836.5636.7430.7235.7734.7032.0731.1833.1736.40
22.2141.2948.777.4412.7024.3215.2010.912.469.647.407.5211.172.81-3.13
32.6565.5466.7310.0317.4734.5123.1116.883.8115.1311.5712.0516.914.45-4.86
13.9024.8827.584.157.4713.848.725.911.354.993.854.195.911.48-1.89
17.0730.8636.405.079.0917.1911.207.511.586.264.775.267.591.78-2.22
90.3477.2053.6137.1635.7533.3828.5725.9024.6925.3124.8524.8224.3323.2124.09
28.4038.2721.248.899.207.563.295.476.764.193.383.773.252.743.73
19.6230.9915.773.944.504.561.973.645.692.22-0.270.951.951.752.52

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.934.023.573.723.823.743.393.102.622.882.482.533.113.503.613.784.393.543.343.363.563.373.083.153.052.492.422.112.162.422.723.533.383.874.233.503.643.853.073.153.223.333.273.252.982.792.792.292.352.692.802.923.353.523.903.903.433.544.223.965.195.52
0.210.230.230.240.240.250.250.260.270.270.250.260.290.310.320.340.330.290.280.280.280.290.290.290.300.260.260.270.270.310.310.350.350.360.360.350.350.360.350.350.350.360.360.360.300.300.300.300.300.320.320.340.360.360.370.330.290.290.290.290.290.28
0.320.320.310.310.320.330.340.360.410.420.390.410.420.450.480.520.510.410.410.400.400.410.420.420.440.410.420.500.500.520.530.540.550.560.560.550.550.560.570.550.560.560.560.560.440.470.460.550.550.550.560.560.560.580.590.500.410.410.410.410.400.39
14.7818.7218.0921.8926.2722.9424.0427.0834.8032.9633.9933.0328.1423.1213.6610.198.7311.198.4810.4813.1514.6917.6719.1418.0613.0510.2211.2013.7115.7911.2115.9013.788.48-2.4512.408.876.559.1210.527.867.387.888.276.716.668.637.267.847.507.258.7212.718.771.884.607.345.827.533.82-2.50-4.67
10.9814.4713.4817.4921.5118.4718.0322.4430.0227.9629.0427.9223.2318.884.766.705.343.344.027.569.6111.7314.3414.0314.439.766.927.8610.4212.127.2611.969.985.52-11.899.455.913.726.587.845.354.775.485.744.074.115.924.885.045.395.386.3910.166.480.792.454.773.294.720.73-5.93-7.96
10.9814.4713.4817.4921.5118.4718.0322.4430.0227.9629.0427.9223.2318.884.766.705.343.344.027.569.6111.7314.3414.0314.439.766.927.8610.4212.127.2611.969.985.52-11.899.455.913.726.587.845.354.775.485.744.074.115.924.885.045.395.386.3910.166.480.792.454.773.294.720.73-5.93-7.96
--------------------------------------------------------------
11.1215.0613.9917.6421.5218.3317.5822.1229.5927.6229.0227.8223.0518.504.145.894.182.603.476.969.0711.3113.9313.6814.149.276.337.179.8211.406.4511.299.184.56-12.958.384.962.715.877.094.574.064.855.023.273.374.943.994.244.444.645.419.345.51-0.271.403.711.753.06-0.69-8.10-10.61
7.9510.3410.1612.9615.2813.0114.3416.0721.6219.8921.6120.5417.0713.357.553.902.500.352.085.006.518.2010.239.9910.536.347.514.916.227.394.007.105.742.35-9.815.362.851.533.504.292.772.173.472.981.821.853.072.292.192.852.833.445.853.29-0.310.562.160.831.99-0.96-5.40-7.16
0.240.240.220.260.290.270.270.330.370.370.400.410.380.330.260.250.230.310.280.300.330.340.350.380.370.350.320.310.320.300.260.280.280.260.240.280.290.300.320.370.350.340.320.330.340.320.310.320.350.340.330.350.350.340.280.310.330.290.230.250.200.21
1.311.181.131.311.251.201.221.271.171.131.141.221.211.241.271.361.171.291.221.201.201.171.141.331.281.311.321.301.341.321.421.541.601.691.581.571.751.711.661.901.781.741.731.861.911.781.752.011.962.082.252.192.012.252.432.391.992.122.072.292.001.47
2.592.582.612.562.462.382.432.502.482.552.692.522.592.482.292.332.292.472.382.362.462.462.512.562.452.352.512.452.492.432.422.322.372.492.502.462.432.572.422.542.552.692.702.582.642.542.612.672.662.832.822.862.782.842.682.822.952.812.632.702.582.84
34.6934.9234.5035.1536.6237.8437.0536.0036.2435.2633.4735.6734.8136.2839.3338.7139.2936.3737.8838.0836.6236.6635.8235.1936.7438.3335.8536.8036.2037.0237.1238.8237.9436.1936.0336.5637.0035.0037.2035.4235.2333.4833.3034.9434.0935.4334.5233.7333.8531.7931.8831.5032.3731.7433.6331.9330.4732.0734.1933.3634.8731.66
3.274.413.955.687.586.186.789.5615.2813.8016.0215.9412.368.333.792.081.250.511.242.703.855.056.686.947.334.084.353.013.924.462.124.103.431.57-4.063.332.001.072.573.422.101.652.412.271.371.422.031.651.792.102.052.614.192.430.120.671.420.551.14-0.07-1.66-2.42
4.846.515.808.4611.499.6610.7615.6225.9918.2921.9322.2515.9711.005.112.841.720.711.713.715.347.079.479.9010.686.106.614.676.127.103.286.255.272.45-6.285.123.121.684.045.263.252.573.763.572.182.273.262.662.913.173.113.976.433.800.191.062.240.861.77-0.11-2.55-3.66
2.082.832.473.564.753.824.085.618.617.789.068.916.834.662.121.140.710.300.731.592.272.933.803.934.092.362.491.612.122.381.152.191.820.85-2.221.751.060.571.331.771.090.861.251.180.770.791.130.870.951.101.091.352.181.260.060.380.840.320.69-0.04-1.03-1.51
2.603.383.034.345.764.645.077.0711.1410.0111.9611.768.745.762.581.380.840.370.891.942.763.604.724.905.113.033.212.202.863.091.462.672.211.01-2.612.161.290.691.672.221.361.061.551.450.950.991.421.161.251.431.401.722.691.540.080.451.010.390.81-0.05-1.18-1.74
91.7490.6190.3487.4984.1979.3377.2073.3868.2060.6753.6148.8143.2839.6437.1635.5035.1935.1935.7535.8235.2934.4633.3832.4130.7729.3128.5727.8227.2726.5425.9025.4024.8824.4624.6925.1824.9524.7725.3125.1324.9224.6824.8524.7124.4224.5524.8224.7624.5224.5924.3324.2524.2523.5823.2123.5323.6223.8324.0924.0924.4825.03
8.111.8928.4022.4612.484.7538.2729.0517.959.0921.2412.436.331.758.897.274.460.669.206.953.882.127.566.002.730.403.292.391.090.765.473.692.711.736.765.483.731.764.192.891.390.473.382.771.520.403.773.531.400.643.252.150.920.152.740.68-0.93-0.013.733.022.010.05
2.01-0.8519.6216.498.292.6630.9923.6414.347.4715.778.344.000.743.943.451.95-0.684.503.831.821.224.564.121.65-0.121.971.540.540.493.642.722.041.495.694.673.231.532.221.210.03-0.33-0.270.08-0.40-0.620.951.740.260.151.951.190.31-0.141.75-0.01-1.39-0.172.522.051.27-0.35