Novo Nordisk Financial Ratios for Analysis 2009-2024 | NVO

Fifteen years of historical annual and quarterly financial ratios and margins for Novo Nordisk (NVO).

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
0.820.890.860.941.061.091.281.261.351.371.741.861.912.022.44
0.160.230.150.040.05-------0.010.010.03
0.250.310.380.160.080.010.030.010.020.020.010.010.020.060.04
84.6083.9283.2083.5183.5484.2584.2184.6385.0083.6083.0882.7481.0380.7879.56
44.1642.2841.6542.6443.0142.2543.8443.3345.8138.8437.6837.7733.7231.0827.90
44.1642.2841.6542.6443.0142.2543.8443.3345.8138.8437.6837.7733.7231.0827.90
48.2246.4445.9347.1747.6545.7646.6946.1848.5542.7141.0341.2333.7235.1432.89
45.0739.0341.9641.8539.7942.5843.5842.7640.2938.3938.9435.6433.0530.0927.39
36.0331.3833.9233.1931.9234.5434.1433.9332.3029.8230.1327.4725.7723.7021.08
0.740.730.720.880.971.011.091.151.181.151.191.191.030.990.93
1.121.171.211.131.141.081.151.201.271.281.481.411.331.211.04
3.093.083.013.944.194.164.744.624.994.675.065.747.107.157.23
11811912192.5487.2087.7676.9679.0173.0978.1072.1363.5551.4351.0550.47
78.5366.5167.5066.5467.6374.5276.5483.7874.2265.7259.1652.7543.2940.3630.09
18117317398.7675.2682.7382.0289.1277.7968.0561.4954.7645.0942.0230.98
26.6123.0124.5529.0831.0134.8737.2538.8837.9734.3635.8032.6425.0624.3019.64
65.8551.5157.0563.6364.2774.5276.5483.7874.2265.7259.1652.7542.7239.8229.29
3.432.592.442.061.801.621.551.341.371.391.381.25---
3.522.461.901.701.471.411.261.421.111.070.860.700.700.600.48
2.682.081.681.511.191.101.031.210.950.940.750.590.600.500.40

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
0.940.940.700.820.820.880.860.890.920.940.910.861.031.060.850.941.041.091.001.061.011.040.961.091.101.171.131.281.271.351.141.261.241.271.131.351.341.231.041.371.371.441.311.741.591.441.401.861.561.511.651.911.912.041.942.022.001.852.022.442.402.382.03
0.300.310.140.160.180.180.230.230.240.250.270.150.160.160.050.040.040.040.050.050.050.050.06-------------------------0.010.020.020.010.010.010.010.010.030.030.030.030.030.030.03
0.470.510.270.250.290.280.320.310.340.340.380.380.210.210.170.160.070.070.080.080.080.080.090.010.010.010.010.030.010.030.020.010.010.010.010.020.010.020.020.020.010.010.020.010.020.020.010.010.030.030.030.020.060.040.040.060.060.130.060.040.030.040.08
84.1484.9084.8384.8083.4685.5384.6782.8284.2085.2983.5483.7482.9983.2182.8182.6183.3384.1084.1083.2383.2483.8683.8484.3684.1084.1284.4283.3283.9584.6085.0683.3185.5285.2784.4484.0485.6485.7484.6383.7884.6083.0382.9684.3082.8183.1381.9484.9682.4482.4180.8384.9281.5980.6380.1480.5375.3178.0883.3680.2576.0279.8878.65
47.4338.1048.7340.6345.8243.9946.8635.2544.3044.5745.5535.2942.8144.7344.3235.4741.4146.1248.1236.4642.6744.7948.6134.8842.5544.5346.2236.4645.2546.7447.4137.7045.1045.5145.2338.2744.7146.1354.9937.1038.5140.3839.4934.0238.9640.1537.8436.2139.6339.3135.9733.1132.2632.3034.5330.4237.0633.9427.7820.5532.4531.5030.91
47.4338.1048.7340.6345.8243.9946.8635.2544.3044.5745.5535.2942.8144.7344.3235.4741.4146.1248.1236.4642.6744.7948.6134.8842.5544.5346.2236.4645.2546.7447.4137.7045.1045.5145.2338.2744.7146.1354.9937.1038.5140.3839.4934.0238.9640.1537.8436.2139.6339.3135.9733.1132.2632.3034.5330.4237.0633.9427.7820.5532.4531.5030.91
---------------------------------------------------------------
48.2237.2248.8441.9247.7844.6746.3533.6139.5740.7042.6333.8342.4245.1547.1537.7541.0444.7144.3434.0339.9940.4345.1432.9240.1245.6050.5338.0346.8344.1545.7136.7744.6745.8943.9335.5037.8338.9849.5433.5838.0041.5640.8136.0040.4640.6038.8835.6137.0835.6634.1232.8533.5233.5533.7129.0127.7228.9632.7623.3427.8929.8627.59
38.2829.4638.8833.3338.2735.7837.1328.0531.6132.2733.8128.1434.0236.6937.3429.3233.3035.4135.1226.7833.6731.9535.6627.0932.5537.7439.9229.6936.7134.7535.7029.2435.6036.3034.7528.4331.2930.8339.1926.2629.2132.3431.7527.9731.2831.5029.9427.5028.5627.4626.2725.8825.4125.8425.9524.4723.0023.0524.3117.7822.0123.0121.60
0.180.180.220.210.200.190.210.190.190.190.210.190.200.210.240.230.220.220.270.250.240.250.270.230.270.270.290.290.270.290.300.300.320.310.330.310.310.330.330.300.310.340.320.320.300.330.320.320.300.320.290.270.260.260.270.270.290.280.240.250.250.250.25
0.300.280.300.310.330.280.320.330.310.280.340.310.320.290.310.320.280.270.310.300.290.280.280.250.280.270.260.320.280.290.280.340.280.300.330.360.300.300.320.330.300.340.340.370.380.370.380.330.370.360.360.320.360.340.350.330.300.300.260.280.280.260.25
0.900.890.910.870.950.770.920.820.850.880.950.791.001.091.001.051.091.000.951.101.141.111.100.961.291.231.261.241.321.371.261.191.361.181.181.321.301.211.061.231.371.291.121.351.211.441.391.561.431.381.321.841.801.701.721.961.971.841.621.961.461.791.50
10010198.8210394.9511797.6811010610294.5711389.5782.3290.3086.0482.6390.4294.5081.9778.8480.9081.6194.0569.9273.3371.2272.4268.1565.5471.2975.5365.9875.9776.4668.3669.3074.1584.7573.2765.7769.8180.0666.9174.1762.6364.9757.8362.7365.0568.0348.9750.0753.0852.3545.8145.6348.9855.6246.0461.8250.1960.03
22.6517.8225.6920.5224.1721.4724.8115.7818.7917.8921.3514.7918.3318.4921.5815.5917.2917.6921.8714.8919.2518.0722.0713.4419.0221.0724.3017.4520.8120.5425.2018.6223.7223.4125.3617.2219.4521.3330.7615.2117.1219.0819.2314.6016.4019.0517.7014.3115.8917.0614.4111.8711.6811.1811.7111.0611.2810.909.736.878.168.788.75
41.3435.1664.7047.3860.3248.9167.4341.0948.4144.6061.2337.9526.5826.7733.1023.1320.5319.5824.5016.5621.2720.3324.8614.9221.0623.0426.7418.6922.0421.7327.0619.8125.4824.6326.9218.0520.1322.1632.1315.7517.7720.0120.2515.1717.1319.9718.5614.8616.5817.8915.1012.3712.1811.6512.2411.5111.7111.3010.087.088.409.029.01
6.875.438.506.957.496.927.925.465.936.087.215.386.967.678.936.817.367.819.426.838.168.149.486.298.8710.0211.498.499.9810.1710.788.6411.2211.2911.488.819.8410.2612.757.959.1210.9810.218.849.4210.479.588.858.518.777.626.876.676.726.906.666.766.435.914.495.415.845.46
15.8812.2221.9617.2119.9117.6819.0312.2214.2913.5015.6812.5015.4415.5420.5814.9116.5516.9220.7814.1518.2417.1220.6713.4419.0221.0724.3017.4520.8120.5425.2018.6223.7223.4125.3617.2219.4521.3330.7615.2117.1219.0819.2314.6016.4019.0517.7014.3115.6716.7914.1911.7211.5111.0311.5510.9110.9610.589.456.697.948.538.48
---3.43---2.59---2.44---2.06---1.80---1.62---1.55---1.34---1.37---1.39---1.38---1.25---------------
3.592.090.473.523.231.890.952.462.141.500.621.902.001.280.391.701.741.080.311.471.310.790.311.411.200.840.331.261.120.660.351.421.100.660.221.110.820.460.121.070.830.420.140.860.680.470.230.700.640.400.220.710.580.320.160.610.440.250.130.480.380.200.12
2.561.480.192.682.701.550.802.081.931.370.581.681.851.170.341.511.600.990.261.191.090.640.231.100.980.700.261.030.960.570.301.210.970.570.190.950.730.410.100.940.740.370.120.750.600.410.200.590.560.360.200.610.520.280.150.510.370.200.110.400.320.180.11