Novartis AG Financial Ratios for Analysis 2009-2024 | NVS

Fifteen years of historical annual and quarterly financial ratios and margins for Novartis AG (NVS).

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
1.161.291.510.901.041.201.211.120.961.391.161.161.041.081.73
0.280.250.250.320.270.220.240.190.170.160.130.170.170.170.13
0.530.440.430.640.490.410.380.320.280.290.240.280.310.330.24
73.2773.3569.9969.7070.3768.5265.7464.5665.4667.6668.5569.4768.0371.9073.00
20.9418.2822.1120.3518.6718.2317.2116.7217.8220.6820.8322.1418.1622.3522.13
20.9418.2822.1120.3518.6718.2317.2116.7217.8220.6820.8322.1418.1622.3522.13
38.9034.3122.1132.6330.5629.5529.3328.9528.6720.6829.3022.1428.2329.2922.13
19.5516.5149.4319.8018.3730.5817.9515.8116.1422.8820.5021.6217.7822.7022.00
31.8316.0045.4316.1824.1027.3615.3613.5835.2919.0417.4017.8415.0619.0018.62
0.470.370.400.390.410.320.380.380.380.430.420.420.510.420.47
2.111.612.382.122.412.092.502.802.802.852.282.353.202.382.09
6.195.216.385.905.695.145.705.916.166.485.325.175.755.225.43
58.9369.9957.1861.8664.1571.0664.0861.7159.2656.3168.5670.5963.4669.8967.25
18.3410.1835.4114.2412.8716.2710.388.949.1115.1412.5013.7613.7614.2914.71
-247.03-397.44594-79.582,97827461.7253.2859.9160.6059.6512222520624.09
8.585.1518.226.326.048.795.795.155.348.567.377.677.728.088.85
13.157.5926.479.739.4212.657.907.227.5212.6710.8611.4811.3711.8512.78
22.8728.0430.3525.1124.5334.0532.0331.5532.4929.5430.7028.6127.4030.4725.26
6.916.486.675.955.886.095.324.784.885.735.315.815.936.115.35
6.526.136.175.435.655.604.634.013.974.674.164.835.065.404.55

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
1.110.930.901.160.941.051.051.291.311.381.251.510.880.800.740.900.910.810.741.040.950.940.931.201.201.151.171.211.081.020.981.12---0.960.850.840.881.391.381.271.201.161.111.101.021.161.201.050.941.040.990.900.901.081.002.172.051.731.701.771.50
0.350.320.300.280.320.260.280.250.240.260.270.250.290.310.340.320.330.310.320.270.280.280.310.220.220.230.250.240.240.250.250.19---0.170.150.140.160.160.150.150.180.130.130.140.150.170.190.180.180.170.170.170.180.170.180.190.200.130.140.150.13
0.700.650.640.530.620.510.520.440.440.460.480.430.570.630.710.640.660.610.680.490.540.550.610.410.410.420.480.380.420.440.460.32---0.280.300.300.330.290.270.290.300.240.260.270.310.280.310.350.390.310.360.410.480.330.410.330.320.240.270.270.25
75.4575.3574.4674.3474.2271.5572.9283.7673.3571.3369.9170.6070.5470.5668.1852.51100.0070.5070.7168.6169.7571.6771.6266.0669.5966.7266.3265.9065.9465.9265.1764.3964.6164.8964.3464.4764.8565.2167.3866.9366.7668.6168.3169.4968.0369.2267.5876.8267.4168.3067.7765.8768.1569.4668.6568.7271.4473.1174.9472.1072.5273.7173.96
27.5431.1827.8321.9314.5723.9023.7015.3416.9317.0322.2618.9524.1926.1719.0238.12-15.2620.2421.5914.3418.8922.1519.5711.4519.6618.4718.9315.7218.5718.2516.3111.5418.3916.5120.7513.1017.8917.6922.8217.6120.5922.8321.6020.2519.8222.8420.3928.6521.0021.3719.677.3319.6321.9723.9617.0620.1824.8428.4220.0623.3322.0123.65
27.5431.1827.8321.9314.5723.9023.7015.3416.9317.0322.2618.9524.1926.1719.0238.12-15.2620.2421.5914.3418.8922.1519.5711.4519.6618.4718.9315.7218.5718.2516.3111.5418.3916.5120.7513.1017.8917.6922.8217.6120.5922.8321.6020.2519.8222.8420.3928.6521.0021.3719.677.3319.6321.9723.9617.0620.1824.8428.4220.0623.3322.0123.65
---------------------------------------------------------------
25.7029.8425.8220.1912.8322.7722.8112.9714.7215.6120.8312524.1626.3719.3015.2527.4319.6920.6213.8319.2821.9118.6811.2019.7761.1018.6317.4819.1918.5316.528.5518.4316.6719.928.8317.3716.7221.9520.6426.5622.5621.7719.8519.2822.8519.9828.0819.8121.5619.116.9619.3421.4623.6116.7321.7924.8128.5720.4822.0622.7423.13
24.2125.2222.1872.0114.5619.7220.7621.6314.5912.9517.3412120.6321.7816.2212.4822.0316.0617.128.8516.3656.5515.4210.0414.2557.7515.6615.0116.4015.8514.147.5915.7214.2317.038.2315.1214.2410711.1724.2318.3222.5716.4617.2918.9516.8820.9417.0218.2116.156.6816.3917.8819.4815.0017.7520.2823.7417.5418.5818.9419.77
0.130.130.130.120.110.110.100.060.090.110.100.100.110.110.100.130.070.090.100.110.110.100.080.080.080.090.100.100.090.090.090.10---0.100.090.100.090.110.110.110.100.100.100.110.120.080.120.120.120.130.120.120.110.120.100.120.130.140.120.130.13
0.540.550.540.510.560.410.380.150.420.550.550.600.570.550.580.590.530.500.580.670.620.560.570.580.500.630.600.650.620.620.620.72---0.730.670.680.630.720.680.640.530.520.550.560.660.330.670.720.690.860.720.650.670.740.540.580.550.630.490.460.45
1.621.521.471.561.701.231.200.811.241.471.481.631.551.541.501.981.061.461.441.491.551.461.461.331.301.501.421.501.501.491.431.51---1.571.471.471.391.611.501.491.261.241.231.231.360.941.331.391.311.451.401.391.311.471.231.531.591.581.441.501.47
55.6959.2961.2757.5752.8473.1374.8111172.4561.2860.9555.1358.1258.5960.1345.3585.0261.5862.2960.5558.1961.7761.6467.9069.2960.1463.4660.1860.1560.3762.8859.67---57.5061.2461.0764.8655.7759.9360.4671.3072.3173.2473.1466.4295.4467.4364.9168.6061.9564.0764.9668.7361.4372.9558.8756.6256.9062.3160.0561.21
7.337.756.765.643.964.374.121.352.182.693.6024.044.845.354.073.703.543.464.262.033.884.093.951.552.4110.102.852.66---1.25---1.372.362.353.023.46---2.87---3.133.604.163.591.57---3.25---4.04---
-33.92-29.22-28.06-76.02-13.06-40.60-27.60-52.89389322-79.68403-41.88-27.69-14.32-20.70-16.29-15.71-14.10470-59.99-93.73-31.0926.0737.4233940.8815.8321.2128.6933.847.45---8.9816.8215.9925.3013.8317.7517.5120.7413.7217.3226.8236.3527.6645.7772.7915225.7493.0813725,64546.742237.118.766.626.826.857.52
3.083.332.852.641.342.051.920.691.121.381.7712.372.282.331.691.641.491.511.770.951.761.811.350.841.325.471.501.481.541.481.260.72---0.801.361.371.711.952.472.171.961.701.732.142.001.751.992.261.900.882.052.172.221.841.862.513.082.432.332.432.53
4.745.274.724.052.693.242.961.011.651.992.6317.973.453.672.702.532.382.402.911.492.812.932.731.211.877.792.152.032.182.131.841.01---1.132.012.012.532.893.693.272.872.502.593.183.082.612.913.432.941.303.113.363.532.692.883.534.293.513.413.423.71
21.7320.7019.4822.8718.6125.1124.8628.0428.3128.8627.8930.3525.4524.2022.5325.1123.9923.5422.2724.5323.2322.4720.3734.0533.7733.1230.5531.6831.1029.8728.6031.55---32.4932.05-31.5829.5429.5329.0728.7430.7029.6428.4527.3328.6127.7826.5726.0927.4027.3527.6528.5830.4728.9224.4024.1325.2623.4722.2920.43
6.623.491.106.915.743.121.396.484.642.440.746.674.962.770.945.954.192.821.105.884.392.371.036.094.492.751.075.323.912.370.864.783.281.940.644.953.171.880.705.733.532.130.545.313.521.770.745.813.912.251.035.933.912.210.836.114.132.731.445.353.382.010.86
6.243.270.996.525.462.941.326.134.392.230.646.174.632.560.865.433.862.611.005.654.342.470.985.604.172.480.944.633.452.080.704.012.761.850.704.062.871.640.624.672.961.740.384.162.891.410.594.833.391.920.935.063.642.130.745.403.762.491.334.552.871.660.72