Newell Brands Financial Ratios for Analysis 2009-2024 | NWL

Fifteen years of historical annual and quarterly financial ratios and margins for Newell Brands (NWL).

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
1.161.321.311.281.381.802.191.741.251.211.421.451.291.281.24
0.600.570.540.570.520.560.410.500.590.530.440.460.490.520.53
1.581.531.181.441.151.340.741.041.671.340.890.961.181.241.41
28.9329.9631.7632.8633.1334.6534.1132.3638.9638.4737.9038.0238.1237.9837.02
-1.053.309.57-6.70-4.96-74.396.333.2510.1710.5610.9711.585.6811.0210.49
-1.053.309.57-6.70-4.96-74.396.333.2510.1710.5610.9711.585.6811.0210.49
7.2711.4413.2013.1213.3726.4012.788.0113.0713.2813.8014.558.6114.0613.68
-6.681.667.18-10.67-8.77-78.718.230.205.718.079.5610.023.785.197.82
-4.772.085.87-8.161.10-68.3724.615.755.926.608.467.292.275.175.21
0.670.710.740.640.620.570.340.270.810.870.920.890.890.880.85
3.783.013.463.854.043.774.432.935.004.975.094.904.875.005.02
6.817.577.065.595.274.695.943.344.734.595.074.955.505.676.13
53.6348.2351.7065.2669.2177.7761.4110977.1779.5571.9473.7166.3664.3759.52
-12.475.6014.96-19.643.72-126.2717.17-0.3414.2020.1120.0619.5210.1015.1216.04
15.86-8.11-22.9023.81-5.13139-84.190.30-12.78-23.63-46.22-38.13-15.87-19.31-17.66
-3.191.494.36-5.211.19-37.437.35-0.113.575.686.866.283.044.504.45
-5.052.386.88-8.471.79-55.5110.11-0.175.779.4711.1410.545.117.267.53
7.518.519.779.1911.8012.4229.2323.596.846.897.456.976.436.566.42
2.25-0.652.073.382.461.441.984.372.182.272.072.111.901.912.05
1.56-1.401.392.771.840.621.153.321.411.762.251.501.291.421.59

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
0.981.151.161.241.251.231.321.251.031.391.311.241.231.301.281.511.471.331.381.482.252.121.802.983.171.722.191.461.491.501.741.941.634.781.251.211.191.191.211.091.241.441.421.651.411.411.451.131.091.331.291.291.191.151.281.231.361.311.241.171.391.40
0.570.600.600.600.590.590.570.560.490.550.540.550.550.570.570.610.620.610.520.580.570.570.560.610.400.400.410.440.450.460.500.510.520.860.590.540.540.550.530.410.400.450.440.430.450.460.460.400.410.480.490.490.450.470.520.530.520.530.530.520.570.62
1.641.621.581.641.611.691.531.551.331.231.181.271.371.421.441.571.761.731.151.521.351.461.341.600.750.790.740.900.930.931.041.111.156.401.671.531.611.671.341.080.980.960.890.781.021.060.961.051.261.191.181.221.161.241.241.371.291.381.411.451.702.13
34.3830.4929.9130.3228.5426.7026.2629.2232.9930.9932.1630.4332.5631.9533.0633.8631.4532.7132.4732.9734.8832.0834.0335.9235.1933.4132.6935.0634.7134.2017932.2428.4038.4538.2639.1439.7838.5737.6238.8539.6537.6336.2137.6939.5138.1735.9438.3738.7839.0239.6137.3837.8238.0637.8638.4439.2536.1138.1837.4537.1135.12
8.020.97-0.48-7.765.44-1.99-11.951.7812.949.098.3810.0811.268.399.4113.457.72-74.665.03-33.369.310.596.22-307.423.81-1.4610.985.723.654.71-545.108.193.579.546.5312.2013.757.777.4411.6714.208.6210.7612.1812.577.8810.9112.8412.459.8515.87-12.4012.6810.058.2911.9113.609.969.7811.4113.266.71
8.020.97-0.48-7.765.44-1.99-11.951.7812.949.098.3810.0811.268.399.4113.457.72-74.665.03-33.369.310.596.22-307.423.81-1.4610.985.723.654.71-545.108.193.579.546.5312.2013.757.777.4411.6714.208.6210.7612.1812.577.8810.9112.8412.459.8515.87-12.4012.6810.058.2911.9113.609.969.7811.4113.266.71
--------------------------------------------------------------
4.13-3.63-7.90-14.551.59-6.43-14.44-1.829.9411.566.277.718.975.513.9410.494.41-78.632.17-37.686.17-4.603.27-311.72-1.06-7.797.01-0.81-2.1724.19-760.765.064.413.92-5.9510.4412.286.243.9110.1913.374.149.6711.0611.275.669.3711.2210.978.2613.80-14.1911.077.836.47-4.8311.787.536.948.9010.504.11
2.21-0.54-4.14-10.640.82-5.65-10.900.847.859.555.216.827.273.894.8711.263.69-67.8230.26-24.373.63-7.395.12-286.855.982.9456.809.508.8219.553124.723.503.080.858.779.514.283.418.2410.034.368.2313.187.454.377.417.437.846.347.04-11.469.495.945.451.938.724.474.575.907.032.80
0.170.140.170.160.170.140.170.150.180.170.200.190.190.160.180.180.150.140.170.160.140.110.200.110.070.050.090.070.070.100.000.110.110.090.220.230.220.190.230.230.240.200.230.240.230.200.220.230.220.200.190.250.220.190.220.220.230.200.210.220.220.17
0.810.680.950.800.810.590.760.630.670.720.910.920.910.821.101.040.840.751.100.920.880.771.350.880.770.471.180.560.620.87-0.021.100.950.931.341.041.000.911.341.151.120.951.331.111.010.941.271.091.010.890.991.111.030.931.231.091.131.151.191.161.120.84
1.901.731.741.691.721.481.831.501.621.681.871.651.581.501.601.491.291.351.421.371.401.271.661.261.140.771.550.850.851.280.021.431.341.111.251.311.201.201.221.281.221.251.291.391.211.211.241.361.291.331.141.571.361.321.391.461.441.431.481.541.371.38
47.4652.1651.8153.2652.4760.7349.2360.0355.4853.5648.1354.4557.0460.1856.1660.4969.9666.7163.1865.6164.2070.7954.2171.1778.8411758.1210610670.534,66563.1167.1081.2972.1268.9075.2174.9973.6270.2273.7272.1269.7864.8874.1774.0872.7766.3669.8267.8178.9557.2566.3968.3264.6161.7162.4163.0960.6858.6165.5865.39
1.46-0.29-2.76-6.970.54-3.06-7.080.505.045.733.514.684.912.313.368.112.22-36.7615.57-15.382.46-1.494.25-111.60-0.55-0.3911.760.870.145.31-3.521.631.202.27-4.367.498.313.352.666.067.082.505.485.575.713.214.985.145.384.017.25-8.766.663.623.731.516.873.223.424.645.932.08
-1.890.373.518.82-0.693.9110.26-0.79-8.02-8.93-5.38-6.51-6.52-2.81-4.07-9.10-2.2035.82-21.4415.56-3.562.11-4.682472.600.63-57.69-0.92-0.13-5.193.10-1.42-1.00-1.913.93-8.55-9.38-3.44-3.12-10.74-17.50-5.79-12.62-15.72-12.35-6.42-9.74-11.18-10.19-7.06-11.3914.81-11.32-5.22-4.76-1.86-9.06-3.75-3.76-5.46-6.67-1.99
0.37-0.07-0.71-1.730.14-0.77-1.880.131.381.611.021.311.350.620.892.070.55-9.204.97-4.000.70-0.411.26-30.03-0.24-0.165.030.330.051.92-1.180.540.400.26-1.101.972.130.860.751.942.400.861.871.991.821.031.601.671.611.252.18-2.682.111.111.110.431.990.910.951.291.530.47
0.63-0.12-1.12-2.770.22-1.26-3.010.222.572.571.612.132.210.991.453.190.84-14.457.49-6.501.05-0.631.87-43.89-0.33-0.236.930.480.072.86-1.770.790.580.33-1.773.453.831.501.253.564.221.393.043.163.141.732.693.093.182.093.67-4.493.641.931.790.713.301.531.602.212.530.78
7.417.417.517.558.008.058.519.139.549.579.779.549.439.089.198.848.298.2011.809.8511.8211.7812.4212.9128.7929.1729.2326.0625.4024.9023.5923.7623.526.636.846.706.666.326.897.487.687.497.457.647.096.896.977.196.846.736.436.567.507.006.566.456.826.536.426.636.425.83
0.150.082.251.640.67-0.19-0.65-1.37-1.08-0.642.071.140.18-0.063.381.930.310.052.461.00-0.02-0.471.440.39-0.80-0.831.98-0.05-0.43-0.544.371.750.75-0.972.181.06-0.19-0.572.271.240.01-0.322.071.03-0.20-0.422.111.220.19-0.161.900.96-0.05-0.361.911.260.580.102.051.380.31-0.04
-0.11-0.071.561.130.33-0.39-1.40-1.90-1.42-0.811.390.72-0.09-0.182.771.560.09-0.081.840.60-0.29-0.610.62-0.20-1.22-1.021.15-0.64-0.82-0.753.321.150.38-1.161.410.51-0.51-0.751.760.88-0.22-0.442.250.74-0.40-0.531.500.78-0.10-0.321.290.44-0.37-0.511.420.900.39-0.011.591.020.08-0.15