Owens Corning Inc Financial Ratios for Analysis 2009-2024 | OC

Fifteen years of historical annual and quarterly financial ratios and margins for Owens Corning Inc (OC).

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
1.691.691.831.811.551.581.551.651.421.841.861.771.801.471.97
0.340.390.410.440.390.440.360.350.310.350.350.370.340.310.43
0.590.660.680.790.640.780.570.540.450.540.530.580.520.440.77
27.7326.8026.0922.8222.4723.1324.5824.2621.5518.5618.2415.4119.2719.1317.68
18.7217.5616.92-1.9610.9911.4412.4812.2810.247.457.272.868.644.124.00
18.7217.5616.92-1.9610.9911.4412.4812.2810.247.457.272.868.644.124.00
25.0223.9822.8319.0217.3717.5718.3018.3215.8513.2313.549.6114.6010.5310.76
16.4416.5415.45-3.638.249.988.7610.398.474.415.16-0.776.621.921.69
12.3612.7111.71-5.435.667.724.536.926.174.303.85-0.375.1718.671.33
0.860.910.850.740.720.720.740.730.730.700.690.680.710.700.67
5.845.365.836.375.375.065.736.066.525.245.345.575.426.526.43
9.8010.169.057.689.308.897.928.377.557.807.758.628.759.158.70
37.2335.9440.3347.5539.2541.0746.0843.5948.3746.7747.0842.3441.7339.8841.95
23.0127.0022.95-9.778.6712.656.9010.268.846.115.35-0.457.5125.502.35
52.6777.0357.58-29.9639.7891.7821.6928.2020.7114.7612.62-1.1518.4462.3311.96
10.6211.549.94-4.064.055.603.365.154.563.022.68-0.213.7313.130.93
15.2916.3513.64-5.455.297.124.396.666.093.993.50-0.284.9617.691.33
59.4650.0143.1837.3242.8539.4937.7034.5132.6131.6632.5130.2230.9429.7522.32
18.8918.0114.4110.459.427.218.988.176.283.823.222.762.343.854.26
15.2415.6211.288.105.562.636.024.943.121.210.600.30-0.581.892.65

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
1.441.371.761.692.162.071.861.691.771.871.721.831.861.911.871.811.951.871.631.551.691.691.831.581.621.591.611.551.661.781.881.651.701.541.521.421.912.112.191.842.102.282.251.862.022.042.051.771.981.982.011.801.511.501.691.471.621.651.991.971.971.941.90
0.470.480.340.340.370.370.380.390.390.400.400.410.410.430.440.440.450.480.480.390.410.430.460.440.470.470.480.360.380.400.360.350.350.350.320.310.340.370.380.350.360.370.380.350.370.380.390.370.370.380.370.340.330.310.340.310.310.300.430.430.430.450.47
0.961.020.590.590.590.600.620.660.640.660.680.680.700.760.790.790.800.900.910.640.700.770.860.780.870.870.910.570.620.670.570.540.550.580.510.450.530.580.620.540.560.590.610.530.600.630.640.580.600.610.600.520.540.510.510.440.450.440.760.770.770.820.89
29.8131.0929.5726.6929.3329.3425.2724.9527.4028.2226.3926.2326.9327.6023.1925.1425.0521.1119.1122.6424.4822.9419.5023.8424.6422.9220.9924.6624.8425.5523.1422.7824.6426.9322.1022.8223.5021.9517.3719.5218.1618.3018.3118.2319.1719.8215.7814.6715.8317.1813.8219.2321.8619.2316.3217.1219.9020.6118.6613.8620.7720.5114.71
16.7116.3917.5214.2818.6419.0022.917.8324.0418.7218.7615.1617.7118.9815.5614.1315.3410.34-54.349.9914.6011.846.9612.8814.0311.137.5111.6413.0913.7111.379.6913.6415.539.4210.6413.5511.124.828.357.745.398.458.148.038.764.221.384.626.11-0.897.3612.219.304.93-6.085.829.076.560.178.907.22-1.68
16.7116.3917.5214.2818.6419.0022.917.8324.0418.7218.7615.1617.7118.9815.5614.1315.3410.34-54.349.9914.6011.846.9612.8814.0311.137.5111.6413.0913.7111.379.6913.6415.539.4210.6413.5511.124.828.357.745.398.458.148.038.764.221.384.626.11-0.897.3612.219.304.93-6.085.829.076.560.178.907.22-1.68
---------------------------------------------------------------
14.4114.1316.787.3417.9918.1021.966.7823.0117.8017.6513.8916.0017.6413.9912.5213.718.31-55.785.7911.2610.324.9211.6012.549.486.097.727.5210.219.747.8111.7313.667.559.1011.619.622.662.415.723.106.346.185.836.612.07-7.512.354.10-2.975.1010.287.372.91-8.223.466.824.51-2.416.685.09-4.00
10.5410.2213.005.6913.5913.4616.435.4318.5813.1912.9610.6511.7513.3110.9712.0510.825.91-57.284.317.977.202.649.928.866.635.44-0.255.646.016.836.227.388.934.638.407.746.491.502.653.761.559.396.423.863.641.63-4.833.452.80-3.424.188.555.381.94-9.424.8968.003.79-1.815.932.71-2.61
0.200.190.200.210.220.230.220.210.240.250.230.210.220.220.200.200.200.170.180.170.190.190.160.180.180.180.170.190.200.180.190.180.190.190.170.180.190.180.160.170.180.170.160.170.170.170.170.150.170.180.170.160.190.190.170.160.160.190.170.160.190.170.15
1.341.221.341.411.421.411.301.291.391.491.511.461.701.831.721.691.611.351.221.271.381.401.211.221.331.431.421.441.611.501.561.501.571.501.351.551.581.391.201.231.371.251.151.291.281.321.471.261.351.411.451.221.521.701.561.561.381.761.651.631.541.170.99
1.931.661.632.331.911.811.682.38-1.921.682.271.941.831.642.091.871.651.722.201.931.951.602.171.901.921.591.991.861.751.612.041.911.761.571.831.681.641.431.851.531.601.361.871.741.711.531.931.661.731.511.961.851.761.652.141.901.861.702.111.851.781.60
46.6054.2155.1738.5547.2049.6253.5937.85-46.9953.5239.6646.4049.2854.8542.9748.0354.6152.3440.9646.7046.2756.1541.4547.2846.7856.4745.1748.4151.5755.9044.1247.1951.2057.3949.2053.5554.7263.1448.7258.8756.3266.3448.1051.6852.7258.9346.5954.3152.0259.4445.9048.6051.1754.5242.0747.4348.3352.8642.7548.6750.5056.40
5.665.185.682.516.586.837.942.6510.067.527.035.266.107.175.295.845.292.59-25.981.543.343.101.023.953.852.932.22-0.072.332.392.562.262.873.561.542.912.992.450.520.911.330.563.082.141.401.380.61-1.541.201.10-1.211.363.332.070.67-2.961.5924.711.69-0.672.811.19-1.04
917-174.3912.675.7415.1716.5221.057.5729.0018.3517.2913.1915.9419.3915.6717.9016.349.07-100.447.0716.8318.357.2328.6936.2431.4429.97-0.227.788.216.846.227.799.873.546.827.055.861.272.203.051.287.085.053.543.541.56-3.972.962.75-2.973.358.094.781.58-7.233.9161.868.07-3.3913.946.92-7.09
2.131.912.641.163.043.133.521.134.373.252.982.282.592.992.202.432.191.01-10.010.721.521.360.431.751.611.210.90-0.031.111.101.271.141.431.740.791.501.501.200.250.450.680.281.511.070.660.640.28-0.730.570.52-0.570.681.641.040.33-1.520.8312.890.68-0.271.110.47-0.39
3.002.713.781.674.154.284.891.616.134.544.193.133.594.082.953.252.941.36-13.590.941.961.760.552.222.061.561.16-0.051.441.431.631.471.852.321.052.011.961.560.320.600.860.361.921.400.880.850.37-0.970.750.68-0.760.902.241.420.44-2.051.1017.180.96-0.381.600.66-0.55
66.1263.5860.5259.4657.6556.0653.0050.0149.2246.9344.5043.1841.8240.2338.0337.3236.0433.9232.7142.8541.5640.8539.6139.4938.4837.5737.3137.7037.0036.0735.2034.5134.6433.9933.1132.6132.3431.8731.2131.6633.1433.2633.1332.5131.0230.4730.2330.2231.1330.6530.6230.9431.2731.1830.1029.7530.8329.6222.5822.3221.8821.1221.13
13.835.880.2718.8911.233.61-1.7818.0111.176.341.5814.4111.246.651.9210.456.552.10-0.489.425.422.62-1.377.214.562.73-0.808.986.163.470.068.175.882.800.546.283.470.90-0.983.820.53-0.99-2.293.221.33-0.12-1.502.760.78-0.33-1.592.340.48-1.07-1.703.852.221.05-0.214.262.12-0.78-2.32
10.012.50-1.3915.249.022.62-1.4515.629.084.460.6111.289.584.991.138.105.151.17-1.195.562.570.70-2.262.630.830.14-1.576.023.981.99-0.534.943.451.19-0.303.121.24-0.58-1.731.21-0.75-1.52-2.750.60-0.20-1.16-1.870.30-1.09-1.61-2.16-0.58-1.33-2.15-2.331.890.770.21-0.672.651.24-1.37-2.61