Grupo Aeroportuario Del Centro Norte S.A.B De C.V Financial Ratios for Analysis 2009-2024 | OMAB

Fifteen years of historical annual and quarterly financial ratios and margins for Grupo Aeroportuario Del Centro Norte S.A.B De C.V (OMAB).

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
1.981.061.591.123.893.233.173.703.634.102.481.371.781.140.85
0.520.470.320.130.320.350.390.410.440.430.320.190.200.110.05
1.111.210.700.430.480.540.640.700.790.770.490.330.260.140.09
70.2266.1164.6455.0674.1870.0563.5572.8369.7666.2168.4269.9566.5455.4775.86
55.8050.8147.1432.0756.9452.2645.4350.1545.3339.3935.3737.1533.0617.7729.51
55.8050.8147.1432.0756.9452.2645.4350.1545.3339.3935.3737.1533.0617.7729.51
60.2455.4352.7240.1861.8156.7149.6355.1450.6545.3941.2543.1838.9735.4951.22
48.8344.3543.9927.8053.9450.4141.3847.2638.9233.7631.1835.7528.6115.0728.86
34.6732.6932.7720.3937.7636.0729.9833.7027.4627.4733.1626.4122.0820.8224.76
0.570.520.380.300.490.510.500.410.360.300.310.310.310.250.18
---------------
8.357.586.213.727.789.318.916.559.566.536.1610.768.0311.314.48
43.7248.1658.7598.1046.9339.2140.9555.7138.1755.8959.2733.9245.4332.2781.45
51.0345.7925.4810.1432.6433.6529.5728.0620.7816.7917.2213.219.807.356.43
51.0345.7925.4810.1432.6433.6529.5728.0620.7816.7917.2213.219.807.356.43
19.8916.9812.516.0418.6818.3715.0513.859.908.279.958.376.595.524.79
24.2924.1617.438.7922.1921.9418.1016.5711.669.5111.7210.697.826.556.10
12.059.1011.3811.1510.648.807.456.577.678.41-----
7.765.304.471.344.013.843.012.352.662.211.601.731.100.950.65
7.265.054.371.183.953.622.782.262.451.971.581.641.040.790.32

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
0.861.861.981.861.442.001.060.980.901.431.593.393.971.161.121.051.143.823.893.242.973.363.232.632.273.243.173.143.264.493.703.753.133.643.633.262.824.304.104.113.102.762.482.021.782.651.371.271.351.721.781.640.771.141.141.190.991.140.850.800.780.91
0.580.500.520.560.600.570.470.510.550.500.320.290.300.130.130.140.130.300.320.340.360.340.350.370.400.370.390.410.430.390.410.430.460.420.440.460.470.420.430.450.520.310.320.340.350.310.190.200.200.190.200.200.140.140.110.100.090.070.050.050.060.02
1.361.001.111.271.511.331.211.241.461.200.700.410.440.420.430.450.450.440.480.520.560.510.540.600.660.590.640.700.770.650.700.770.860.740.790.840.890.740.770.811.110.470.490.530.550.560.330.320.300.280.260.260.210.180.140.130.130.110.090.090.090.04
74.4564.2468.6171.9470.8969.4662.0670.3662.9271.9762.7866.9765.0563.4049.9445.4918.5075.8468.6376.9876.2175.7971.5872.9868.7567.0460.4863.8963.8765.8866.0973.8572.1677.2769.1369.9766.7373.5716.2483.3278.1164.2865.0272.6569.1466.6362.8272.8273.1370.7282.7470.5356.5455.7426.9788.0175.9275.1172.9074.2173.2574.83
55.1047.7553.8358.1656.7054.4348.1154.5948.0554.2347.5749.9247.5541.2529.0321.03-23.6157.1651.8659.6858.9158.0952.4455.4652.2448.9143.6646.1245.4146.3542.0853.5049.3252.5952.2947.3541.1139.7256.6940.5640.9637.4922.2442.2837.6640.4734.6843.3836.0135.9831.3534.0632.9633.96-10.50-4.5129.5235.2524.3035.8625.3139.89
55.1047.7553.8358.1656.7054.4348.1154.5948.0554.2347.5749.9247.5541.2529.0321.03-23.6157.1651.8659.6858.9158.0952.4455.4652.2448.9143.6646.1245.4146.3542.0853.5049.3252.5952.2947.3541.1139.7256.6940.5640.9637.4922.2442.2837.6640.4734.6843.3836.0135.9831.3534.0632.9633.96-10.50-4.5129.5235.2524.3035.8625.3139.89
--------------------------------------------------------------
51.2840.4047.6451.1948.9147.3342.4247.6441.7646.7646.6148.1639.7838.9812.598.02-37.8172.3746.8258.0056.2655.8153.9551.4952.3544.1945.4442.2940.2237.4149.9946.6946.9346.4044.2340.1435.5835.1213.9839.2135.8834.9820.1437.0732.5535.5130.4439.9533.2439.2429.4931.7926.2627.268.257.2426.5928.5424.3529.3125.4533.15
36.7828.6833.7936.0835.1133.5131.0534.9231.6933.9138.1134.0528.4327.9911.755.77-28.3950.9133.8039.7339.1838.9641.0736.7635.4531.4933.8730.7129.1625.9937.6632.2733.3933.0432.2526.6725.1525.2728.6326.9023.8830.6349.7326.2425.9728.6829.3227.3222.1626.1029.8420.2618.6231.9344.9222.1316.0420.5233.7526.2111.3630.66
0.140.140.170.160.160.140.170.150.150.110.110.110.110.080.100.070.040.100.140.130.140.120.120.130.140.130.110.140.140.120.070.120.110.090.100.090.090.080.080.080.060.080.080.080.070.070.090.080.080.070.080.070.080.080.080.050.050.050.050.050.040.05
--------------------------------------------------------------
1.722.202.422.122.071.942.521.901.561.501.831.591.350.821.260.760.401.482.181.982.212.442.142.252.141.972.022.572.562.201.141.841.851.382.582.341.742.281.702.502.612.261.622.382.302.733.142.462.252.342.162.412.472.523.631.691.161.101.201.451.461.38
52.4640.9537.1442.4743.5346.2935.6847.2857.6960.1349.2956.6666.6310971.1811922661.0141.3245.5740.7436.8442.0539.9542.0245.6644.6634.9835.2240.9679.0748.8848.5365.4034.9238.4451.7639.4152.8735.9734.5039.9155.6237.7439.0532.9528.6436.5239.9338.5141.7237.3136.4335.6724.7753.2377.8581.8475.2362.0961.7465.19
16.149.8814.4516.4717.7313.1714.4814.8714.739.828.716.655.233.701.980.65-1.729.068.199.359.958.208.819.4610.217.787.468.788.405.945.467.978.205.906.605.465.193.934.554.503.853.927.063.863.783.544.133.592.672.893.672.162.293.434.881.491.141.402.231.790.692.04
16.149.8814.4516.4717.7313.1714.4814.8714.739.828.716.655.233.701.980.65-1.729.068.199.359.958.208.819.4610.217.787.468.788.405.945.467.978.205.906.605.465.193.934.554.503.853.927.063.863.783.544.133.592.672.893.672.162.293.434.881.491.141.402.231.790.692.04
4.994.025.635.865.504.625.375.304.673.684.283.903.082.231.180.39-1.025.334.695.175.364.564.814.905.054.093.804.313.993.052.703.793.702.853.142.512.311.922.242.141.532.314.082.051.922.002.622.291.721.932.471.421.532.423.661.080.821.061.661.330.511.56
6.864.966.887.287.065.677.647.316.644.915.964.723.643.231.720.57-1.496.325.576.196.415.435.745.946.164.924.575.184.783.613.224.534.423.403.702.982.772.262.582.491.862.714.812.572.472.443.352.892.132.342.931.721.962.964.351.331.041.312.111.700.651.99
9.6213.3212.0510.428.419.109.107.586.537.7511.3812.6412.1611.3411.159.849.2611.0610.649.659.069.808.808.247.318.517.457.556.647.156.577.076.127.187.676.93--------------------------
3.091.877.765.533.661.425.303.501.860.734.473.331.900.741.340.650.280.764.012.901.821.163.843.031.710.923.012.591.540.682.351.821.010.412.661.871.270.692.221.810.920.321.601.120.840.451.751.240.700.481.100.770.500.220.940.750.23-0.070.640.480.220.00
2.891.817.265.173.461.325.053.401.770.714.373.261.840.711.180.520.180.733.952.861.781.133.622.881.610.872.782.471.490.642.261.740.900.382.451.721.120.641.981.690.830.281.581.100.850.421.671.160.680.481.040.740.480.210.780.560.09-0.080.320.480.220.00