OMV AG Financial Ratios for Analysis 2011-2023 | OMVKY

Fifteen years of historical annual and quarterly financial ratios and margins for OMV AG (OMVKY).

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
2023202220212020201920182017201620152014201320122011
1.771.651.361.141.201.241.381.141.060.940.921.301.21
0.210.220.280.320.260.240.250.250.240.240.210.230.24
0.300.330.450.550.390.370.400.360.360.360.340.330.36
28.0829.7933.7836.0134.6132.5532.6712.190.128.5410.2512.4613.09
12.9018.8913.655.6914.8314.788.17-2.37-8.912.946.407.287.26
12.9018.8913.655.6914.8314.788.17-2.37-8.912.946.407.287.26
19.3623.0124.2623.0124.8922.6917.5417.8713.9911.4511.7212.0512.04
11.3616.6113.134.7414.2913.837.00-1.19-8.472.445.406.706.46
3.655.615.646.816.946.032.05-2.09-4.881.714.084.204.62
0.801.150.690.370.600.650.670.600.691.061.331.401.20
8.269.417.805.028.5610.249.5110.1712.0114.7215.5011.669.40
11.5715.018.025.517.916.958.437.738.4211.5012.9711.169.62
31.5524.3245.5266.2646.1252.5043.3147.2143.3431.7428.1432.7137.95
7.5619.4412.757.4312.7312.995.94-1.31-8.782.587.6510.637.93
8.1321.4614.898.9816.9116.577.29-1.50-11.393.4010.1613.9710.63
3.789.175.213.005.325.392.70-0.57-3.841.113.505.063.76
6.0015.219.145.069.449.844.45-0.98-6.641.956.038.156.02
20.9721.4319.8817.3814.4413.8612.4111.8012.15----
4.726.256.342.743.473.972.982.432.413.724.183.762.78
1.995.074.441.091.801.141.671.000.04-0.17-0.661.310.06

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-31
1.711.701.861.771.731.711.751.651.511.461.381.361.171.171.201.141.641.501.161.201.141.191.141.241.201.141.281.381.701.681.471.141.141.071.101.060.900.890.920.940.870.870.980.921.201.201.371.301.301.181.231.211.181.251.09
0.220.200.200.210.210.210.220.220.220.240.270.280.280.310.310.320.340.340.240.260.280.260.240.240.240.240.250.250.240.250.250.250.250.250.240.240.250.240.230.240.200.200.210.210.190.190.220.230.250.220.230.240.230.250.28
0.320.290.290.300.310.320.330.330.320.380.410.450.470.490.520.550.560.550.350.390.480.440.420.370.370.380.450.400.340.350.340.360.370.360.350.360.410.410.370.360.350.340.330.340.300.300.320.330.420.330.340.360.350.430.49
27.4430.8531.6128.0230.3328.7625.5622.7730.0730.8634.4734.3229.0235.0337.3439.2940.0335.1428.6331.4234.7438.5733.5535.1032.0427.1735.8837.3832.5028.2231.538.2414.7515.3210.30-24.61-1.5411.4711.470.2512.958.6011.207.9710.3310.5712.1312.8512.3410.8813.6611.5711.5114.1615.52
10.5112.7214.7411.5814.8013.0212.3112.2220.0922.9119.6111.3112.2716.3117.0823.68-15.021.951.6713.2114.9817.3113.6818.1013.2510.1117.4317.1512.12-15.4516.60-4.951.18-6.521.23-36.53-12.555.603.82-15.260.620.536.876.755.386.317.086.897.146.228.795.406.497.1210.00
10.5112.7214.7411.5814.8013.0212.3112.2220.0922.9119.6111.3112.2716.3117.0823.68-15.021.951.6713.2114.9817.3113.6818.1013.2510.1117.4317.1512.12-15.4516.60-4.951.18-6.521.23-36.53-12.555.603.82-15.260.620.536.876.755.386.317.086.897.146.228.795.406.497.1210.00
-------------------------------------------------------
10.0912.5814.8610.6013.588.8512.2511.2218.8422.8213.1510.9311.5415.9116.4022.95-16.512.160.1012.4714.4716.9113.1817.4112.579.3215.719.2414.89-14.6717.91-4.252.63-4.942.21-34.25-12.405.493.53-7.876.292.416.240.344.775.2911.165.996.175.968.705.325.686.468.66
2.734.325.602.324.874.023.481.984.7412.133.383.763.178.209.6429.17-12.070.74-3.235.707.038.656.328.743.833.417.884.989.45-19.9512.90-7.100.91-3.642.38-20.24-7.963.652.80-4.012.561.423.06-0.752.142.147.292.782.852.834.362.212.543.384.52
0.180.180.160.200.190.190.210.260.280.260.280.250.160.130.130.130.100.080.120.150.150.160.140.180.160.180.160.200.160.180.180.160.170.150.130.150.180.170.170.190.260.280.300.330.340.340.340.380.350.340.350.320.310.290.30
1.671.581.502.061.701.662.072.332.312.162.702.852.071.931.791.671.631.492.442.302.042.382.142.802.352.902.442.572.042.772.572.912.572.252.263.292.982.232.403.173.213.193.713.993.593.873.953.132.752.942.972.562.332.202.39
3.202.952.452.883.143.402.813.383.053.033.002.962.501.931.651.932.161.911.872.021.952.061.541.982.002.221.602.452.282.492.122.121.811.721.581.851.911.941.762.112.432.622.713.253.213.002.663.012.632.472.332.562.452.572.32
28.1430.5536.7331.2728.6826.4632.0226.6229.4729.6930.0530.4336.0346.6354.5646.6441.7447.0048.0244.4846.2543.6958.5545.4745.0440.5556.3736.7139.5036.0942.4742.4849.6752.3557.1448.6747.0846.4151.2742.7037.0034.3533.1827.6928.0530.0333.8629.9434.2636.4338.5935.1736.6935.0238.88
1.772.262.561.252.671.302.221.604.909.743.672.952.213.863.939.84-2.860.35-0.402.683.214.113.075.042.671.933.792.933.82-6.715.65-2.360.93-0.850.94-8.05-3.391.411.05-1.811.420.872.00-0.551.531.515.022.202.202.023.261.491.702.113.16
1.932.452.771.342.921.432.451.775.4310.824.133.442.624.594.7011.90-3.540.45-0.523.564.315.534.156.433.312.424.673.594.32-7.636.42-2.701.12-1.061.22-10.45-4.431.871.39-2.381.891.152.60-0.731.941.946.482.892.872.694.331.992.282.814.50
0.881.151.310.621.350.651.090.762.144.141.461.200.881.431.613.97-1.120.13-0.161.121.331.711.282.091.100.821.641.331.83-3.162.62-1.030.42-0.380.43-3.53-1.450.620.47-0.780.650.390.93-0.250.740.742.481.050.990.971.510.710.790.971.35
1.381.802.050.992.121.031.741.253.817.442.682.111.582.662.726.70-1.890.23-0.311.992.303.052.323.822.041.462.862.202.89-5.014.26-1.760.70-0.630.71-6.10-2.561.070.81-1.371.140.701.59-0.431.231.223.931.691.651.582.501.131.311.582.28
---20.97---21.43---19.88---17.38---14.44---13.86---12.41---11.80---12.15-------------------
14.942.481.514.723.842.422.206.254.872.552.306.343.802.420.982.742.201.340.953.472.611.720.753.972.892.101.012.982.451.610.752.431.971.380.492.412.041.070.353.722.251.650.954.203.732.601.423.752.651.771.302.662.331.501.02
7.601.370.941.991.821.071.535.074.432.621.774.442.301.370.491.091.000.550.471.801.450.960.341.140.620.170.611.671.520.990.421.000.660.42-0.100.040.13-0.36-0.43-0.17-0.65-0.18-0.06-0.661.811.470.801.311.150.760.750.050.430.200.34