Plains All American Pipeline Financial Ratios for Analysis 2009-2024 | PAA

Fifteen years of historical annual and quarterly financial ratios and margins for Plains All American Pipeline (PAA).

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
0.980.910.980.860.921.020.880.920.870.880.920.990.961.040.97
0.350.350.400.490.410.430.460.530.570.520.470.470.430.500.50
0.560.630.721.050.730.770.911.341.431.221.021.040.871.301.25
5.664.975.967.668.658.817.848.768.525.775.835.955.374.966.62
3.102.252.02-10.205.906.694.404.935.454.144.113.773.792.964.21
3.102.252.02-10.205.906.694.404.935.454.144.113.773.792.964.21
5.253.943.863.407.698.216.377.477.325.024.985.054.513.955.48
3.332.471.71-11.166.677.093.443.744.353.583.533.123.031.983.16
2.001.450.93-11.985.845.902.610.991.322.022.272.072.131.273.13
1.782.061.470.951.171.331.030.831.041.962.081.972.231.891.50
83.8674.7550.5433.2450.9248.5333.9013.7123.1245.9737.3629.4033.1616.5114.95
12.9614.688.949.129.3213.888.668.8612.9716.6211.6110.6110.749.438.22
28.1724.8740.8140.0139.1826.3042.1641.2228.1421.9631.4334.4133.9738.7144.40
13.1311.136.16-34.6519.9922.829.909.9911.4116.9218.0615.7716.6411.2413.95
12.6710.985.97-28.8820.4623.3710.2211.2816.3724.2126.7524.4424.1316.0820.20
5.494.402.27-10.537.608.693.383.024.076.246.835.866.463.754.69
7.145.963.06-13.499.7410.484.263.854.958.209.658.379.475.586.99
19.5919.0818.1713.4818.1216.5215.1113.1719.9621.8421.4521.3119.2216.1915.28
3.903.442.792.083.133.263.481.573.435.435.703.787.910.941.39
3.572.873.551.661.752.893.560.11-1.810.271.580.185.83-0.69-0.34

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
1.000.970.980.951.000.950.911.050.970.940.980.900.920.950.860.900.870.910.920.961.001.021.020.890.750.860.881.000.941.010.920.930.890.910.870.850.880.980.880.930.950.890.921.030.981.020.990.990.970.940.961.021.161.141.041.061.040.960.971.060.910.91
0.350.350.350.350.350.350.350.390.390.380.400.470.470.480.490.490.490.490.410.410.410.420.430.450.450.450.460.510.490.480.530.520.510.490.570.550.510.500.520.480.480.470.470.480.450.460.470.460.470.470.430.450.470.480.500.510.500.500.500.490.480.46
0.590.580.560.590.590.590.630.660.680.690.720.991.020.951.051.031.031.010.730.780.740.730.770.840.920.890.911.111.061.061.341.211.201.051.431.301.151.051.221.061.010.991.020.990.950.941.040.961.021.010.870.930.971.011.301.261.221.211.251.141.171.02
5.616.006.124.916.255.364.736.614.454.116.993.974.049.214.468.0913.867.236.559.078.1111.1017.047.942.696.997.264.487.4711.797.218.748.5511.2610.379.045.979.327.365.204.965.805.514.375.497.946.435.756.515.075.755.414.905.435.034.165.095.554.875.706.8410.90
2.893.083.351.943.263.83-0.294.372.512.144.61-0.35-2.386.27-1.094.346.51-33.533.626.245.468.5314.975.611.094.543.430.754.238.863.656.752.956.866.896.033.176.265.683.633.264.223.802.773.726.174.272.644.723.404.034.043.363.702.962.343.143.442.863.424.277.75
2.893.083.351.943.263.83-0.294.372.512.144.61-0.35-2.386.27-1.094.346.51-33.533.626.245.468.5314.975.611.094.543.430.754.238.863.656.752.956.866.896.033.176.265.683.633.264.223.802.773.726.174.272.644.723.404.034.043.363.702.962.343.143.442.863.424.277.75
--------------------------------------------------------------
3.033.043.452.203.384.282.493.841.821.804.50-0.79-2.285.33-0.842.454.09-34.153.636.285.1511.8714.587.961.044.162.68-0.193.277.652.305.781.965.405.644.812.365.054.973.092.773.713.172.303.095.553.621.994.052.793.433.332.732.572.061.252.172.471.912.553.136.42
1.391.691.951.161.962.931.612.320.941.003.08-1.01-2.714.43-1.311.592.85-35.032.805.064.7910.9512.117.480.622.821.83-0.142.446.091.533.13-1.640.681.881.77-0.352.292.681.741.472.281.891.241.904.052.470.943.081.761.152.502.542.37-0.461.262.142.471.812.513.186.39
0.470.440.460.440.430.450.460.520.570.450.450.450.390.330.240.240.130.350.320.280.300.310.340.340.310.330.300.230.240.260.250.220.210.180.220.250.290.270.430.510.520.560.520.530.530.550.490.510.550.540.580.610.590.520.530.500.500.510.490.420.410.35
24.3224.8921.7518.6029.6425.2316.9322.2029.6024.9215.4315.2014.1215.738.817.854.2042.3814.168.7913.5914.9511.399.8212.3612.609.896.356.014.824.113.754.174.164.896.036.665.809.838.039.7112.049.438.5410.919.487.316.687.818.118.567.705.805.254.613.953.924.655.003.904.014.28
3.072.973.382.843.603.113.323.502.931.922.762.862.552.462.342.711.683.762.532.712.912.793.582.982.862.782.512.572.913.012.612.662.462.652.803.012.483.273.623.163.003.162.923.002.942.872.652.823.083.182.792.962.912.462.632.993.162.992.702.962.562.71
29.2830.3126.6531.7124.9828.9427.1525.7530.7046.9032.6031.4435.3236.5138.5333.2253.5523.9435.5333.2330.9232.2525.1430.2431.4632.4035.8535.0530.9229.9434.4733.8836.6433.9132.1629.9036.3127.5224.8828.4929.9928.5230.8029.9530.6231.3633.9731.9329.1928.3332.3130.4330.9636.5834.1830.0828.4730.1133.3630.4135.1833.20
2.933.093.492.483.094.242.814.232.412.134.72-0.79-2.945.43-0.341.931.92-38.292.824.204.169.2611.517.841.173.292.200.392.104.891.743.941.372.583.123.041.423.214.753.993.554.954.133.083.937.164.632.505.813.644.825.254.103.413.191.933.013.592.622.893.675.70
2.792.963.372.413.014.162.774.032.312.054.57-0.59-2.244.19-0.281.481.47-29.262.894.294.259.4811.798.061.213.392.280.442.395.551.964.431.552.914.484.311.984.446.795.745.137.276.124.595.8510.797.183.608.525.116.997.545.844.974.572.764.255.193.804.135.488.39
1.201.281.461.011.301.731.111.610.870.731.73-0.23-0.851.67-0.100.600.60-12.001.071.601.613.544.382.740.391.130.750.130.761.760.521.270.440.911.111.130.541.311.751.481.341.861.561.171.542.761.720.952.171.391.871.991.561.251.070.661.081.250.881.061.292.27
1.591.681.901.341.672.291.502.131.211.082.34-0.31-1.202.18-0.130.760.75-14.861.382.042.014.425.293.470.511.430.950.160.922.170.671.590.551.101.351.370.701.612.302.061.862.642.211.612.153.882.461.363.101.932.742.882.181.781.590.941.521.811.311.461.913.06
19.3719.4619.5919.3319.4819.3119.0818.2518.2218.2918.1713.0713.4413.9713.4813.5213.4613.3518.1218.0117.9717.5616.5215.6314.9215.2215.1114.1814.4914.6413.1722.2322.5523.5619.9620.6621.8922.2421.8421.8922.0521.5021.4522.4122.3322.1721.3120.8820.4420.1919.2218.3619.0218.1616.1915.9216.2115.4615.2815.5214.3714.53
1.530.603.902.452.341.063.442.971.610.482.791.901.431.102.081.731.341.223.132.221.831.293.261.621.400.723.482.652.011.081.571.610.971.593.433.061.661.905.433.442.622.265.704.623.912.893.782.661.071.007.915.843.242.270.941.691.031.431.391.321.101.91
1.120.383.572.282.361.302.872.611.420.413.552.771.200.991.661.231.031.031.751.081.030.942.891.760.990.463.562.131.790.930.110.640.201.28-1.81-0.98-0.930.760.27-0.390.130.981.581.271.621.820.180.15-0.540.175.834.382.291.85-0.690.510.251.05-0.34-0.030.231.45