Repsol SA Financial Ratios for Analysis 2009-2024 | REPYY

Fifteen years of historical annual and quarterly financial ratios and margins for Repsol SA (REPYY).

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
1.541.551.301.291.091.351.231.080.881.661.521.511.191.391.23
-0.28---0.23--0.270.210.320.350.360.410.43
-0.53---0.30--0.610.420.630.680.740.690.94
27.2498.8698.4598.3325.3923.6927.4031.9227.4419.1123.3225.3830.2432.5735.89
7.287.807.55-7.67-6.594.926.695.51-6.145.214.867.437.752.256.91
7.287.807.55-7.67-6.594.926.695.51-6.145.214.867.437.752.256.91
11.4210.9111.58-1.04-1.669.2112.4512.801.389.009.4011.7713.479.6014.29
7.409.558.70-9.93-6.496.688.115.39-5.242.373.315.956.6012.325.66
5.275.585.02-9.88-7.744.645.025.00-3.092.151.563.464.149.223.56
0.961.250.880.680.850.820.700.530.630.910.870.920.870.790.84
6.480.120.150.168.018.677.976.5510.119.738.218.085.906.207.43
7.398.336.048.218.358.177.987.098.518.327.298.099.386.2610.56
49.3743.8460.4544.4843.7444.6845.7351.5242.8743.8850.0945.1138.9058.2934.57
11.3016.7311.09-16.16-15.036.307.194.76-4.135.526.066.548.049.088.68
12.3518.1113.10-19.32-18.277.548.485.69-4.905.917.498.1811.2812.7313.19
5.337.254.49-6.73-6.543.203.612.28-1.882.992.602.773.063.492.98
11.3012.0411.09-16.16-15.034.837.194.76-3.024.344.134.225.155.394.92
25.8620.6217.6615.3618.4923.9021.8323.4922.74------
5.585.843.712.033.513.393.732.913.763.084.216.274.726.180.00
1.933.552.290.711.271.512.112.021.780.560.812.70-1.470.86-

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.541.541.561.531.621.551.461.311.341.301.271.201.191.291.271.271.061.091.221.181.331.351.551.501.401.231.121.131.061.081.030.920.940.881.000.981.721.661.631.571.381.521.551.491.561.511.531.581.531.191.481.451.461.391.241.211.251.231.241.131.27
0.23----0.28--0.30------------0.230.23---0.21---0.240.270.280.270.300.290.230.210.230.240.260.320.320.330.370.350.350.360.370.360.370.340.410.410.420.400.410.430.410.390.35
0.42----0.53--0.60------------0.300.29---0.50---0.550.590.610.610.680.670.490.420.510.550.520.630.590.660.590.680.550.560.600.740.590.520.680.690.720.670.690.940.700.650.54
100.00-185.1798.6798.6198.6710198.1698.4198.3798.1298.5598.8298.4419198.5498.9216.5631.2224.2821.9224.3117.0822.9830.2924.6126.0429.4725.7528.5236.2227.6532.6730.64-100.00---3.09-0.28-63.365.765.098.3364.7713.2910.5110.81115--100.0097.89---35.89---
8.760.7012.073.4912.054.087.108.1111.316.687.426.719.91-11.841.37-19.21-4.71-44.874.926.576.52-2.407.048.027.237.756.504.068.344.918.304.154.46-100.00----2.22-2.13-34.382.46-0.264.145.9310.10-0.0622.91-250.06--100.00-193.78100.00100.00-6.91-100.00-
8.760.7012.073.4912.054.087.108.1111.316.687.426.719.91-11.841.37-19.21-4.71-44.874.926.576.52-2.407.048.027.237.756.504.068.344.918.304.154.46-100.00----2.22-2.13-34.382.46-0.264.145.9310.10-0.0622.91-250.06--100.00-193.78100.00100.00-6.91-100.00-
-------------------------------------------------------------
9.770.1112.254.6611.888.037.2810.2312.527.368.768.9210.38-6.26-0.40-36.83-5.34-45.265.166.716.941.907.839.367.7411.637.454.238.544.907.713.105.78--3.64---4.095.58--2.944.544.217.113.728.853.926.163.46--9.9018.085.898.85-1.28-5.62-
6.382.178.752.357.235.783.275.468.033.565.275.426.44-8.94-1.16-32.71-4.61-43.232.744.105.021.474.717.504.924.565.253.606.816.375.312.455.66--1.98---2.604.43--6.952.611.944.951.774.871.744.451.80--5.6316.673.054.41-0.79-3.37-
0.240.240.260.220.260.260.320.330.290.270.250.210.200.180.160.110.190.210.190.200.190.210.220.210.190.200.170.170.160.150.150.130.13-0.17---0.210.22-0.250.230.200.230.230.240.210.280.23--0.210.260.240.22-0.84-0.19-
-6.390.030.030.03-0.020.050.040.040.050.040.030.04-2.410.030.022.321.832.162.092.112.412.111.841.912.291.972.351.931.731.901.701.9310.11---3.622.292.19-0.452.442.472.320.972.142.242.125.90---6.20---7.43---
2.131.861.911.671.991.722.031.771.801.841.892.072.322.202.051.522.372.072.091.871.922.092.332.222.332.251.961.751.862.002.151.991.89-1.73---1.901.88-2.101.921.701.892.041.941.712.222.47--1.602.081.871.73-10.56-1.57-
42.3048.3947.2353.7845.3352.3844.3350.7450.0848.9547.5243.5038.8440.9043.8859.2838.0043.5343.0948.1146.9743.1538.6740.5738.7039.9145.8951.4148.2645.0241.9045.2447.61-52.12---47.4347.75-42.8046.9452.9447.5844.0946.5152.5940.6136.40--56.2543.1948.1952.07-8.52-57.23-
3.421.234.701.314.103.842.484.63-2.42--3.14-3.87-0.43-8.72-2.11-20.931.081.711.980.462.011.941.871.911.811.232.221.041.680.761.56-7.08----1.18----0.59-0.77-0.86---1.081.902.11-11.46-37.9132.091.8922.9121.85-
3.811.345.111.454.504.162.765.286.692.863.873.353.77-4.63-0.52-10.53-2.55-25.441.302.062.370.552.382.302.212.262.141.462.651.242.030.921.85-8.41-0.861.102.56-1.261.152.141.92-0.731.640.952.531.083.431.203.961.522.572.894.7216.063.193.843.292.872.492.633.16
1.630.582.260.621.961.661.061.852.390.981.301.171.27-1.61-0.19-3.73-0.93-9.110.530.840.990.231.041.000.940.960.900.611.110.500.800.350.72-3.22-0.330.411.31-0.640.561.010.94-0.250.600.340.910.371.160.411.260.410.810.871.194.400.720.950.810.650.630.650.98
2.631.234.701.314.102.772.484.634.082.423.272.823.14-3.87-0.43-8.72-2.11-20.931.081.711.980.351.551.941.871.911.431.232.221.041.270.561.12-5.19-0.510.671.85-0.930.831.531.34-0.400.910.521.300.561.760.611.910.691.201.391.936.801.211.551.301.071.001.071.62
-25.86---20.62---17.66---15.36---18.4921.9822.3022.4823.9022.9623.2823.1321.8324.10--23.49-------------------------------
1.105.583.732.651.325.843.751.710.533.712.171.230.622.031.510.450.233.512.261.370.573.392.081.030.623.732.521.500.482.911.741.270.703.782.181.030.903.082.090.711.144.163.382.620.756.343.802.731.454.720.002.380.006.034.483.041.420.004.332.531.70
0.041.931.251.140.623.552.640.840.102.291.390.740.380.710.38-0.230.231.270.970.580.271.510.820.200.202.111.470.890.222.020.900.610.361.790.56-5.740.260.560.74-0.480.580.800.851.07-0.032.721.380.860.43-1.47--0.28-0.840.951.050.58-0.622.511.70