Ryerson Holding Financial Ratios for Analysis 2009-2024 | RYI

Fifteen years of historical annual and quarterly financial ratios and margins for Ryerson Holding (RYI).

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
2.182.332.122.092.602.482.743.003.043.142.692.752.472.542.94
0.320.290.530.830.840.941.011.061.161.121.101.301.271.180.82
0.480.411.175.105.5015.20-141.31-19.54-7.26-10.11-11.76-4.44-4.92-6.644.89
20.0020.7220.2117.9218.3917.2017.3119.9517.9216.3917.8217.6313.9313.8614.88
4.469.159.611.864.683.163.004.273.432.393.604.982.090.52-1.36
4.469.159.611.864.683.163.004.273.432.393.604.982.090.52-1.36
5.6910.0810.593.425.984.364.405.764.813.644.956.143.001.50-0.16
3.798.276.86-2.602.562.650.500.910.06-0.740.401.00-0.42-2.33-4.07
2.856.185.19-1.901.832.400.510.65-0.02-0.713.681.17-0.17-2.67-6.22
1.992.712.401.922.232.111.971.832.051.931.772.062.301.901.73
5.226.285.444.714.954.534.514.064.684.103.884.475.564.284.34
10.9212.299.009.1510.598.468.948.7710.369.049.0610.219.207.828.58
33.4229.6940.5739.8934.4743.1440.8241.6135.2340.3940.2835.7439.6646.6542.55
16.0143.8454.24-45.0046.30140-243.24-38.341.2821.04-114.62-15.583.2956.82-124.56
21.4354.9278.093551,074-103.80-10.61-9.780.629.42-49.90-10.232.0738.13-272.62
5.7016.7712.49-3.624.095.101.051.21-0.12-1.406.472.34-0.43-5.05-10.82
10.9031.2225.57-7.497.448.851.772.11-0.21-2.4510.954.69-0.88-10.35-21.84
26.8724.1414.183.814.732.03-0.20-1.33-4.39-3.89-5.23-13.97-53.52-36.5030.86
10.2713.090.907.315.091.52-0.070.728.08-2.882.268.762.56-39.740.00
6.8510.563.656.635.730.66-0.640.157.70-3.441.537.390.88-44.04-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-30
2.222.382.092.182.142.032.192.332.412.152.052.121.901.721.852.092.382.922.712.602.212.462.342.482.452.172.222.742.492.592.473.002.782.742.603.042.282.442.483.142.312.282.412.69----2.552.352.472.422.612.322.542.36----
0.380.370.350.320.290.310.310.290.340.380.430.530.600.660.810.830.860.840.850.840.870.890.910.940.920.980.991.011.011.021.031.061.041.121.141.161.131.121.131.121.031.101.101.10----1.211.231.271.201.171.161.181.12----
0.620.590.550.480.410.460.450.410.530.630.781.171.572.054.245.106.185.525.915.507.368.5110.2515.2012.3649.67199-141.31-72.33-45.84-30.35-19.54-29.63-9.19-8.23-7.26-9.15-9.90-8.85-10.11-31.16-11.44-11.02-11.76-----5.92-5.56-4.92-6.20-7.11-7.31-6.64-9.23----
17.9318.2417.5622.2220.0019.4218.7912.6617.5626.7223.4521.3423.1518.1117.2518.0418.7514.9719.3818.7618.5117.5818.7917.2216.6617.5317.5216.8416.7816.0419.7216.8019.7822.0321.0115.1919.0319.7317.2816.3815.7716.5816.8918.3418.0417.4817.48-16.8717.0115.8914.2512.7213.2013.8213.4813.0015.35-19.53
0.471.860.063.914.524.344.98-2.135.4816.4513.439.6711.7111.714.040.563.64-1.373.975.973.623.835.472.322.524.393.651.832.702.495.060.014.606.755.45-1.824.685.973.872.95-0.353.673.423.653.933.113.74-4.735.292.282.701.631.79-1.241.000.681.72-4.05
0.471.860.063.914.524.344.98-2.135.4816.4513.439.6711.7111.714.040.563.64-1.373.975.973.623.835.472.322.524.393.651.832.702.495.060.014.606.755.45-1.824.685.973.872.95-0.353.673.423.653.933.113.74-4.735.292.282.701.631.79-1.241.000.681.72-4.05
------------------------------------------------------------
-0.571.09-0.773.013.873.704.43-2.694.9015.1012.519.004.2010.702.89-2.39-7.10-3.891.913.551.491.833.46-0.116.382.231.56-0.780.140.002.68-2.231.361.313.07-5.041.623.07-0.350.38-4.190.540.51-0.020.650.260.68-1.822.45-0.910.21-0.79-0.24-4.24-1.86-1.76-1.40-0.86
-0.590.81-0.612.322.812.803.36-1.873.5711.269.366.943.167.962.21-1.96-4.80-3.321.622.750.911.362.400.056.201.661.10-0.200.071.82-1.261.120.761.92-3.070.851.88-0.290.55-3.660.280.1814.730.350.060.63-1.432.231.21-0.07-1.40-0.14-4.38-2.42-2.13-1.69--0.95
0.440.470.460.430.510.530.590.550.610.650.690.650.650.640.580.470.450.420.460.480.520.550.540.560.540.550.510.470.480.490.470.440.450.450.440.430.440.450.460.460.470.470.440.41----0.510.520.500.570.580.520.470.50----
1.361.351.211.111.431.441.611.411.361.261.601.451.411.631.541.161.181.101.101.051.111.211.141.191.141.241.161.091.041.131.051.010.940.960.971.020.991.031.080.981.081.071.030.89----1.121.191.191.311.401.201.071.26----
2.252.322.262.382.292.312.282.502.392.302.222.432.252.172.112.252.102.072.062.262.182.182.082.232.052.091.992.152.032.021.972.092.042.052.052.192.112.152.102.172.032.012.022.10----2.042.012.011.941.901.861.951.89----
39.9238.8539.8437.8439.3438.8939.3935.9437.6739.0540.5937.0139.9841.5442.6839.9842.9243.5143.7139.7941.2841.2743.1740.4243.9843.0545.2841.7844.3044.6445.7143.0144.0943.9143.9441.1442.5841.8542.7941.5444.3544.7144.6242.83----44.0944.8644.6946.4547.4248.2646.1047.73----
-0.711.16-0.822.843.964.345.39-2.676.1723.0923.2219.5611.6738.6014.65-11.37-30.14-15.588.8514.787.2312.5926.240.9276.1082.08204-4.05-13.19-3.54-45.8717.04-25.45-4.83-11.3815.12-5.60-13.492.06-3.7888.32-2.28-1.21-107.18-----6.83-10.60-4.370.429.130.8923.2319.87----
-0.981.57-1.113.815.085.636.97-3.347.5928.6130.3428.1519.2386.0322789.67119750100.00343-32.18-37.84-46.40-0.68-99.23-12.00-6.82-0.18-1.07-0.43-7.534.35-4.71-2.09-5.077.34-2.48-5.900.98-1.6919.58-1.00-0.54-46.66-----4.03-6.33-2.750.296.220.5915.5911.34----
-0.240.40-0.271.011.451.491.98-1.022.167.326.434.502.055.071.29-0.92-2.16-1.380.741.310.480.751.290.033.380.910.570.020.100.040.86-0.540.510.330.85-1.380.370.84-0.150.25-1.730.120.076.05----0.731.160.57-0.04-0.80-0.07-2.06-1.20----
-0.440.73-0.531.942.822.993.73-1.904.0514.3913.299.224.6613.062.85-1.89-4.24-2.421.312.380.921.342.370.065.841.671.050.030.190.081.60-0.940.910.601.61-2.480.701.55-0.270.44-3.000.220.1210.24----1.442.411.17-0.08-1.56-0.15-4.23-2.48----
26.4426.3126.1326.8726.0125.1924.6324.1424.1122.9518.2514.1811.147.594.583.813.464.294.914.733.733.473.012.032.730.570.14-0.20-0.39-0.61-0.88-1.33-0.89-3.49-3.69-4.39-3.73-3.61-4.24-3.89-1.23-5.21-5.50-5.23-----45.10-46.98-53.52-43.22-39.44-35.80-36.50-24.96----
3.44-0.64-1.4010.277.885.522.1613.098.464.362.100.90-1.84-1.32-1.227.317.784.621.905.093.441.27-0.491.52-1.66-0.480.84-0.07-2.50-2.19-0.880.72-0.640.081.468.086.005.083.17-2.88-1.260.451.202.264.132.411.390.000.000.000.000.000.000.000.000.000.000.000.000.00
1.18-1.89-2.006.855.123.431.4110.566.793.441.653.651.772.62-0.646.637.324.321.725.732.810.88-0.560.66-2.43-1.030.64-0.64-2.83-2.36-0.940.15-1.10-0.281.337.705.404.763.00-3.44-1.620.121.041.533.562.061.22-------------