Sandvik AB Financial Ratios for Analysis 2009-2024 | SDVKY

Fifteen years of historical annual and quarterly financial ratios and margins for Sandvik AB (SDVKY).

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
1.641.731.662.292.212.432.321.891.792.121.702.271.721.851.86
0.270.340.230.170.040.020.030.400.060.100.460.49---
0.510.640.440.210.060.060.050.800.120.161.050.98---
41.1440.3940.5437.3140.2740.9840.3038.8335.6535.5832.6135.2234.4235.7223.72
17.7216.5518.8212.9812.9718.6819.9013.518.4711.379.8913.6910.7913.34-1.96
17.7216.5518.8212.9812.9718.6819.9013.518.4711.379.8913.6910.7913.34-1.96
23.6222.4724.8719.8822.7323.0825.3319.2914.7016.0315.2618.0710.7913.34-1.96
15.6515.7918.6313.0411.7717.8818.7111.486.189.307.7311.698.6911.39-4.83
12.099.9814.5910.118.2712.7014.506.752.626.755.738.236.238.40-3.61
0.730.640.640.730.860.850.850.790.850.840.930.950.950.920.79
2.171.911.972.522.542.402.532.382.572.382.522.502.372.482.77
4.024.063.934.924.924.814.844.424.864.284.574.824.284.284.02
90.8689.9292.9874.2174.2175.8175.3582.6675.0985.2479.8775.6685.2785.3590.69
17.4515.8218.7413.4514.1122.6427.1217.4010.1113.6514.8623.43---
65.9584.9249.0919.8620.8936.5342.1534.1021.8627.2723.0634.2223.9636.15-16.41
8.787.289.327.357.2511.1912.376.613.404.715.328.165.368.28-2.83
12.6910.4014.3511.1313.5722.2126.3410.369.5312.278.0612.0015.6122.04-8.67
6.596.427.195.665.2246.6538.8431.323.22------
1.410.831.221.331.491.371.331.081.131.110.631.410.000.000.00
1.140.601.001.121.231.081.110.850.850.690.130.87---

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
1.581.621.641.791.621.821.731.801.421.921.661.672.152.372.292.442.312.172.212.112.072.172.432.392.372.502.32---1.891.941.961.871.791.981.842.032.122.041.851.811.701.701.601.962.272.051.841.871.721.751.711.911.851.961.861.961.861.681.701.89
0.310.270.270.330.340.350.34-0.350.270.230.220.220.210.170.26--0.040.300.290.310.320.330.340.350.03---0.10---0.060.520.540.530.100.540.530.450.460.460.490.490.490.470.46--0.440.440.42------0.500.45
0.450.370.510.490.670.630.64-0.680.490.440.290.330.270.210.41--0.060.480.460.530.520.520.550.550.05---0.19---0.121.211.281.220.161.291.310.951.051.071.141.180.981.021.05--0.961.000.83------1.431.15
41.4037.8141.1541.0640.6441.7440.1139.6339.6942.2138.9439.8641.9741.7938.3238.7732.6138.8938.9538.3341.9441.7638.0242.1742.7941.0240.6339.8039.8440.9239.3838.1539.1138.6533.5136.2436.7932.6938.3936.0537.9837.3027.9333.8033.6735.2830.2835.8136.5237.0931.7232.0138.2634.9932.4833.4938.4433.8026.7424.7617.4425.91
17.687.5718.6618.3215.9218.0616.5217.1213.6518.9817.6618.0520.2619.6314.9817.177.4511.692.4311.9119.1918.2516.0621.4319.3018.0333.3215.4513.8916.0615.1313.3013.3112.2517.7211.2113.360.660.836.838.5210.402.3214.8212.858.9410.4114.6416.2416.716.697.1410.6720.8619.7218.7116.1310.24-0.280.31-10.580.85
17.687.5718.6618.3215.9218.0616.5217.1213.6518.9817.6618.0520.2619.6314.9817.177.4511.692.4311.9119.1918.2516.0621.4319.3018.0333.3215.4513.8916.0615.1313.3013.3112.2517.7211.2113.360.660.836.838.5210.402.3214.8212.858.9410.4114.6416.2416.716.697.1410.6720.8619.7218.7116.1310.24-0.280.31-10.580.85
--------------------------------------------------------------
15.885.8216.6715.9013.7316.3515.2616.4913.7117.7818.0618.3119.8518.3814.4819.807.559.931.4111.1217.7316.7415.5320.8618.2816.9632.1714.5512.9314.2813.2311.2811.2510.132.429.0210.012.5110.049.269.8510.000.3210.2110.709.686.6712.1114.1413.494.194.7113.8212.0411.179.7314.748.10-1.01-3.15-13.51-2.24
11.024.3013.4112.3710.3212.3310.17-0.8214.0316.8413.2115.7614.9714.6511.1115.815.447.74-0.838.1113.3912.379.9815.5513.0612.3826.4011.059.3810.408.573.098.067.12-0.671.197.381.786.496.496.947.190.227.998.066.682.998.9710.7010.072.912.669.519.209.007.7810.076.05-0.57-1.09-11.19-1.56
0.170.160.180.170.170.170.170.170.150.150.180.190.190.170.200.170.170.190.220.200.220.190.220.210.230.210.22---0.200.190.200.190.210.200.230.200.180.210.210.220.230.230.230.210.240.230.250.250.240.240.240.260.290.250.220.210.220.180.180.18
0.520.500.540.490.490.490.510.500.500.510.580.540.550.540.690.520.550.550.660.560.560.550.650.540.580.600.66---0.600.570.570.560.520.570.610.650.590.590.540.550.670.550.610.590.670.560.590.570.630.610.600.610.750.630.600.630.750.580.590.51
0.890.861.011.000.970.991.070.990.950.991.121.061.071.021.361.071.041.051.241.081.111.071.201.101.141.101.28---1.121.071.041.031.181.041.030.960.940.980.960.961.141.051.040.971.251.021.061.041.101.031.021.151.351.151.030.981.100.880.870.82
10110589.2690.0792.3890.9984.0391.3694.3791.2080.0884.8884.2887.8266.1184.2186.4085.3972.4283.3781.0284.4874.8482.1178.9882.0470.52---80.5884.1186.8887.0776.4986.4787.4293.6995.8692.2694.1094.1279.2885.4186.1992.6472.1487.8384.7686.3881.8887.5888.5378.2966.5177.9487.3492.1481.53103104110
--4.85---3.99---4.86---4.10----0.27-------13.17---5.10----0.43---3.45---0.14---2.10---------------
16.024.7218.3418.5018.9319.7021.4018.1116.149.1512.7410.707.556.276.066.782.444.19-0.395.349.727.797.8511.339.748.1720.47---10.009.789.998.43-0.937.7611.562.216.898.249.306.430.227.949.406.463.078.8112.1110.333.192.8810.689.8211.419.2711.876.74-0.71-1.15-12.18-1.23
1.880.692.442.151.792.111.831.931.442.042.422.932.922.562.242.660.931.48-0.141.653.022.442.413.403.092.626.01---1.941.581.661.42-0.151.201.670.361.191.341.451.580.051.841.891.400.732.062.702.470.710.652.262.392.611.922.261.27-0.12-0.19-2.02-0.28
2.670.973.532.932.532.902.624.262.352.943.724.264.053.463.403.571.712.84-0.262.304.203.423.304.674.303.5912.79---4.574.574.724.11-0.411.712.380.503.101.862.092.320.082.783.002.191.083.154.326.992.081.043.603.626.965.396.583.69-0.37-0.61-3.17-0.44
6.637.176.596.596.586.556.426.035.90-7.19---5.66---5.22-------38.84---3.66-------------------------------
0.440.291.411.000.590.300.830.18-0.030.091.220.870.540.261.330.950.470.231.491.000.480.251.330.480.360.171.400.370.520.291.120.770.350.151.130.880.490.231.110.620.260.090.660.280.590.271.400.870.390.000.000.580.230.130.000.000.000.000.000.000.500.19
0.340.241.140.820.470.240.600.07-0.090.091.000.720.440.221.120.810.380.191.230.820.360.201.050.410.240.111.170.320.440.250.890.610.260.110.850.700.370.180.690.360.070.010.14-0.050.390.180.860.580.20--0.16-0.020.02------0.200.01