Shell Financial Ratios for Analysis 2009-2024 | SHEL

Fifteen years of historical annual and quarterly financial ratios and margins for Shell (SHEL).

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
1.401.371.351.251.161.251.201.171.321.161.111.181.171.121.14
0.280.280.320.370.300.250.270.310.240.180.170.150.160.190.18
0.430.440.510.680.510.380.430.490.360.260.250.210.230.300.25
25.7826.0226.5922.0319.9718.6219.1819.5516.0616.1815.8317.1617.6718.1119.14
11.5417.6112.26-12.498.579.937.113.671.456.987.6710.8511.759.617.56
11.5417.6112.26-12.498.579.937.113.671.456.987.6710.8511.759.617.56
21.2222.4022.1416.1416.7215.5115.5214.0811.2612.6612.3513.8914.4813.7312.63
10.1016.7810.94-14.727.248.985.812.340.756.567.3110.4911.469.357.37
5.9910.967.37-11.834.505.894.161.910.713.453.565.556.365.324.39
0.800.870.670.480.870.990.770.580.801.221.291.381.441.170.98
9.228.967.927.3411.7115.289.998.8714.4418.3512.8912.9613.7710.558.41
6.075.815.125.458.119.357.005.265.947.387.227.376.095.394.81
60.1762.8671.2366.9945.0039.0552.1669.4461.4049.4850.5449.5659.9067.6675.95
10.4222.2611.77-13.588.6311.806.792.531.348.539.1215.3019.4413.679.21
12.1625.6913.70-15.859.8413.367.742.901.398.899.3515.7020.0014.159.58
4.839.685.10-5.684.065.993.301.160.654.174.627.709.216.354.35
7.5516.038.05-8.636.058.884.951.761.016.987.6013.0816.3311.127.53
58.0855.2645.6340.6146.3649.2947.4246.1251.0454.4456.8755.14-47.8538.96
15.9418.4611.568.7510.4012.728.595.229.3214.2712.8514.7211.838.917.00
9.9312.7510.335.135.928.255.690.142.637.360.536.355.621.22-1.21

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.401.411.421.401.481.461.471.371.381.391.341.351.261.321.301.251.311.241.111.161.151.101.161.251.201.271.201.201.231.241.211.171.161.101.041.321.311.281.151.161.191.181.131.111.141.141.161.181.171.201.181.191.181.151.121.111.221.191.141.201.151.14
0.250.260.270.280.270.270.280.280.280.280.310.320.340.340.340.370.360.350.300.300.280.280.280.250.240.260.270.270.290.290.300.310.310.290.270.240.240.200.170.180.170.170.180.170.150.140.130.150.130.140.150.160.160.170.190.200.200.200.180.190.160.13
0.400.400.420.430.430.440.440.440.430.430.480.510.570.580.610.680.680.650.520.510.460.470.460.380.390.400.440.430.450.460.480.490.520.470.410.360.340.300.260.260.240.240.250.250.210.190.200.210.200.190.210.240.250.270.300.310.290.270.250.260.220.20
24.5626.0528.4822.6028.2623.7328.2027.5122.0128.8125.5029.7618.6026.8029.8620.6726.2224.1718.8219.1421.2117.3922.2717.7818.6119.0619.1318.7720.6616.8920.3821.3019.2318.7518.5514.879.7518.9820.2912.4715.4018.2317.9714.6614.6815.0618.8816.9418.1614.6918.8316.2317.7620.6520.8717.0415.9918.0121.6816.9417.4420.00
11.6511.5116.343.4915.928.6317.4317.2812.3226.0513.8119.103.338.1315.44-7.143.21-70.292.864.6010.656.7212.338.4910.4810.6210.218.558.584.796.116.774.462.87-0.550.46-12.428.179.033.147.778.358.035.777.915.0311.8610.4611.358.6712.8910.2212.2514.6413.556.158.439.6010.774.995.718.07
11.6511.5116.343.4915.928.6317.4317.2812.3226.0513.8119.103.338.1315.44-7.143.21-70.292.864.6010.656.7212.338.4910.4810.6210.218.558.584.796.116.774.462.87-0.550.46-12.428.179.033.147.778.358.035.777.915.0311.8610.4611.358.6712.8910.2212.2514.6413.556.158.439.6010.774.995.718.07
--------------------------------------------------------------
10.039.8614.782.0414.477.0416.1216.2511.5825.3812.9618.031.946.6913.93-9.160.99-73.581.023.289.355.3510.987.569.599.689.187.447.283.504.605.112.951.59-1.29-0.40-13.197.538.482.687.397.917.625.357.584.7011.5110.1510.998.3312.449.9511.9614.3010.355.819.6411.585.546.099.159.85
5.924.699.850.599.034.129.7810.296.8317.508.5612.70-0.735.559.57-8.911.09-55.80-0.041.136.573.267.015.345.756.076.474.325.262.134.832.302.181.950.971.56-10.725.396.430.634.064.604.021.603.951.527.085.496.213.417.065.546.957.656.243.734.856.372.234.335.985.99
0.180.190.190.200.190.180.210.230.230.230.200.220.150.160.150.120.120.090.150.210.230.220.210.260.250.240.220.220.190.180.180.160.150.140.120.180.200.210.200.270.310.310.310.310.330.330.320.350.320.350.350.360.360.330.340.300.300.290.300.250.220.21
2.262.102.022.381.852.152.242.302.222.032.062.512.041.801.831.841.911.393.562.863.043.102.784.072.822.872.952.842.572.712.702.422.472.372.333.243.242.662.754.183.403.013.193.173.383.352.973.312.923.612.943.493.022.712.932.662.722.462.512.452.122.18
1.551.481.401.501.501.451.441.521.481.551.311.701.331.411.471.341.351.001.661.962.202.131.922.471.992.042.021.981.651.741.661.471.351.220.941.311.411.451.331.611.861.771.761.751.891.841.731.871.631.681.571.601.651.471.551.481.451.371.481.120.880.76
58.1060.7064.0759.8360.0862.0262.4259.1560.7858.2468.7053.0867.7963.6761.1167.2166.4889.6854.3345.9340.9042.2846.7836.5045.2944.1144.5245.5154.6651.6754.2661.2666.5773.9995.6268.4863.9161.9867.5855.8848.4050.9251.1351.3847.6149.0451.8948.0155.3453.4557.3056.1154.5561.2158.0060.9162.2265.7560.6780.35102119
2.321.953.950.283.721.644.495.443.609.39-6.62-0.192.083.46-2.500.34-11.28-0.010.573.131.613.082.793.003.073.001.992.120.841.890.850.76-0.230.57-4.55-2.690.242.44-2.481.012.630.984.543.833.922.305.274.235.245.594.582.473.223.981.462.372.892.75
2.672.264.600.334.291.905.226.274.1310.814.737.70-0.222.394.01-2.910.40-13.19-0.010.653.551.833.493.163.403.493.412.272.420.962.160.980.870.750.260.60-4.732.402.800.252.552.992.591.032.691.004.653.934.022.355.424.355.395.764.742.563.354.141.512.473.002.86
1.110.921.850.131.740.762.042.361.574.071.722.87-0.080.891.50-1.040.14-4.83-0.010.271.520.771.501.411.481.521.470.971.020.400.890.390.340.310.110.28-2.151.151.330.121.231.441.240.511.340.502.301.932.021.182.522.022.502.602.131.151.511.870.691.111.341.25
1.731.452.890.212.711.193.233.922.596.722.834.53-0.131.382.27-1.580.22-7.30-0.010.402.241.162.222.102.272.282.191.451.510.591.320.590.520.470.170.43-3.471.842.220.202.032.382.020.842.230.843.943.283.411.984.493.564.414.663.721.992.563.191.191.932.432.40
60.9059.2058.5257.7458.0657.0457.0355.2653.0852.8345.9945.6342.9743.8742.7040.6150.5348.7845.0346.3648.2748.5949.1749.2948.5548.2448.2647.4247.9047.5446.8946.1246.51-49.3751.0450.92--54.4456.78--56.8756.7355.98-55.1458.1556.08-52.6652.99-47.8546.2944.5944.7838.9644.3843.30-
13.148.394.1015.9412.368.604.0618.4612.538.913.8711.569.505.372.128.757.114.473.8010.407.914.812.1212.727.444.532.288.596.825.022.315.222.820.750.199.327.624.122.2314.2711.197.164.4512.8511.047.743.653.1511.538.654.319.735.992.798.917.084.221.557.005.172.752.47
9.356.082.979.938.205.982.7112.758.506.362.9110.337.614.381.925.134.812.963.125.924.812.500.908.254.212.641.315.694.643.991.290.14-1.03-1.94-1.342.632.780.990.977.366.383.612.270.533.062.531.290.246.105.593.006.344.412.451.220.830.82-0.03-1.21-0.78-1.240.58