AB SKF Financial Ratios for Analysis 2009-2024 | SKFRY

Fifteen years of historical annual and quarterly financial ratios and margins for AB SKF (SKFRY).

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
2.172.452.192.172.072.262.092.482.492.162.072.512.522.112.08
0.220.260.230.270.260.300.350.440.460.480.480.360.360.350.33
0.360.370.380.460.450.480.620.850.911.071.010.700.570.610.60
25.3625.2428.4822.7024.3524.3724.9224.4624.3625.0024.6425.5128.0527.5519.92
10.618.7899.669.4410.9212.8911.0210.349.1710.985.8011.3614.5413.855.72
10.618.7899.669.4410.9212.8911.0210.349.1710.985.8011.3614.5413.855.72
14.7512.6810413.9914.9915.7714.0013.5912.9314.358.7814.1917.2417.119.58
8.847.5212.318.429.8511.899.839.267.689.394.4410.0813.4912.374.09
6.164.618.975.746.468.507.025.475.116.691.647.559.408.683.03
0.930.870.820.830.910.980.960.870.950.870.901.061.121.111.10
3.342.782.783.683.603.643.423.573.963.533.503.743.363.433.83
6.185.735.856.096.146.195.815.416.455.295.236.196.186.196.39
59.0763.6662.4059.9159.4458.9462.8367.5156.5669.0169.7558.9459.0558.9657.13
12.338.9816.7112.5315.5021.40--15.5017.204.3621.0326.2729.529.85
17.8613.5426.6722.9830.5342.7846.2251.8784.9318543.3237.2947.9662.3312.62
6.064.387.614.946.158.707.095.025.115.141.307.789.9310.633.53
9.596.6512.929.1711.4815.0812.638.478.379.012.2613.4216.8719.106.60
11.3811.7611.628.558.688.967.687.116.85------
2.851.231.341.982.182.111.661.832.021.411.792.011.841.652.23
1.680.170.381.261.391.551.111.371.510.85-1.801.401.840.801.60

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
2.362.232.172.202.122.322.452.222.042.072.192.422.332.452.172.042.042.102.072.252.092.212.262.102.252.172.092.322.262.592.482.432.682.522.492.422.382.362.162.102.202.292.072.242.172.172.512.732.362.542.522.362.252.212.112.132.052.082.082.202.152.56
0.250.240.220.240.250.290.260.280.240.250.230.300.310.310.270.300.300.290.260.330.230.320.300.300.340.330.350.390.400.430.440.460.490.460.460.470.470.490.480.480.510.500.480.360.360.340.360.430.370.340.360.370.370.340.350.290.300.310.330.390.380.40
0.340.380.360.400.400.420.370.460.400.590.380.450.480.470.460.600.600.510.450.530.350.550.480.520.520.580.620.651.020.780.850.890.980.900.910.930.911.031.071.091.151.011.010.710.750.680.700.810.620.560.570.630.610.580.610.490.500.570.600.740.720.72
26.8328.7323.8424.5126.0526.8224.7023.0324.8528.2826.9427.6230.3528.9024.2723.0418.3924.1922.5924.0825.1125.4822.0024.4125.3125.5324.6524.4925.2125.3823.3625.1024.4424.9221.8924.6025.7325.7325.8726.6026.5125.7923.3025.9825.1424.0724.3425.2426.1326.4526.3529.3430.6327.0826.5426.2627.8426.0321.0520.4317.6520.19
9.7212.127.579.9611.8512.737.717.726.6812.8736112.8513.8813.5911.0210.344.0311.298.9210.8811.2912.4913.7212.1712.9312.7710.4410.5511.4411.718.3212.2310.2110.585.879.9312.884.98-2.428.389.0310.78-8.2913.189.729.966.3114.2311.0512.5511.2211.8112.6918.0917.5122.3714.2511.453.3711.343.775.44
9.7212.127.579.9611.8512.737.717.726.6812.8736112.8513.8813.5911.0210.344.0311.298.9210.8811.2912.4913.7212.1712.9312.7710.4410.5511.4411.718.3212.2310.2110.585.879.9312.884.98-2.428.389.0310.78-8.2913.189.729.966.3114.2311.0512.5511.2211.8112.6918.0917.5122.3714.2511.453.3711.343.775.44
--------------------------------------------------------------
8.2511.024.918.5110.4311.086.266.484.6412.5811.0212.1113.5112.5610.629.253.499.248.039.7210.0511.4812.4410.9812.3011.799.279.0810.1710.847.2111.449.019.363.527.3411.118.537.5210.6510.1010.84-10.5610.8810.098.156.8610.9610.5911.7111.2114.7015.1613.3712.7011.5713.0310.455.434.942.193.57
5.977.642.516.437.537.813.204.402.088.658.078.7210.078.977.546.342.066.224.796.156.728.079.987.148.558.369.595.605.667.184.757.543.566.162.053.948.335.764.767.706.617.62-12.677.196.745.236.568.187.097.927.4110.0110.439.708.769.218.947.413.643.632.282.65
0.230.210.220.220.230.240.220.220.220.230.200.210.220.210.230.190.180.200.220.220.240.220.230.250.260.240.250.240.250.230.210.220.230.220.230.230.250.210.190.220.240.230.230.250.250.240.250.250.280.280.260.260.280.310.310.340.310.280.290.270.260.26
0.760.720.800.770.750.740.690.720.690.700.710.750.790.831.000.850.750.780.890.830.900.840.890.900.910.830.880.850.920.910.880.880.920.900.970.890.930.900.870.880.900.890.920.870.920.900.910.870.930.920.810.810.840.940.920.920.890.911.030.870.840.78
1.361.321.451.391.381.421.421.391.351.391.451.451.381.341.691.421.341.351.481.401.441.361.461.491.491.361.501.381.431.341.321.351.391.431.531.421.441.301.141.351.361.341.371.431.371.341.441.431.421.451.441.411.421.551.731.731.481.471.671.511.411.37
65.9968.0262.1064.8265.4663.4163.4764.8566.6964.6861.9862.0765.3967.0253.2363.3267.0166.6760.6664.5062.3966.1461.5460.4960.2866.0160.1265.3162.9766.9368.4166.4864.6462.9158.6863.4362.5369.3978.8466.7565.9867.1065.8362.8065.9267.1162.6363.1163.1862.0662.5863.6663.4158.2151.9452.1060.9561.4254.0059.7663.7165.78
--1.29---1.58---3.74---4.60---2.78---5.90-----------1.41---2.99----9.95---4.38---5.09---7.52---2.92---
4.134.731.874.345.546.092.383.411.767.105.987.169.277.758.436.491.796.465.487.659.149.1611.809.9513.5911.6916.1510.3012.6414.2011.3321.8614.0422.527.7318.8240.2346.3332.2063.8272.7244.85-98.859.379.756.667.7611.3810.669.739.2914.2315.8115.5315.8910.799.757.303.743.782.262.46
1.471.680.631.481.831.930.771.060.552.041.711.872.251.931.811.280.351.301.111.401.661.872.401.862.362.072.481.411.531.721.101.710.881.420.470.892.081.240.891.701.561.72-2.961.801.691.271.622.062.012.221.922.602.953.022.713.132.772.091.050.970.590.68
2.172.541.012.252.812.881.171.600.863.332.903.023.713.133.372.350.632.332.062.462.053.234.163.264.033.634.412.432.682.821.852.991.522.380.761.493.432.111.572.982.642.89-5.153.183.092.332.793.463.583.733.274.625.225.384.876.155.403.951.961.791.071.14
11.8412.6911.3811.8212.0311.2211.7611.5211.51-11.6210.7210.3210.668.559.068.319.048.688.4013.788.998.968.348.438.937.687.536.837.287.116.536.346.76----------------------------
0.810.382.852.001.340.581.230.480.23-0.061.341.020.390.031.981.340.550.632.181.660.970.352.111.380.910.221.661.080.630.161.831.280.710.242.021.310.690.371.380.55-0.150.101.791.150.660.142.011.450.740.351.841.360.830.261.641.260.570.112.191.731.120.27
0.810.381.682.020.700.590.170.480.22-0.320.381.030.400.031.261.430.610.651.390.970.500.161.551.480.940.071.110.820.590.021.372.031.270.241.511.150.690.220.84-0.06-0.54-0.09-1.800.470.08-0.301.400.700.420.351.841.420.860.250.801.260.570.111.571.240.800.14