United Rentals Financial Ratios for Analysis 2009-2024 | URI

Fifteen years of historical annual and quarterly financial ratios and margins for United Rentals (URI).

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
0.811.110.831.070.840.831.061.151.050.881.060.990.841.271.53
0.550.610.590.660.730.760.740.810.840.800.780.810.961.011.01
1.421.611.622.132.983.453.044.735.534.433.884.6829.53-146.45-161.84
40.5642.9139.6637.3239.2541.8041.7041.7042.6342.7840.1038.5534.3929.4125.87
26.7027.7623.4421.1023.0124.2522.6924.5626.1024.4721.7614.3615.178.814.83
26.7027.7623.4421.1023.0124.2522.6924.5626.1024.4721.7614.3615.178.814.83
46.2046.9243.9844.5744.9745.1643.6546.3247.6545.7744.3436.7034.3929.9125.66
22.4024.0719.0013.3516.1918.3415.7815.7816.5514.9512.212.146.28-2.82-4.54
16.9118.0814.2710.4312.5513.6220.279.8210.069.507.811.823.87-1.16-2.63
0.560.480.480.480.490.440.440.480.480.470.440.370.630.610.61
41.5628.6535.7542.7847.3442.9651.6349.4048.3641.7142.4037.2138.9340.4939.73
6.435.815.796.496.115.215.396.266.256.056.165.195.635.937.00
56.7962.8363.0056.2759.7270.0867.7758.2858.3560.3559.2370.3064.8661.5152.17
29.8229.8123.1319.5830.6532.2143.3434.3439.6330.0320.944.7698.06110316
159360-911.84-70.02-52.91-40.01-72.72-24.04-21.89-20.93-18.23-2.89-37.558.9124.00
9.478.706.834.986.196.048.964.724.844.453.450.682.44-0.60-1.55
13.3311.529.386.588.237.6911.386.406.485.914.600.903.67-0.82-2.05
12110282.7262.9551.5042.6136.7719.5716.0818.3719.8116.931.64-0.33-0.32
68.4662.4650.6636.4538.9134.1625.8222.1120.7017.1614.597.608.347.487.29
33.0124.4020.4532.9119.8414.9510.3612.679.485.313.60-2.300.313.796.14

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
0.810.890.810.810.741.151.111.031.070.770.830.800.851.091.070.900.841.110.840.710.730.770.830.810.680.971.060.920.851.001.150.950.840.961.050.940.910.930.880.810.801.271.061.000.860.960.990.730.720.630.840.750.801.201.271.361.051.061.531.851.911.75
0.580.580.550.580.590.620.610.610.620.580.590.630.650.640.660.690.710.750.730.750.750.760.760.730.720.730.740.780.800.790.810.830.830.830.840.840.840.830.800.800.800.790.780.800.810.810.810.820.830.980.960.980.991.011.011.011.021.021.011.011.011.02
1.561.531.421.551.611.631.611.561.621.561.621.841.991.912.132.422.663.192.983.203.363.443.453.022.842.993.043.794.224.194.735.205.225.175.535.695.795.404.434.464.443.863.884.394.574.494.684.865.1447.3729.5354.85124-98.72-146.45-195.93-56.70-58.96-161.84-172.33-69.02-57.71
40.2338.6241.9042.1040.1037.7845.1544.7741.5039.3041.8242.4938.2634.7138.1340.5136.1534.2139.2941.5239.7835.9543.2844.3341.3537.2543.0343.7741.0137.9143.1443.5041.5238.1742.5544.5243.2539.8545.2044.5642.1038.0342.3843.0239.0535.0039.6341.4337.6632.4736.8638.4333.5526.3929.3134.5530.7021.5526.0330.4122.9324.24
26.6124.4528.5129.1926.0322.5331.0730.1925.8022.6626.8426.1621.0318.0822.3825.1919.6516.8524.3926.3723.1017.3824.4127.3224.8519.6124.0425.3721.2918.9526.4027.3224.4219.3926.0728.7726.2422.8127.2427.3323.2318.5125.5625.7120.7313.5518.9018.214.6313.2615.4221.8815.105.747.8715.3710.59-0.424.3111.320.813.03
26.6124.4528.5129.1926.0322.5331.0730.1925.8022.6626.8426.1621.0318.0822.3825.1919.6516.8524.3926.3723.1017.3824.4127.3224.8519.6124.0425.3721.2918.9526.4027.3224.4219.3926.0728.7726.2422.8127.2427.3323.2318.5125.5625.7120.7313.5518.9018.214.6313.2615.4221.8815.105.747.8715.3710.59-0.424.3111.320.813.03
--------------------------------------------------------------
22.1319.9424.2025.0521.7218.0827.1526.7521.9419.1423.2021.1916.4813.3716.9812.5712.9410.6417.6320.5015.3310.3918.4321.7418.9813.3817.4818.2314.3411.8715.8920.0915.2711.2219.1721.9410.4313.8419.8819.6210.157.9816.8916.6310.862.733.127.71-6.452.907.5113.466.20-5.16-6.706.280.54-13.39-8.800.68-4.72-5.56
16.8615.5518.2118.6716.6313.7319.3919.8617.7914.5417.3315.7612.819.8713.039.5110.938.1413.7615.7211.798.2713.4415.7414.2810.5546.6711.278.838.0410.0512.409.437.0211.1013.876.028.7512.4012.446.725.0910.4610.916.881.913.285.99-5.241.983.899.124.29-3.82-3.523.802.15-8.37-4.67--2.76-3.20
0.140.130.150.150.140.130.140.140.130.130.140.130.120.120.130.120.110.110.130.130.120.110.130.130.130.120.130.130.120.110.130.120.120.110.130.120.110.110.130.120.110.100.120.110.110.100.110.110.090.090.180.180.160.140.160.160.160.130.140.150.160.15
10.3010.2810.5710.8510.149.217.798.738.158.569.858.998.1111.7811.2812.0511.5712.1612.4311.1910.2111.0212.0011.3311.8012.9514.6012.1112.0811.2312.7411.8311.7010.9512.6811.1710.019.7710.997.646.817.1611.018.216.626.9411.098.026.075.2110.707.845.976.1110.828.256.438.159.367.928.627.63
1.671.571.671.651.661.621.641.581.591.571.661.621.631.641.731.651.581.501.611.561.501.421.491.471.571.501.561.531.611.591.661.621.641.571.641.561.601.551.661.641.661.571.661.621.611.521.581.521.411.571.611.571.551.531.581.521.621.491.651.601.641.65
53.9157.3653.8454.4354.1455.7354.7257.0556.6457.3054.3755.5455.0954.8751.9354.4956.9159.8456.0757.7059.9363.2260.3061.1657.2659.9057.7458.6655.7956.6854.3755.4454.9157.2354.9657.7256.3158.0454.0954.8554.3057.4554.0855.4056.0459.3257.1459.3663.8157.2155.9857.1858.2458.6856.8359.3655.5860.2554.4556.1054.8854.39
7.686.678.359.067.976.339.059.548.156.038.037.465.754.286.535.005.434.768.8310.717.765.199.119.998.535.9828.889.007.246.229.2812.158.926.1311.4514.365.927.6910.7910.575.203.297.588.275.161.322.604.78-3.6410.2427.1811811768.9785.00-153.33-24.0083.33126-36.9633.93
80.7191.7144.6756.8872.5281.41109195-508.25-2,293.75-316.45-64.21-22.08-20.02-23.37-12.33-10.66-7.49-15.23-15.93-10.09-6.17-11.32-17.77-15.61-9.72-48.46-9.75-6.08-4.93-6.50-7.45-5.19-3.50-6.32-7.94-3.07-4.11-7.52-7.33-3.48-2.87-6.59-6.23-3.39-0.83-1.58-2.701.82-4.53-10.41-23.47-9.497.846.88-9.50-4.3314.399.60-6.166.67
2.302.032.652.722.321.832.642.832.371.822.372.011.491.161.661.161.180.921.782.011.420.941.712.041.791.255.971.451.060.921.281.521.110.781.401.710.680.941.601.540.750.531.251.240.730.190.370.66-0.480.180.681.620.71-0.54-0.460.610.34-1.12-0.62--0.43-0.48
3.212.793.733.833.302.423.503.763.122.513.262.782.031.532.201.541.571.202.372.731.901.252.182.662.401.607.592.011.481.281.732.091.531.061.872.290.931.282.122.071.020.701.661.651.000.260.490.88-0.620.231.022.431.06-0.76-0.630.820.45-1.50-0.82--0.54-0.60
12512212111510910310291.6686.2384.6682.7275.7470.3765.5662.9557.6954.2050.4551.5048.1844.9242.8242.6140.8938.1736.4436.7726.1423.0420.7419.5718.1717.3216.7916.0816.1315.2315.4218.3718.1818.8018.7019.8118.5517.2216.9316.9316.5015.431.991.640.880.38-0.47-0.33-0.25-0.83-0.79-0.32-0.30-0.77-0.93
34.3915.2668.4648.2032.3613.4662.4645.4228.5912.1950.6641.5526.6010.4336.4531.5820.218.6738.9133.5920.268.3334.1625.5319.587.5325.8220.5215.567.2922.1118.8614.096.6420.7016.3612.796.8117.1614.099.984.7714.5910.568.233.847.604.704.113.338.346.184.002.537.485.013.241.967.295.813.412.07
15.6012.7033.0116.5111.616.7224.4015.9213.277.7720.4516.9915.799.8832.9127.2219.518.0819.8413.849.797.1014.956.238.186.0310.366.687.105.7312.679.178.356.609.484.744.424.545.313.002.272.613.60-0.800.722.20-2.30-3.86-4.65-1.170.31-1.04-0.651.153.792.131.601.666.145.343.332.17