VALE S.A Financial Ratios for Analysis 2009-2024 | VALE

Fifteen years of historical annual and quarterly financial ratios and margins for VALE S.A (VALE).

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
1.281.121.471.671.231.681.452.011.471.882.541.791.941.772.32
0.280.290.310.330.290.240.320.400.420.340.310.280.230.240.25
0.410.410.490.530.450.350.500.710.810.540.480.430.310.380.39
42.3545.1960.1355.5843.6139.5538.0635.7919.8135.1248.1645.4659.1756.3041.57
34.0039.2550.8132.433.5132.6932.1825.65-26.6523.8432.2120.2150.4846.1332.51
34.0039.2550.8132.433.5132.6932.1825.65-26.6523.8432.2120.2150.4846.1332.51
41.3446.4956.3832.4313.4341.8543.0938.34-10.7434.8541.0829.1456.8653.0644.19
26.6945.1254.2017.68-7.3918.6423.0529.05-75.607.9515.488.7946.4643.1930.56
19.1142.8641.1812.34-4.4818.7616.2114.49-51.871.871.2511.7237.9436.7123.41
0.440.500.610.430.410.410.340.280.260.300.380.360.470.360.23
5.145.364.964.334.964.985.365.275.315.065.885.034.674.784.26
8.207.8411.417.1910.8910.369.015.208.126.326.205.345.806.057.67
44.5246.5531.9850.7833.5335.2440.5370.2244.9557.7258.8768.3662.9360.3547.62
19.7845.0070.3717.96-5.5915.5914.1512.68-34.812.110.9710.1441.2526.7610.54
27.6261.9894.4824.51-7.1518.9517.4615.23-40.922.410.708.0233.1624.489.38
8.6119.3527.786.80-2.387.926.395.25-14.051.020.334.0317.8412.865.23
14.2832.1448.4312.00-3.9611.799.667.58-20.031.390.435.1022.4917.436.59
9.538.337.306.797.608.758.617.966.9310.9312.6014.5215.27--
3.012.485.122.792.362.492.401.230.872.542.873.164.473.591.37
1.661.304.121.971.641.761.660.28-0.700.260.330.161.451.22-0.18

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.081.121.281.081.151.121.121.071.321.331.471.241.771.961.671.641.721.231.381.241.211.681.651.681.531.451.861.881.902.011.801.581.511.471.731.741.771.882.052.372.572.542.071.902.011.792.452.232.091.942.242.032.121.772.101.952.262.322.653.553.18
0.300.290.280.280.280.280.290.290.290.310.310.320.290.320.330.300.350.290.260.270.270.240.270.270.290.320.340.380.410.400.420.410.430.420.370.350.350.340.320.310.310.310.270.280.270.280.250.220.220.230.220.210.230.240.230.240.250.250.240.260.27
0.460.440.410.420.410.410.410.430.430.480.490.520.440.500.530.450.560.450.390.410.440.350.400.420.440.500.550.660.780.710.780.780.820.810.660.610.610.540.490.470.470.480.410.440.410.430.360.320.310.310.300.290.330.380.350.370.390.390.350.370.39
36.0036.5547.2140.6138.5941.3240.0836.5446.6757.2550.4555.6266.9165.7670.2255.2538.6143.4944.4043.6742.6941.3839.6837.5939.2836.8340.2029.4844.4049.3835.4027.6325.708.6322.5225.5417.1830.6328.2638.5941.1849.2749.1944.5149.2439.6941.3347.4546.8152.7263.8461.8359.7759.5463.7455.7544.7635.7446.4535.6644.72
39.0628.9439.6630.8329.6934.1629.2628.4338.4661.0426.2550.1962.2961.9626.4146.4728.17-24.4435.4019.82-20.5429.2034.2833.1234.4627.0533.3121.0545.9430.2130.9519.2120.18-237.7512.0814.1411.7522.6117.9322.4331.7919.3038.4133.6139.54-4.6323.9631.7733.7040.7157.1551.6848.7132.9059.2549.3733.6743.3134.1921.8732.87
39.0628.9439.6630.8329.6934.1629.2628.4338.4661.0426.2550.1962.2961.9626.4146.4728.17-24.4435.4019.82-20.5429.2034.2833.1234.4627.0533.3121.0545.9430.2130.9519.2120.18-237.7512.0814.1411.7522.6117.9322.4331.7919.3038.4133.6139.54-4.6323.9631.7733.7040.7157.1551.6848.7132.9059.2549.3733.6743.3134.1921.8732.87
-------------------------------------------------------------
27.5725.2424.1428.0928.1227.2224.3552.8645.3260.7643.9548.3961.9660.4019.6833.46-7.00-34.5925.554.00-28.1230.1121.17-6.6328.0411.6536.731.7438.8820.8315.6936.8447.82-237.45-103.6026.04-64.58-18.15-19.3224.1235.41-11.1735.382.8937.90-29.7417.0612.0336.9543.8230.4456.0160.6446.1056.0841.6820.2211.3637.1945.8128.72
27.9119.8518.5226.709.2221.7831.1944.8755.1341.2337.4631.1749.3344.185.1727.023.43-16.0316.19-1.07-20.0238.5814.750.8818.488.4124.640.2229.246.248.5516.6931.05-233.23-32.5424.05-49.97-27.78-15.8614.4226.47-49.1528.403.9829.20-22.0514.7821.1732.8332.3830.1643.0450.3839.6342.8237.3123.4223.2225.0115.5425.14
0.110.090.140.120.110.100.140.120.130.120.150.140.170.140.160.130.080.110.110.100.090.110.110.100.090.090.090.070.080.090.070.070.060.040.060.060.060.060.070.080.070.110.090.080.080.090.080.100.090.110.130.100.100.120.110.090.070.060.070.060.07
1.321.031.471.231.140.991.601.201.150.921.481.081.161.011.051.111.051.321.231.120.961.291.421.341.321.481.331.281.291.271.111.241.120.951.171.171.271.031.351.221.181.611.371.181.001.231.261.221.111.371.171.091.141.811.201.081.041.250.970.780.77
3.322.752.562.262.162.092.143.303.862.732.747.272.943.152.603.192.802.893.482.562.252.782.812.562.302.432.362.331.761.591.481.441.371.281.531.471.431.201.651.311.241.741.591.451.211.381.701.741.511.3959.711.891.781.921.871.701.772.152.021.851.96
27.1432.7035.1439.8441.5843.0342.1427.2723.3332.9232.8012.3930.6428.5434.6428.1932.1731.1825.8935.1339.9532.3832.0635.2139.1737.0338.1638.6251.0656.5460.7862.4865.7270.5558.6761.1762.9075.0954.4468.6872.4651.7256.6562.2674.6065.3852.8751.6959.6664.621.5147.5550.4346.8848.2452.8450.9441.8444.6648.6645.95
7.214.325.967.242.304.8310.0212.8211.2111.6315.3116.1519.2616.296.808.450.48-5.213.83-0.25-3.888.553.300.223.692.745.050.417.524.101.482.704.59-24.24-5.336.08-12.57-2.03-3.543.065.28-15.576.570.785.69-5.102.283.835.537.857.828.9910.589.539.666.853.082.993.341.833.70
9.826.088.329.883.176.6113.8017.5515.0515.8720.5621.8726.0221.569.2810.550.61-6.664.75-0.31-4.8310.394.060.274.543.386.200.497.084.921.783.245.43-28.48-5.053.74-7.50-2.31-2.532.273.91-11.275.060.604.56-4.031.923.524.666.346.477.7010.498.728.826.152.752.662.911.553.05
3.201.842.593.211.012.154.315.514.914.816.056.348.446.642.573.510.19-2.211.74-0.11-1.784.341.610.111.791.242.300.172.491.700.611.111.87-9.78-1.991.52-3.03-0.98-1.161.081.86-5.252.640.302.33-2.031.131.982.783.683.834.515.234.584.813.341.541.491.660.891.67
5.053.084.305.201.663.477.169.057.998.0410.5410.9113.6211.044.545.940.32-3.692.83-0.18-2.846.462.410.162.641.873.330.253.472.450.871.582.64-13.95-2.782.11-4.24-1.34-1.541.402.43-6.933.330.382.93-2.561.362.423.454.644.795.746.906.216.384.391.961.872.121.102.12
8.999.119.539.189.288.578.337.638.058.127.306.978.416.916.796.476.297.608.328.268.178.758.078.258.818.618.918.388.537.968.128.057.526.939.809.689.3810.9312.3013.2613.1812.6014.6713.9115.0514.52---15.27-----------
1.120.833.011.941.250.812.482.101.320.545.124.682.891.372.791.520.332.361.780.980.422.491.861.100.422.401.691.230.571.230.780.32-0.100.870.610.300.102.542.261.680.792.872.551.710.753.202.541.460.624.773.262.511.233.732.240.960.261.361.090.610.41
0.480.511.661.060.720.561.301.300.800.314.124.042.481.181.970.940.111.641.350.720.311.761.410.790.251.661.130.770.350.280.08-0.19-0.36-0.70-0.59-0.54-0.320.260.630.700.330.330.710.450.100.160.380.250.051.641.371.300.681.330.760.19-0.08-0.180.16-0.090.09