VEON Financial Ratios for Analysis 2009-2024 | VEON

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

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
0.881.101.130.650.430.700.850.690.980.910.750.800.740.720.87
0.760.870.860.900.780.700.730.570.680.860.750.630.610.280.52
4.8110.667.079.964.662.832.661.342.086.023.221.891.750.501.47
88.0787.3287.4376.5277.0676.7177.4277.6677.4376.4074.7473.4172.1976.5277.16
25.1230.9726.577.0122.786.1015.4812.205.4513.89-2.7120.6516.8027.1329.60
25.1230.9726.577.0122.786.1015.4812.205.4513.89-2.7120.6516.8027.1329.60
44.8448.8448.0341.6547.0835.7337.5933.9926.9733.4916.4242.3642.8446.9249.05
15.1221.3612.05-1.1213.33-2.733.463.91-6.192.78-10.2812.523.7022.1317.82
-68.36-4.3117.51-4.797.016.41-5.3326.20-6.82-4.80-16.448.590.9616.3712.83
0.450.250.240.500.550.640.490.420.280.330.320.420.370.530.59
19.1726.444.3615.4212.0315.0129.7115.8820.8527.2121.0136.7224.8217.9632.13
6.828.235.5812.7514.1115.7512.5512.9714.197.157.009.248.0120.7622.20
53.5044.3265.4228.6425.8623.1829.0928.1425.7251.0452.1239.4945.5617.5816.44
35.4895.577.97-38.9930.77-22.20-3.70-4.77-20.93-5.61-38.0613.895.8114.7622.36
-69.34-61.44-6.9012.58-19.6921.344.9731.6531.921.5922.34-17.51-6.7673.19229
4.624.860.75-2.714.25-4.38-0.74-1.36-2.41-0.54-6.953.861.668.407.61
8.3812.011.10-4.016.84-6.60-1.01-2.04-6.80-0.80-9.635.202.2710.5710.63
15.2510.9421.5114.4831.7339.7255.6086.3855.6656.85-----
29.6235.8737.4534.9242.1535.9535.3826.8029.0675.4692.7411288.8176.0184.55
22.1726.9827.5310.9518.108.106.383.42-2.2325.7350.9352.9129.7441.1167.90

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
0.770.860.880.981.001.041.100.780.621.031.130.620.560.600.650.460.430.480.430.440.610.700.700.980.970.700.850.940.860.590.690.980.980.980.980.930.841.010.910.870.800.740.751.071.051.040.800.870.820.830.741.111.071.130.720.930.930.920.870.890.750.54
0.730.760.760.720.790.820.870.930.860.880.860.870.880.880.900.890.810.820.780.770.72-0.700.730.750.730.730.700.650.590.570.640.640.650.680.640.760.780.860.780.760.760.750.650.650.650.630.620.640.640.610.580.580.340.280.270.300.470.520.520.560.59
3.863.664.783.815.736.8710.6617.858.058.727.077.788.108.459.9611.025.946.744.663.392.60-2.832.703.022.692.662.291.891.441.341.762.382.312.082.203.544.226.823.963.663.523.222.012.031.831.891.851.952.001.751.451.440.610.500.560.571.131.471.591.762.11
88.2287.3788.7788.6887.9986.7687.2286.6487.4687.9152.4175.7675.3476.6775.5275.8176.8077.5975.3876.8977.6278.4475.9476.3976.6177.9176.5977.1277.8778.1277.6176.7978.1278.241.7577.1578.0277.7774.7275.2874.2375.2474.4773.9373.2473.4467.1875.1076.7374.8971.2272.0972.3974.2075.0677.3877.2567.2575.9877.6277.9676.26
27.0721.3423.4027.4126.4223.1939.1938.0523.5123.865.5120.6018.6619.6212.14-22.1617.2819.4116.9917.2720.5237.109.25-16.8816.8715.738.1522.1516.0915.133.8717.2013.1415.077.27-19.6620.6213.3211421.5218.8518.6344.5822.9921.6720.1819.6522.6621.5718.727.2320.8619.3423.0922.0529.4429.1036.8927.2530.9732.2028.79
27.0721.3423.4027.4126.4223.1939.1938.0523.5123.865.5120.6018.6619.6212.14-22.1617.2819.4116.9917.2720.5237.109.25-16.8816.8715.738.1522.1516.0915.133.8717.2013.1415.077.27-19.6620.6213.3211421.5218.8518.6344.5822.9921.6720.1819.6522.6621.5718.727.2320.8619.3423.0922.0529.4429.1036.8927.2530.9732.2028.79
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13.8312.6315.8419.4720.524.0736.5315.0411.9121.8010.0711.8710.7311.583.03-31.0612.849.308.215.8911.3228.672.53-27.027.147.07-2.6314.94-4.475.70-3.787.884.417.68-3.59-34.1512.80-0.35-10.482.149.454.90-65.0311.7013.339.7112.8413.9612.6910.55-13.175.608.6625.6417.8826.2119.9521.9215.4925.8342.17-14.76
6.626.05-374.5047.4127.2938.8037.81-57.4614.21-14.57-15.857.235.267.100.47-34.088.255.150.931.573.1023.31-0.8436.90-6.26-4.98-14.574.72-11.50-0.2266.1418.856.369.372.54-41.154.207.96-21.292.021.970.78-47.894.4910.027.3013.469.368.495.66-6.571.714.3221.5016.3817.5612.6716.2612.2819.0933.05-13.29
0.140.130.120.080.070.060.060.060.050.07-0.120.130.130.130.100.140.130.150.140.140.140.130.160.140.130.120.120.120.110.110.110.060.060.060.070.070.070.060.110.110.100.110.110.110.110.100.110.110.110.100.110.110.090.120.140.130.130.170.160.150.150.15
5.504.964.654.865.796.166.670.891.041.29-8.094.343.813.883.274.494.304.123.283.082.842.763.842.972.894.047.546.044.613.624.224.685.124.825.115.474.013.98-5.468.966.477.23-2.426.937.026.6311.998.947.776.007.476.784.843.585.107.647.858.348.446.585.49-
2.071.891.752.112.012.072.061.191.221.47-2.732.992.762.952.593.414.334.973.593.583.462.513.903.693.533.333.073.303.513.213.442.702.732.883.372.651.391.302.332.252.142.182.442.072.312.272.382.102.252.122.332.342.035.005.565.375.125.645.885.335.104.42
43.3847.5851.5642.5744.7143.4743.7175.8673.6461.08-32.9130.1232.6530.5434.7126.3720.7918.1125.0825.1326.0335.8123.0924.3925.4927.0429.2927.3025.6628.0126.1933.3533.0231.2326.7033.9164.7969.2138.6639.9941.9941.2436.9543.4939.0339.7037.7442.7839.9642.4338.7038.5344.3518.0216.1816.7517.5915.9615.3016.8817.6520.38
7.916.848.1610.3114.981.4233.5128.612.7520.78-16.749.959.7110.99-2.17-80.2910.288.042.121.432.5117.461.19-23.700.871.16-3.964.33-3.41-0.20-5.921.48---3.95----23.52----29.30---5.21--33.58-2.530.511.244.934.074.253.007.005.658.8916.08-7.17
-22.88-17.73-16.27-38.87-22.02-1.64-21.54-7.93-2.82-17.4214.49-6.78-3.96-4.260.7020.66-5.12-3.49-1.36-0.91-2.77-19.37-1.1424.13-0.73-1.285.32-8.569.250.6939.34-3.321.82-1.636.0335.80-2.670.856.67-0.73-0.65-0.2517.20-2.13-4.77-3.39-6.57-4.53-3.86-2.292.94-0.90-2.0929.0420.1724.9516.8641.6857.8597.58-2,229.5836.59
1.211.071.071.041.140.091.701.220.241.65-1.580.850.810.88-0.15-5.101.190.830.290.200.453.180.23-4.370.150.22-0.790.96-0.82-0.05-1.690.20-0.110.11-0.45-2.430.75-0.23-2.280.230.200.08-5.350.481.090.751.451.010.930.57-0.720.160.402.652.312.361.602.741.922.904.95-1.93
2.161.671.942.903.100.264.212.010.392.54-2.311.281.201.30-0.22-8.461.941.420.470.330.7017.460.35-6.410.220.31-1.081.32-1.18-0.08-2.540.54-0.320.31-1.28-6.931.06-0.33-3.350.330.300.12-7.410.611.380.971.951.311.210.74-0.990.220.533.272.913.092.103.692.684.237.11-2.92
15.9216.2315.3518.1014.0913.0910.949.6822.3416.4421.5118.2517.5216.3914.4811.8924.3321.3231.7331.0642.7443.3839.7243.3142.8151.7555.6064.0372.5878.5586.3869.67--55.66---56.85-----------------------
6.913.4529.6224.6714.768.2535.8728.6017.248.0437.4527.6117.998.0234.9226.4615.948.6942.1532.6422.3611.7435.9526.9418.349.4035.3830.1116.720.0026.8020.086.45-3.4629.0615.970.000.0074.8155.9616.5314.9790.730.0038.3819.5211176.0045.4625.2790.8663.2035.7319.4367.6456.1736.7415.5983.6770.300.000.00
3.382.2622.1715.7911.126.4126.9816.616.744.3427.539.313.270.7810.959.403.062.4618.1015.5410.576.248.105.391.760.356.386.82-0.27-3.424.79-3.85-9.82-2.23-6.47--24.6317.15-1.67-0.0534.80-38.866.2852.2034.1818.3411.6730.4228.5914.8710.3236.5841.6429.0212.7967.2057.90--