Vermilion Energy Financial Ratios for Analysis 2011-2024 | VET

Fifteen years of historical annual and quarterly financial ratios and margins for Vermilion Energy (VET).

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
2023202220212020201920182017201620152014201320122011
1.180.800.630.600.840.760.720.780.570.921.690.900.89
0.240.250.450.680.450.400.450.470.390.380.370.310.22
0.310.330.832.170.820.680.830.880.760.610.580.450.28
61.1976.2068.7746.2858.0173.2072.1168.4169.3779.0682.4297.7797.52
19.5556.3136.13-13.6912.3225.9112.79-10.052.1236.6748.4249.9454.52
19.5556.3136.13-13.6912.3225.9112.79-10.052.1236.6748.4249.9454.52
55.0473.2164.1437.1950.9665.8260.7953.6854.6369.1375.6577.2677.46
-13.8660.0667.72-164.568.0823.2412.15-26.94-24.4834.5445.6232.6130.60
-11.8338.4556.29-133.011.8817.806.08-19.32-24.8720.5325.7217.6013.84
0.320.490.350.280.300.240.260.200.210.300.340.350.38
13.5941.3531.7545.7324.9714.7316.7018.0120.4628.9013.070.941.84
8.279.146.215.828.275.866.186.295.447.637.606.025.83
44.1639.9358.7762.7344.1662.2759.0658.0367.0547.8148.0360.6862.56
-7.8438.6155.60-163.971.349.644.04-10.14-11.6911.8115.8213.9417.94
-7.8438.6155.60-163.971.349.644.04-10.14-11.6911.8115.8213.9417.94
-3.8118.7819.45-36.930.564.331.57-3.92-5.165.447.326.438.73
-5.9728.9630.41-51.690.735.752.20-5.41-7.147.3210.039.6014.01
13.8416.0310.164.3511.8314.239.7510.0813.01----
4.648.294.042.363.984.423.743.333.186.696.685.004.90
2.865.772.230.631.450.121.551.10-0.511.461.453.933.47

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-30
1.091.161.180.900.850.830.800.610.550.520.630.510.550.780.600.810.930.680.840.880.850.710.760.520.640.610.720.770.790.590.780.870.821.280.570.800.630.600.920.901.080.951.691.211.330.920.900.870.820.680.890.83
0.260.240.240.210.200.210.250.340.370.380.450.510.500.580.680.690.680.640.450.450.430.420.400.420.380.470.450.460.440.440.470.450.460.450.390.390.380.380.380.370.370.340.370.330.340.330.310.270.250.210.220.26
0.360.320.310.260.250.260.330.510.590.620.831.050.991.412.172.202.151.810.820.810.760.720.680.730.620.880.830.840.780.800.880.810.840.830.760.770.730.730.610.600.590.520.580.490.510.490.450.360.330.270.280.36
57.8757.6965.6060.4557.4360.9174.6376.2876.3777.4877.2869.6661.7258.1850.9952.3131.7144.9352.5157.6257.4563.9069.2975.4874.8473.1173.7868.6370.8674.7671.5470.6369.0959.6060.3465.5767.6362.8444.3583.8781.6381.8687.1184.2882.9980.8010298.3596.73101100.0099.63
14.8715.989.9424.3818.6525.0651.4560.6656.8255.3854.2733.8318.3422.41-4.79-16.63-37.17-7.1912.855.7511.3718.3319.5333.1128.7620.3318.875.6510.4114.736.86-7.43-10.99-38.436.41-2.1019.3911.8023.6937.0145.7148.2139.2451.9553.4045.3357.5546.7641.6950.81100.0041.22
14.8715.989.9424.3818.6525.0651.4560.6656.8255.3854.2733.8318.3422.41-4.79-16.63-37.17-7.1912.855.7511.3718.3319.5333.1128.7620.3318.875.6510.4114.736.86-7.43-10.99-38.436.41-2.1019.3911.8023.6937.0145.7148.2139.2451.9553.4045.3357.5546.7641.6950.81100.0041.22
----------------------------------------------------
-9.9811.12-178.6013.7839.1572.5310742.6059.3335.6352.83-38.79131179-17.55-50.93-61.75-443.314.46-1.2910.1217.2695.81-3.67-18.8516.38-1.27-12.8528.5537.14-20.81-8.23-46.92-36.72-51.74-52.059.230.0127.6630.1027.5643.9659.8539.9953.2633.2139.4031.5830.5131.96100.0045.44
-17.880.46-156.7011.5927.6571.1748.2628.0843.2436.1045.73-28.04114133-18.79-25.45-36.98-373.200.38-2.610.438.4678.86-3.32-16.598.514.21-16.9319.0318.15-2.17-6.59-27.78-52.53-60.64-34.002.580.6519.1615.6413.9326.9731.2220.7234.0416.8423.5910.8115.3421.99-10.9925.95
0.070.080.080.070.060.070.110.150.130.130.130.090.070.080.080.070.040.080.070.070.080.080.070.080.060.070.080.060.060.060.060.060.050.040.050.050.060.050.060.070.090.100.080.100.090.100.080.100.090.110.100.09
4.286.503.087.269.236.8010.237.447.677.428.416.995.306.3811.897.676.1212.316.8810.288.659.944.514.024.163.564.605.063.962.764.735.303.163.815.593.953.382.037.103.403.914.813.272.913.283.810.210.450.320.83-0.49
1.781.362.111.641.611.602.122.472.271.982.261.861.921.561.661.530.831.882.011.592.361.841.571.841.581.781.811.852.302.321.831.511.231.281.401.531.711.061.581.661.951.921.801.821.931.971.302.091.821.471.561.53
50.4666.0142.6654.9056.0156.3642.4436.4839.6445.3939.8048.3046.8557.6654.2558.7410947.9944.7256.6138.1448.7857.5049.0256.9750.5349.7348.6039.1138.7349.0759.4673.2870.2364.4858.7752.7384.6957.0154.2946.1246.9349.9149.3946.5845.5969.2743.0649.3861.2657.7658.68
-2.910.08-26.491.493.3510.0611.249.3813.5212.1916.45-8.4824.2435.44-6.60-7.14-6.92-114.420.07-0.400.081.4411.41-0.60-2.271.600.82-2.512.932.76-0.33-0.88-3.41-4.93-7.31-4.150.340.072.572.592.695.645.504.256.873.623.892.262.784.81-2.275.49
-2.910.08-26.491.493.3510.0611.249.3813.5212.1916.45-8.4824.2435.44-6.60-7.14-6.92-114.420.07-0.400.081.4411.41-0.60-2.271.600.82-2.512.932.76-0.33-0.88-3.41-4.93-7.31-4.150.340.072.572.592.695.645.504.256.873.623.892.262.784.81-2.275.49
-1.330.04-12.880.801.785.225.474.105.774.585.75-2.568.3510.58-1.49-1.69-1.63-30.160.03-0.170.030.645.12-0.26-1.060.600.32-0.981.201.12-0.13-0.37-1.41-2.11-3.23-1.830.150.031.181.171.242.652.541.973.201.631.791.061.352.34-1.112.45
-2.150.06-20.191.182.687.998.436.238.517.548.99-4.1312.1914.73-2.08-2.23-2.19-40.720.04-0.220.040.846.81-0.35-1.400.850.45-1.361.651.54-0.18-0.49-1.85-2.69-4.46-2.510.210.041.591.621.683.723.492.854.562.422.681.662.093.79-1.784.05
13.0813.8313.8417.5417.3117.2216.0313.5912.7111.2910.168.519.366.994.354.644.705.4711.8312.3512.7413.4414.2312.6813.4810.109.7510.2510.1310.1110.0810.7710.9111.19------------------
2.821.604.643.052.501.718.296.004.031.604.042.871.840.582.361.731.241.333.982.941.780.994.423.201.851.093.743.651.831.083.332.291.330.483.091.941.160.176.734.782.801.556.684.953.541.874.953.992.461.274.833.22
1.450.742.861.861.881.835.774.263.121.202.231.741.040.180.630.27-0.020.211.450.880.380.010.12-0.13-0.01-0.081.551.420.870.461.101.010.360.07-0.50-0.70-0.79-1.121.47-1.51-0.03-1.711.451.101.060.103.89-0.05-0.470.193.42-0.98