Vivendi SA Financial Ratios for Analysis 2009-2024 | VIVHY

Fifteen years of historical annual and quarterly financial ratios and margins for Vivendi SA (VIVHY).

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
0.761.111.220.630.781.110.921.281.512.250.920.690.710.690.64
0.110.140.150.200.250.160.190.130.070.080.310.370.360.230.24
0.350.210.220.390.450.250.260.210.140.100.640.830.710.430.51
45.8344.2344.0045.2344.3645.3242.0636.8839.0939.3341.3250.4650.0549.5849.78
5.985.443.289.248.668.437.1511.0411.447.30-1.979.9319.1318.2117.70
5.985.443.289.248.668.437.1511.0411.447.30-1.979.9319.1318.2117.70
5.985.443.289.248.668.437.1511.0411.447.30-1.979.9319.1318.2131.70
6.47-5.71-3.3413.569.293.697.3312.3111.02-1.06-6.507.2717.7215.8010.18
3.85-10.532588.959.960.919.8711.6117.9547.028.890.5712.9412.207.69
0.270.310.290.420.430.410.360.330.310.280.450.490.520.490.47
5.5422.3020.9424.0831.9336.9840.7355.5256.0353.6939.3619.4617.8819.4117.54
1.651.921.862.872.632.442.213.853.854.554.013.914.284.304.20
22219019612713915016594.7794.6980.2191.1193.2385.2584.8287.00
2.84-3.68-2.809.7810.380.907.056.403.53-1.03-9.754.4312.929.949.95
13.45-8.53-6.23-64.20-58.936.3738.6020.428.87-2.1836.78-8.09-39.12-177.24-90.07
1.28-2.07-1.614.224.330.463.673.882.13-0.66-3.771.595.124.754.45
2.52-3.15-2.377.807.800.755.705.563.29-0.95-6.682.788.277.627.53
18.2118.1021.7217.1814.7316.3315.5916.8617.1122.6118.8720.85---
1.000.761.791.221.151.111.520.570.203.555.237.047.450.008.25
0.590.381.290.790.780.791.290.370.003.312.612.593.82-5.37

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
2017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.920.891.241.271.281.391.351.481.511.862.172.162.251.941.831.750.920.951.150.710.690.660.600.620.710.580.650.890.690.690.680.700.640.700.650.73
0.190.200.140.130.130.110.120.040.070.100.090.080.080.250.280.300.310.290.390.350.370.380.350.320.360.330.380.200.230.250.290.240.240.210.210.24
0.260.340.200.180.210.210.240.130.140.120.110.100.100.510.500.620.640.800.860.790.830.810.800.710.710.760.830.360.430.430.520.480.510.430.420.42
44.0746.8338.5036.4631.8838.9438.1939.3837.7339.4040.1139.4129.2241.9243.4539.9023.9442.1544.6349.2344.8853.0453.3852.8944.7254.5152.2551.0144.9365.1452.2555.2846.4251.5050.5451.16
7.968.355.885.67-2.798.103.6838.864.163.0234.964.70-5.5116.389.216.47-64.4711.4112.3116.71-11.5219.3315.2720.1010.1517.6922.3223.8613.49-4.6321.5214.2013.3519.5720.1019.53
7.968.355.885.67-2.798.103.6838.864.163.0234.964.70-5.5116.389.216.47-64.4711.4112.3116.71-11.5219.3315.2720.1010.1517.6922.3223.8613.49-4.6321.5214.2013.3519.5720.1019.53
------------------------------------
7.649.335.446.23-0.6610.535.0137.784.750.4835.314.37-45.4414.268.996.36-73.807.357.5715.01-13.8716.2613.1118.784.8415.0419.6632.3111.1818.3219.8420.24-8.2117.5519.6616.40
21.107.002.703.792.659.901.9234.604.80-7.9875.221.3298.5834.7852.4815.8312.767.039.237.57-18.045.896.659.79-1.5210.1111.6624.146.985.409.488.64-12.599.4510.697.30
0.110.090.090.090.090.080.080.080.090.070.070.070.050.050.070.060.090.090.090.120.140.120.120.130.130.120.130.130.140.090.120.110.140.120.120.12
12.407.9913.3313.6516.8312.3412.6212.8016.5512.2212.9912.2812.1711.3014.9316.5310.278.769.085.676.094.455.935.265.234.986.085.235.935.255.985.425.504.555.364.85
0.700.631.140.981.081.051.041.071.111.031.041.010.881.020.980.950.810.980.970.981.141.091.121.191.121.051.171.201.240.881.141.041.251.051.121.09
12914379.2391.9683.1985.9286.3384.0780.7887.2586.4088.8410287.9591.5694.6611292.1493.0291.7578.7482.5780.2075.5880.6385.5777.1974.8972.6610278.6486.4472.2485.7780.2782.78
4.661.380.450.550.281.400.324.390.70-0.693.250.14-3.491.610.880.37-16.841.081.543.54-7.121.732.073.03-0.523.073.955.912.061.042.391.96-3.902.212.661.75
25.5010.312.261.750.884.411.1111.621.77-1.707.820.30-7.384.033.091.1663.50-4.52-5.54-7.4113.01-3.42-5.33-9.131.56-8.36-9.98250-36.72-16.62-27.68-38.2935.3514823767.09
2.430.670.280.350.170.840.192.880.42-0.422.040.09-2.250.700.380.15-6.520.390.561.33-2.570.680.821.25-0.201.221.543.100.980.501.120.94-1.751.091.320.86
3.761.100.390.480.241.240.284.220.66-0.622.970.13-3.201.200.630.26-11.540.760.942.31-4.481.081.342.07-0.332.062.444.741.580.781.701.48-2.951.742.101.33
15.5915.4716.1116.1516.8616.5216.2217.1817.1117.3317.7819.6022.6119.6019.2420.0318.8721.4020.9222.51----------------
1.520.720.43-0.120.570.380.140.080.20-0.08-0.180.043.552.691.770.905.233.842.481.376.884.283.032.077.060.003.171.390.005.083.081.638.395.503.571.46
1.290.560.33-0.170.370.250.040.030.00-0.23-0.29-0.023.312.531.280.602.611.811.080.392.530.750.140.003.62-1.400.46-2.441.210.645.473.282.050.62