Vallourec SA Financial Ratios for Analysis 2009-2024 | VLOWY

Fifteen years of historical annual and quarterly financial ratios and margins for Vallourec SA (VLOWY).

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
2.001.641.891.061.161.321.601.201.541.631.501.551.501.842.46
0.380.450.430.930.490.450.400.240.370.300.220.240.190.140.13
0.661.000.7927.021.991.250.910.700.710.650.440.450.400.210.18
31.1722.0324.3118.7617.6814.7512.078.0411.8525.4827.6526.0229.2932.3265.46
16.80-2.4910.88-30.91-0.41-7.07-12.90-25.27-22.048.6711.489.5214.6217.3717.76
16.80-2.4910.88-30.91-0.41-7.07-12.90-25.27-22.048.6711.489.5214.6217.3717.76
14.3210.7115.065.366.750.09-4.37-10.14-1.9535.5918.2816.6114.6222.2423.62
15.50-4.784.01-37.91-6.25-12.67-17.53-29.67-24.01-12.687.947.0712.1714.5717.51
9.70-7.501.15-37.20-8.09-12.82-14.31-25.56-22.74-15.405.365.088.6310.0812.02
0.900.910.720.640.570.610.540.360.540.620.600.580.580.600.72
2.832.903.043.973.482.943.282.643.142.852.842.762.702.551.66
6.765.926.366.936.546.556.605.436.984.985.085.505.015.207.30
53.9761.6357.4152.6455.8155.7255.2867.2452.2973.3571.8966.4072.9170.1850.03
23.56-21.581.74-993.74-17.18-22.10-19.40-21.38-29.56-22.165.444.208.779.3913.08
24.46-22.601.82-2,238.36-21.90-27.27-22.87-24.69-35.09-25.166.334.8910.3511.1815.53
9.17-6.790.66-26.31-4.66-7.80-8.13-9.93-12.84-10.012.912.384.976.008.69
14.67-11.910.98-70.18-8.83-12.23-11.73-16.21-18.71-15.524.263.217.148.0311.33
2.031.551.872.6738.7446.7156.9574.12202------
0.64-0.02-0.290.542.33-7.54-5.48-5.8827.5055.6544.8140.540.000.000.00
0.52-0.16-0.38-2.09-0.55-9.95-8.50-10.509.5224.700.70-27.77---

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
2024-06-302024-03-312023-09-302023-03-312022-12-312022-09-302022-06-302022-03-312021-09-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.732.081.821.671.641.681.701.872.140.631.061.071.091.111.161.231.311.261.321.351.701.541.601.121.141.171.201.391.421.051.541.641.581.581.631.671.491.501.501.501.411.441.551.461.271.531.501.281.371.761.841.992.002.322.462.332.112.31
0.240.370.390.430.450.440.460.410.460.700.930.720.660.530.490.470.460.450.450.450.480.420.400.270.260.240.240.240.230.290.370.340.310.300.300.260.210.210.220.220.220.210.240.210.160.180.190.100.100.140.140.120.130.130.130.140.170.17
0.450.670.801.061.001.031.080.810.9797.6127.025.184.072.461.991.581.381.481.251.271.201.020.910.880.790.720.700.670.641.150.710.660.670.670.650.560.510.500.440.470.510.490.450.510.440.400.400.370.300.280.210.200.200.200.180.210.270.27
28.6632.4228.3730.7927.2521.6822.2014.0824.8223.9318.7721.5116.1318.8717.9116.7019.6516.3918.6014.5713.2411.9511.7811.8312.0012.907.158.089.447.456.086.8813.9520.8124.4123.4629.0325.5926.7328.3427.6227.0126.8326.2026.2924.8526.8028.5331.6130.7831.1532.2635.7830.0764.3562.9467.4766.84
9.3117.5812.7819.2111.336.94-31.29-1.869.833.85-58.860.98-57.53-3.40-0.870.940.09-1.85-3.46-3.02-7.64-15.08-19.21-9.13-8.36-14.18-22.53-20.78-16.78-43.22-71.16-16.65-5.91-15.343.677.2010.7411.4610.5614.4113.9110.308.0111.3110.776.9213.9414.1516.8913.4017.6017.5020.5913.1016.9312.9017.8622.41
9.3117.5812.7819.2111.336.94-31.29-1.869.833.85-58.860.98-57.53-3.40-0.870.940.09-1.85-3.46-3.02-7.64-15.08-19.21-9.13-8.36-14.18-22.53-20.78-16.78-43.22-71.16-16.65-5.91-15.343.677.2010.7411.4610.5614.4113.9110.308.0111.3110.776.9213.9414.1516.8913.4017.6017.5020.5913.1016.9312.9017.8622.41
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14.3815.5610.8615.777.344.60-31.99-3.2814.15-7.83-64.64-7.96-67.02-7.50-7.45-4.34-5.54-7.80-8.36-9.26-13.95-20.07-22.48-13.17-14.58-19.67-26.38-25.11-21.23-48.29-55.01-20.65-20.53-6.01-66.105.2110.456.908.039.578.375.127.898.277.174.7411.8311.7513.3211.7814.0114.9718.2510.5914.4015.4517.1522.46
10.2310.616.6611.665.530.47-36.28-3.828.99-13.25-67.43-9.64-58.48-8.68-11.02-5.66-7.10-8.78-8.90-9.57-13.95-19.72-15.40-12.34-13.72-16.09-21.97-23.09-17.17-42.32-51.10-18.81-19.55-7.89-65.651.866.194.415.285.804.502.894.784.654.262.388.558.009.798.089.3910.9212.137.629.7710.7311.7315.45
0.200.170.190.230.280.230.220.180.180.140.170.130.140.120.140.160.170.150.170.150.150.130.160.130.130.100.100.090.100.090.120.120.120.100.170.130.140.130.180.150.140.120.160.140.140.130.160.160.160.150.180.170.160.130.190.160.180.21
0.620.510.600.680.850.640.610.720.610.741.070.660.730.650.830.800.730.720.780.700.750.680.970.750.710.570.730.670.690.590.740.660.610.540.810.610.630.620.840.600.630.570.760.630.630.620.800.660.650.620.780.700.630.630.450.330.270.31
1.521.421.491.611.851.591.651.491.531.301.871.341.401.251.561.551.581.441.811.371.491.501.941.621.571.331.501.391.301.281.561.191.140.971.371.251.281.301.511.331.361.231.521.361.371.171.431.241.401.251.551.371.391.391.921.341.241.18
59.3963.3660.2955.7648.6256.7254.4460.5258.7169.1048.1967.0064.0971.7557.8257.9156.8262.6949.6265.8460.5360.0346.4255.6457.2167.4760.0764.6869.3870.4257.7275.7779.1392.5165.9171.9970.0569.0159.4167.5166.2373.0659.0466.3365.7777.1763.0672.5464.4372.2157.9065.8464.5964.6346.9767.0472.6576.17
4.86-3.688.465.100.33-24.78-1.674.56-257.89-457.22-10.79-60.69-5.18-5.66-3.03-3.39-3.91-4.17-3.90-5.60-6.56-5.91-3.92-4.25-3.74-5.08-4.85-3.88-10.96-14.29--5.07--24.63-1.66-1.761.611.240.651.351.211.110.542.48-2.66-2.61-2.99-2.79-3.63-
5.014.703.848.895.340.35-26.13-1.744.75297-1,029.87-11.92-66.57-6.91-7.22-3.82-4.21-4.82-5.14-4.79-6.81-7.81-6.96-4.57-4.95-4.33-5.87-5.56-4.43-13.17-16.96-5.71-5.85-2.02-27.970.551.911.292.051.871.450.761.581.421.310.632.932.563.132.293.113.473.671.853.323.264.296.69
2.181.841.352.721.600.11-7.86-0.671.66-1.98-12.11-1.40-9.54-1.21-1.53-0.94-1.13-1.27-1.47-1.37-2.03-2.59-2.48-1.66-1.88-1.73-2.36-2.26-1.83-3.91-6.21-2.22-2.33-0.80-11.120.240.860.590.950.840.650.350.770.640.620.311.401.261.601.211.671.851.941.031.861.722.073.29
3.672.872.244.812.820.19-13.40-0.982.44-78.40-32.29-3.08-20.50-2.45-2.91-1.61-1.82-2.14-2.31-2.17-2.90-3.83-3.57-2.86-3.14-2.83-3.85-3.69-2.98-7.78-9.04-3.19-3.49-1.23-17.250.351.300.881.381.260.970.521.040.950.940.442.021.942.391.662.242.522.611.352.422.343.014.66
2.17---1.55-1.56---2.67-18.22-38.74-42.90-46.71-50.61-56.95-63.37-74.12-258-----------------------------
0.170.140.000.00-0.020.000.000.000.000.000.540.00-3.760.002.330.00-2.500.00-7.540.00-7.940.00-5.480.00-5.450.00-5.880.00-5.060.0026.830.006.100.0055.420.0015.300.0046.040.008.230.0041.890.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
0.120.10---0.16------2.09--4.96--0.55--3.30--9.95--8.60--8.50--6.69--10.50--6.56-9.29-0.68-24.60-3.42-0.72--4.36--28.70---------------