Vital Energy Financial Ratios for Analysis 2009-2024 | VTLE

Fifteen years of historical annual and quarterly financial ratios and margins for Vital Energy (VTLE).

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
0.620.590.450.691.170.960.850.821.531.031.210.520.570.671.26
0.370.500.741.020.580.460.510.880.920.530.450.590.460.540.46
0.581.002.78-55.001.390.841.037.5010.771.140.831.460.841.200.85
79.3681.7971.2451.7470.9464.3261.9558.3352.4479.9787.4688.0290.9189.8784.77
36.1655.1951.14-127.29-48.8031.5230.37-14.72-407.4128.5232.2229.4540.0030.16-262.52
36.1655.1951.14-127.29-48.8031.5230.37-14.72-407.4128.5232.2229.4540.0030.16-262.52
66.0971.4266.59-92.66-14.9251.0550.13-4.15-360.8260.2468.5372.2975.8071.56-201.47
33.0733.1610.66-129.67-41.2129.7466.99-43.65-393.4654.1528.7216.2332.7024.97-267.67
44.8832.8810.40-129.09-40.9029.3566.77-43.65-364.2933.4517.7410.5620.8535.64-191.04
0.300.700.550.470.370.460.410.340.330.200.250.250.310.230.15
--------------26.31
6.4811.769.1810.599.8211.728.176.886.926.258.606.966.835.511.37
56.3131.0439.7534.4837.1531.1344.6853.0852.7758.3642.4252.4153.4466.27267
24.9656.8528.224,077-40.6827.6471.71-144.40-1,681.2416.999.167.4313.94-62.46-
24.9656.8528.224,077-40.6827.6471.71-144.40-1,681.2416.999.167.4313.9420.98-63.82
13.5023.175.68-60.60-15.1213.4127.13-14.63-121.876.794.442.646.518.07-29.50
15.8228.407.48-75.50-17.0215.0435.25-16.99-142.797.955.023.027.599.55-34.41
78.6566.2730.09-1.7870.9510063.1414.9312.30218178130119--
39.1249.1934.3432.8641.0846.1332.0631.6031.7369.4254.2858.7963.660.000.00
8.8521.1932.032.57-16.14-13.28-9.57-1.49-25.28-117.905.68-88.00-67.11--

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312009-12-31
0.511.220.621.420.560.590.590.470.470.390.450.340.620.470.691.391.622.301.171.541.130.850.960.730.600.770.850.640.970.940.821.191.371.801.531.291.021.011.030.601.592.511.211.700.750.630.520.551.090.650.57-----
0.370.430.370.520.500.490.500.540.660.770.740.861.131.061.020.900.770.580.580.480.430.480.460.490.480.470.510.810.810.840.880.880.991.030.920.570.420.360.530.540.540.540.450.470.620.620.590.570.560.500.46-----
0.590.750.581.091.010.951.001.181.903.362.786.02-8.47-16.70-55.008.613.351.371.390.910.770.910.840.950.940.901.034.164.295.347.507.23152-32.3110.771.300.740.801.141.161.191.180.830.881.651.621.461.351.280.990.84-----
72.4975.5577.9782.2579.4177.3779.3783.5689.3373.9773.9270.6571.0567.3054.6655.7555.9643.3966.8974.1172.6370.4969.7071.1052.9567.9253.6066.8965.2363.9467.1460.2856.1143.2260.2451.3351.3048.5468.8086.4887.8279.4689.4587.7387.0285.8186.1188.3788.5989.1088.3091.0591.4991.82--
24.7428.4930.4341.3736.2536.9243.1956.7265.9050.8150.2170.0636.8141.08-41.62-96.62-392.49-88.77-78.11-181.0426.6926.0326.0737.3227.0035.8935.7129.3727.8427.1624.6615.9612.18-165.91-822.57-617.17-275.04-18.6813.7534.5435.2734.6435.8633.6132.3827.1925.0425.8729.8437.0131.7941.2244.3945.90--
24.7428.4930.4341.3736.2536.9243.1956.7265.9050.8150.2170.0636.8141.08-41.62-96.62-392.49-88.77-78.11-181.0426.6926.0326.0737.3227.0035.8935.7129.3727.8427.1624.6615.9612.18-165.91-822.57-617.17-275.04-18.6813.7534.5435.2734.6435.8633.6132.3827.1925.0425.8729.8437.0131.7941.2244.3945.90--
--------------------------------------------------------
9.89-16.9871.081.6721.7834.7533.3171.9148.14-16.4646.6436.79-45.52-30.45-86.53-138.19-499.7237.59-111.63-137.9880.84-4.5970.8120.179.5333.321715.3632.6836.12-9.995.94-48.67-169.27-782.52-536.47-339.432.1013964.51-15.99-0.0672.7612.8031.211.3711.11-7.9034.7627.352.1868.7748.756.78--
7.64-13.7863.211.1287.9934.2732.4772.7246.87-16.3045.9936.08-45.07-30.15-88.23-136.81-493.2336.41-110.82-136.7180.03-4.5469.4819.689.5333.321705.3632.6836.12-9.995.94-48.67-169.27-782.52-563.91-217.75-0.3184.8241.65-10.32-0.1244.487.3420.200.867.82-5.1322.1717.611.1343.9731.184.36--
0.090.090.090.100.090.110.130.170.200.200.180.170.160.170.130.110.060.080.100.090.080.080.090.120.160.120.120.100.100.100.100.090.090.070.070.050.050.030.060.060.060.060.060.070.070.070.060.070.070.080.09-----
--------------------------------------------------------
2.121.661.862.182.332.262.232.852.722.493.103.093.253.702.942.881.602.712.562.352.831.942.282.383.462.652.392.292.592.402.121.971.661.251.411.491.651.371.871.931.912.141.982.201.971.841.811.751.951.681.87-----
42.5354.1648.3441.3038.5939.8140.3831.5833.0636.1029.0629.1127.7024.3530.6231.2756.2533.1935.1638.3031.8346.3139.4337.8325.9833.9137.6939.2934.7037.5642.4245.7654.2971.9464.0360.2754.4765.7048.1446.6447.0642.0345.3640.9745.6148.9049.8651.4646.2753.7248.01-----
1.29-2.3610.100.2818.389.3010.6433.7338.64-20.4842.1061.0785.99110774-167.78-145.068.12-28.71-24.5212.90-0.8112.745.423.499.1953.373.1818.8427.00-10.205.07-779.67395-733.87-77.87-20.58-0.0212.886.16-1.49-0.025.370.994.030.141.43-0.893.783.310.21-----
1.29-2.3610.100.2818.389.3010.6433.7338.64-20.4842.1061.0785.99110774-167.78-145.068.12-28.71-24.5212.90-0.8112.745.423.499.1953.373.1818.8427.00-10.205.07-779.66395-733.87-77.87-20.58-0.0212.886.16-1.49-0.025.370.994.030.141.43-0.893.783.310.21-----
0.70-1.175.470.117.733.874.3412.039.14-3.188.486.06-7.42-5.11-11.50-15.01-29.163.05-10.67-11.626.62-0.386.182.371.514.1420.190.533.153.75-1.030.54-4.44-11.02-53.20-29.93-10.72-0.015.152.50-0.59-0.012.600.481.350.050.51-0.331.471.450.10-----
0.82-1.356.400.139.154.775.3215.4713.32-4.7011.158.69-11.52-7.01-14.33-17.45-33.383.43-12.01-12.857.30-0.426.932.781.804.8426.230.623.564.26-1.200.62-5.09-12.60-62.33-33.85-11.84-0.016.022.85-0.68-0.012.940.531.520.050.58-0.381.661.660.11-----
74.3176.3478.6581.5186.2471.9766.2759.1639.4824.4930.0913.91-11.37-5.32-1.7811.7931.5076.7970.9590.8211397.9510086.7881.5679.0463.1428.5526.7520.8514.9315.470.81-4.2812.30102180217218189176178178168135129130127128123119-----
13.224.4639.1231.1920.187.0249.1942.8831.6310.1934.3417.9514.815.9732.8623.4114.709.3941.0831.6922.576.7246.1335.2722.6712.2432.0622.2212.845.2231.6020.6212.745.3431.7321.3510.833.3169.4252.3433.9818.1654.2840.3727.569.7958.7944.6431.1614.2862.620.000.000.000.000.00
1.74-1.308.856.24-26.31-2.9921.1916.7314.871.1432.03-14.421.510.182.57-2.78-8.32-4.30-16.14-0.50-2.74-6.77-13.28-11.19-8.04-4.45-9.57-4.92-1.690.80-1.49-3.03-5.73-4.82-25.28-23.05-28.51-29.70-117.90-85.18-30.06-10.295.6815.21-33.19-21.01-88.00-71.40-44.62-25.13-66.01-----