Waste Management Financial Ratios for Analysis 2009-2024 | WM

Fifteen years of historical annual and quarterly financial ratios and margins for Waste Management (WM).

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
0.900.810.751.001.970.850.830.850.931.010.830.800.781.001.04
0.700.680.640.640.650.600.590.630.620.590.610.580.590.570.55
2.352.181.881.851.911.601.571.751.661.601.701.491.531.351.35
38.2837.5938.0338.6238.5637.9837.7237.6436.4935.6834.8434.9536.1637.4838.59
17.5017.0816.5415.9917.5118.7018.2016.8715.7816.437.7213.5615.1616.9116.00
17.5017.0816.5415.9917.5118.7018.2016.8715.7816.437.7213.5615.1616.9116.00
29.1028.0028.3027.6528.3329.2428.3327.1026.0826.3921.4423.7525.1527.1726.32
14.7914.8113.1012.4413.6215.9315.1313.398.1812.513.539.5511.3613.0312.49
11.2811.3610.139.8310.8112.9113.468.695.819.270.705.997.187.618.43
0.620.630.620.520.560.660.660.650.640.660.620.590.590.580.56
72.8774.9682.3075.3389.5890.6893.9794.2989.4784.9251.1951.0355.8260.1865.83
7.127.167.045.806.666.566.106.386.197.237.737.427.547.567.72
51.2950.9951.8362.9454.7755.6859.8257.1858.9750.5147.2549.1848.4348.3047.27
33.0032.6325.5020.0723.6430.6432.2622.1814.0122.722.1712.8815.7915.2016.08
-73.02-68.17-64.89-58.359,829-264.88-259.18-79.41-68.74-459.79-21.78-6,615.39-357.80176147
6.937.146.245.106.028.498.935.663.696.280.583.724.474.675.01
9.9910.459.177.228.2112.1213.178.305.369.400.845.436.506.567.20
17.1816.8317.1217.6316.6614.8013.9412.1412.0012.8412.9314.3813.8813.8713.56
11.6010.9310.268.019.068.267.206.735.555.015.234.945.244.724.79
4.484.705.764.174.814.343.783.732.842.532.521.692.432.432.40

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.891.070.890.900.840.820.870.810.851.070.800.750.780.881.011.001.200.881.841.971.861.700.690.850.870.750.740.830.710.840.870.850.860.810.900.930.981.031.151.011.090.790.760.830.840.800.780.800.830.770.750.780.961.031.081.001.111.101.021.040.891.081.05
0.670.690.690.700.680.680.690.680.660.660.650.640.630.640.640.640.590.580.660.650.660.660.590.600.610.600.590.590.620.610.610.630.620.630.630.620.630.620.620.590.610.590.600.610.580.570.570.580.580.580.580.590.600.570.570.570.580.580.560.550.540.560.57
2.092.252.272.352.222.222.262.182.011.991.891.881.821.801.821.851.461.861.991.911.971.971.621.601.601.621.641.571.761.641.631.751.721.821.811.661.721.681.651.601.791.591.691.701.431.431.491.491.511.511.521.531.531.361.381.351.391.501.351.351.261.291.42
39.4039.0839.1439.7038.6737.7636.9237.3337.8137.5037.7236.8337.7138.8738.8638.5339.6038.7837.5439.8338.4738.0937.8238.0837.9138.1437.8038.0338.0537.7237.0337.9537.5437.8137.2537.5537.6534.7535.9936.8636.1735.3834.2835.2335.7934.4633.7835.2435.6034.6634.2637.0235.8036.0635.7139.1037.9936.8035.9137.6638.6039.5038.61
19.9518.6819.6915.0519.6418.4416.8615.5018.5617.7016.4815.3517.2817.6715.8116.0817.6114.8015.3717.0318.5017.6416.8019.9618.2919.1217.3219.2818.8618.3016.2217.8315.7817.8416.0015.4717.8915.1414.4721.8815.1614.9413.81-11.7115.9314.4612.0514.0914.4513.4712.1716.2115.4215.1213.7618.0116.8218.5614.0415.1717.3718.0913.24
19.9518.6819.6915.0519.6418.4416.8615.5018.5617.7016.4815.3517.2817.6715.8116.0817.6114.8015.3717.0318.5017.6416.8019.9618.2919.1217.3219.2818.8618.3016.2217.8315.7817.8416.0015.4717.8915.1414.4721.8815.1614.9413.81-11.7115.9314.4612.0514.0914.4513.4712.1716.2115.4215.1213.7618.0116.8218.5614.0415.1717.3718.0913.24
---------------------------------------------------------------
17.7416.5516.8412.3416.7815.8014.2313.0316.3215.4414.4013.7215.1310.1913.2513.4513.3611.0911.6713.8115.5012.6012.5017.1515.6216.2914.5515.9916.2315.5012.6214.7412.8813.4012.4712.2314.7611.73-7.3017.4311.4911.299.89-17.2312.4810.867.8510.1610.059.668.2512.1011.9511.389.8614.2512.7014.6910.2911.5414.0614.579.64
13.5512.5913.729.4512.7512.0110.9010.1112.5911.6811.0110.8211.537.8410.2410.7710.108.629.6811.6212.489.669.3913.8213.0613.3511.2824.7310.399.858.669.688.518.388.128.419.978.27-4.2417.177.505.906.71-17.298.046.925.046.526.186.015.197.817.727.085.998.827.547.796.2010.489.168.375.52
0.160.160.160.160.160.160.160.160.170.170.160.160.160.150.140.140.160.130.140.140.150.150.160.170.170.170.160.170.180.180.170.170.170.170.150.160.160.160.150.160.160.160.150.150.150.150.140.150.150.150.150.150.160.160.140.150.150.150.140.140.150.150.14
18.4717.9816.6118.1918.2218.7418.1518.8619.8519.7619.4821.8922.0221.7120.2720.1619.9318.4720.0821.8322.3923.4921.8923.3223.0423.1322.2923.5723.2523.8522.8023.8623.8322.9021.6622.0322.7721.2117.8520.4721.6913.8612.8312.7413.0613.5112.4812.7814.3815.3714.1614.0215.9215.6215.3514.9316.1818.1517.5817.0417.5117.5116.75
1.791.811.921.821.781.801.881.791.901.891.881.841.751.691.691.551.741.691.721.661.741.751.781.691.631.711.591.541.861.771.741.621.741.691.601.551.681.701.511.772.101.981.941.931.951.901.881.871.851.891.921.921.961.951.991.921.911.921.971.971.871.8925.32
50.1449.6546.8449.5150.5150.0447.9850.1947.4647.7147.8748.9851.4953.1853.1258.0751.6853.2552.3354.2751.7351.5550.6753.2955.1552.6956.5058.5048.4950.8451.5955.4651.7553.1656.3458.0653.6353.0259.4550.7242.8045.4246.4046.5446.2347.3047.9948.2048.5847.6446.9846.9045.9746.0645.2846.7747.0446.7745.7845.7248.0247.713.56
9.539.139.996.809.508.857.817.289.118.167.197.107.514.775.675.885.454.455.356.327.295.915.418.467.988.246.5114.957.326.565.366.285.655.474.825.096.415.05-2.3510.154.963.613.92-9.984.233.752.623.523.373.382.824.354.533.772.964.464.014.032.945.024.484.192.75
-29.32-25.52-24.41-15.05-20.62-18.69-15.84-15.22-21.83-22.03-18.65-18.07-19.59-13.53-16.57-17.08192-337.36-146.152,629-161.76-64.53-54.91-73.14-70.84-59.19-45.98-120.08-25.39-27.47-23.63-22.48-20.81-17.50-16.52-24.95-29.98-27.7215.52-205.50-49.56-50.45-44.55100-202.041,600-164.49-1,807.69-428.85-131.93-90.15-98.58-131.9448.0836.1051.5859.0453.2030.9245.9139.4640.1530.36
2.192.002.161.432.071.941.701.592.141.951.761.741.871.211.451.491.571.151.331.611.831.471.482.342.202.271.794.141.851.731.441.601.461.381.231.341.651.33-0.632.811.271.001.06-2.651.261.110.761.020.970.970.811.231.291.160.911.371.211.190.911.561.431.330.83
3.172.843.102.063.002.812.442.333.072.762.542.552.751.732.042.112.241.861.822.202.482.002.203.353.153.322.646.102.812.552.092.352.142.021.781.942.391.91-0.904.201.911.461.58-3.861.801.621.121.481.411.421.181.791.821.621.261.931.691.691.302.252.081.861.19
19.8618.5817.6417.1817.2917.1116.7416.8317.0817.4017.2117.1217.1517.4817.6017.6316.9416.3315.9816.6616.0015.2615.1114.8014.6114.1414.0513.9412.2112.5212.5312.1412.1811.8411.9412.0011.7711.9712.1812.8412.3713.1912.9812.9314.9514.5614.4014.3814.2514.0114.0113.8813.6314.0213.9713.8713.5413.3813.5213.5613.2912.9412.59
9.626.253.3911.608.225.092.5510.938.425.543.0110.267.935.112.648.016.243.821.799.066.674.442.088.266.174.131.867.205.423.451.636.735.053.341.635.554.362.871.095.013.912.431.255.233.942.391.244.943.702.471.035.243.702.261.264.723.442.011.024.793.322.161.05
4.372.941.734.483.662.190.944.704.253.212.015.765.253.532.004.173.331.710.724.813.091.990.984.343.292.190.943.783.192.030.883.732.891.940.932.842.451.720.582.532.221.420.682.522.191.320.671.691.260.890.212.431.761.010.592.431.901.030.492.401.660.980.39