Warner Music Group Financial Ratios for Analysis 2009-2024 | WMG

Fifteen years of historical annual and quarterly financial ratios and margins for Warner Music Group (WMG).

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
0.680.640.600.620.600.500.610.490.450.410.450.580.530.660.66
0.900.960.991.011.101.130.900.930.930.890.790.700.671.121.05
9.2222.2172.74-68.98-11.06-8.819.1313.2312.537.773.862.342.05-9.22-23.08
47.3747.9648.2747.7346.3545.7946.0047.4149.0648.1348.0347.6645.9746.9945.96
13.0912.0611.49-5.137.965.426.216.594.280.632.613.921.123.014.21
13.0912.0611.49-5.137.965.426.216.594.280.632.613.921.123.014.21
18.5917.7917.260.7213.9711.9413.2315.6214.7011.2311.6012.7010.1211.6512.39
10.0912.508.60-10.025.9711.04-0.061.26-2.53-10.87-7.84-3.88-6.14-3.48-1.68
7.129.315.73-10.645.727.674.000.77-3.07-10.18-6.90-4.03-7.15-4.79-3.12
0.710.760.740.700.740.750.630.610.530.510.460.530.530.780.79
25.2128.5227.7029.5332.4551.6949.5141.6335.9840.2645.2151.9653.4142.8137.65
5.396.026.325.795.778.968.859.878.507.905.626.987.456.885.83
67.7260.6857.7763.0663.2140.7441.2436.9942.9546.1864.9752.2649.0153.0262.64
1023306671,044-95.91-97.5048.3814.29-36.82-77.69-26.11-11.55-19.0468.72124
-10.80-13.42-7.7612.76-6.61-7.77-4.16-0.802.197.094.673.596.715.834.11
5.147.094.26-7.334.295.842.610.56-1.57-5.09-3.10-2.07-3.83-3.80-2.56
9.9914.239.05-15.369.5412.494.781.00-2.73-8.89-5.39-3.46-6.24-8.36-5.61
0.830.330.09-0.09-0.53---------1.36-0.54
1.331.441.240.920.800.850.000.000.000.000.000.000.001.001.59
1.091.181.060.750.590.70-------0.661.46

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.690.690.700.680.700.690.700.640.610.610.600.600.600.630.630.620.630.580.590.600.620.610.610.500.690.620.670.610.610.570.550.490.480.480.490.450.420.440.430.410.430.410.450.450.430.560.530.580.540.540.540.530.600.590.610.660.660.660.660.660.610.77
0.860.870.870.900.930.940.930.960.960.960.960.990.970.980.991.011.011.111.061.101.051.041.051.130.940.930.900.900.900.940.950.930.920.930.930.930.920.920.910.890.870.820.800.790.720.720.720.700.700.690.680.671.171.151.131.121.101.061.051.051.081.05
6.266.816.509.2213.3414.9913.9922.2122.0122.1322.3672.7435.4445.95103-68.98-142.86-10.47-17.68-11.06-22.60-24.92-21.57-8.8114.7314.388.789.138.6114.8019.6813.2312.5312.4412.4912.5310.9710.859.617.776.624.484.193.862.602.592.582.342.302.192.122.05-6.75-7.68-8.52-9.22-11.13-16.67-20.04-23.08-13.63-20.20
46.5947.0549.6646.7245.6548.4648.8646.6346.5149.3549.3245.3549.1850.1648.6146.1847.8250.0547.0543.1545.4648.7247.9643.8944.5749.3345.5545.3743.4049.7045.9148.1644.7649.8047.1150.0047.4653.0346.3249.0347.0851.1545.8949.2144.3451.5646.9450.2145.7848.9645.8147.1444.7747.5144.6048.0145.8650.6044.3447.0343.7349.18
13.327.9720.2513.3712.088.8617.8110.8910.2012.0614.817.2712.0912.0814.687.82-42.87-4.5813.142.585.4811.1912.221.542.928.628.61-0.115.569.4510.256.545.556.987.304.933.246.502.773.11-1.90-0.771.84-5.371.218.446.635.611.083.535.03-2.931.452.343.472.66-0.153.605.126.183.232.24
13.327.9720.2513.3712.088.8617.8110.8910.2012.0614.817.2712.0912.0814.687.82-42.87-4.5813.142.585.4811.1912.221.542.928.628.61-0.115.569.4510.256.545.556.987.304.933.246.502.773.11-1.90-0.771.84-5.371.218.446.635.611.083.535.03-2.931.452.343.472.66-0.153.605.126.183.232.24
--------------------------------------------------------------
11.007.6315.1613.3710.684.1511.5612.4911.459.1616.293.787.6113.4410.04-1.78-46.34-8.0310.111.250.1910.5511.31-1.4439.871.875.45-6.22-0.982.794.47-0.95-0.373.622.94-2.27-5.491.92-3.86-2.98-25.38-9.49-5.40-12.57-6.490.59-11.70-1.78-6.61-5.14-2.58-12.97-4.51-4.68-2.57-3.86-7.06-3.90-0.330.46-4.14-8.64
8.946.439.109.587.802.438.209.898.666.6911.592.034.559.367.34-0.09-51.49-6.919.558.011.236.157.15-1.3533.40-0.310.38-4.2515.382.302.40-0.48-1.111.483.18-3.07-6.202.66-5.07-3.37-23.48-9.19-4.54-7.46-9.500.30-10.40-2.46-4.92-5.78-3.35-14.37-6.69-5.56-2.31-6.12-8.44-3.75-1.85-2.06-4.79-10.13
0.180.170.190.190.190.170.180.190.190.180.200.190.190.180.190.180.160.170.200.190.180.180.200.190.170.170.180.160.170.160.170.160.150.140.150.130.130.120.140.130.130.110.130.120.140.130.150.140.130.120.140.130.190.190.220.200.180.180.230.220.190.16
9.028.158.306.717.336.327.467.408.247.419.747.608.627.899.667.678.938.2310.238.648.618.609.4813.8813.2812.5114.9712.8513.6611.5313.7810.6311.799.1210.958.939.568.8311.4110.0811.279.1112.9711.7614.7613.0815.1113.0013.0711.7814.4813.0713.5711.5812.6810.579.818.6612.1710.078.706.69
1.271.251.461.421.411.381.481.521.481.511.721.641.611.601.511.461.381.401.421.451.421.401.522.322.162.262.092.272.412.292.392.562.302.342.082.152.072.001.902.011.761.661.441.502.152.061.841.841.992.041.841.861.932.031.831.731.801.641.711.591.941.92
70.7772.1161.5363.5664.0565.4360.7359.1660.9659.7852.4754.8856.0156.3859.6061.6365.2364.1263.2062.0663.2964.4959.0338.7241.7139.9142.9839.6537.3039.3837.6935.2139.1738.4243.2541.8843.4844.9347.3344.7151.2854.3062.5060.2041.9543.7348.9249.0045.2144.2148.8948.3346.7044.3449.0551.9450.1154.8652.5556.6446.3446.81
22.2016.4131.3335.8141.4713.9143.9789.2972.6753.1810965.2264.21160300-2.222,47125.96-72.19-33.83-10.53-55.83-61.874.06168-0.491.56-12.3444.0010.7017.14-1.43-3.025.1311.72-9.62-15.756.88-13.06-6.15-40.00-9.20-5.16-7.67-7.810.47-9.14-1.80-3.33-3.36-2.50-9.5215.9215.357.8921.8031.6124.1416.4919.0525.3561.82
-3.68-2.47-4.90-3.79-3.09-0.91-3.04-3.63-2.94-2.13-4.28-0.76-1.54-3.04-2.51-0.0314.551.93-3.21-2.33-0.36-1.73-2.190.32-9.110.03-0.141.06-4.15-0.56-0.650.080.18-0.31-0.710.571.05-0.470.970.564.271.410.861.372.03-0.132.570.561.061.110.853.361.811.530.721.852.261.150.640.631.342.54
1.601.102.151.801.520.461.531.921.621.182.350.420.871.711.430.02-8.44-1.211.931.510.241.141.45-0.245.57-0.020.09-0.662.610.380.45-0.06-0.130.220.50-0.41-0.760.34-0.70-0.40-3.01-0.96-0.57-0.91-1.270.08-1.52-0.32-0.62-0.64-0.48-1.91-1.28-1.08-0.50-1.21-1.50-0.75-0.41-0.39-0.90-1.60
3.062.104.183.502.890.872.933.853.162.304.680.881.763.412.890.03-17.42-2.744.333.360.492.333.01-0.5210.68-0.030.16-1.224.580.680.83-0.10-0.230.380.87-0.71-1.320.58-1.24-0.70-5.27-1.69-1.01-1.58-2.190.13-2.58-0.54-1.01-1.05-0.80-3.12-2.77-2.30-1.05-2.65-3.12-1.54-0.87-0.86-2.01-3.25
1.231.131.190.830.580.520.550.330.330.340.330.090.180.140.06-0.09-0.04-0.56--0.53---------------------------------1.84-1.64-1.47-1.36-1.12-0.75-0.63-0.54-0.92-0.71
0.870.510.571.330.680.390.411.440.650.340.251.240.800.620.330.920.570.330.160.800.500.200.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00-0.12-0.05-0.751.000.670.34-0.281.591.321.25
0.710.400.511.090.500.280.371.180.460.220.181.060.680.550.300.750.470.270.130.590.330.08-------------------------------0.34-0.19-0.810.660.470.24-0.331.461.281.19