United States Steel Financial Ratios for Analysis 2009-2024 | X

Fifteen years of historical annual and quarterly financial ratios and margins for United States Steel (X).

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
1.761.991.861.671.451.511.711.871.821.631.871.841.581.692.03
0.270.280.300.550.470.360.450.570.560.450.520.530.520.480.40
0.380.390.431.260.890.570.811.331.290.921.171.141.110.980.68
12.4620.3628.321.916.6113.2111.366.363.7411.728.088.797.846.42-4.97
4.4315.0024.39-11.04-1.787.935.46-1.96-10.392.36-10.901.281.33-0.64-15.24
4.4315.0024.39-11.04-1.787.935.46-1.96-10.392.36-10.901.281.33-0.64-15.24
9.5018.7628.30-4.432.9811.609.553.12-5.665.94-6.984.704.763.15-9.26
5.8015.4721.43-13.42-3.495.732.46-4.05-12.610.97-12.810.030.14-2.22-16.70
4.9611.9820.59-11.96-4.877.863.16-4.29-14.190.58-9.44-0.64-0.27-2.77-12.68
0.881.081.140.811.111.291.241.121.261.461.331.271.241.130.72
7.437.116.586.826.775.886.256.115.376.195.967.046.606.916.91
11.6612.889.719.8010.998.558.888.2210.899.018.079.258.177.906.20
31.3028.3337.6137.2533.2142.7141.0944.3933.5240.4945.2539.4744.6646.1858.84
8.0324.4845.85-30.03-15.3926.5311.65-19.34-67.382.68-48.73-3.59-1.51-12.51-28.24
9.1528.3254.46-31.10-15.9827.5612.27-20.95-73.272.84-52.98-8.91-3.64-26.53-47.29
4.3812.9723.43-9.66-5.4310.153.92-4.80-17.910.85-12.52-0.82-0.33-3.14-9.12
5.8817.7432.19-13.59-8.1617.106.43-8.37-29.691.47-23.53-1.69-0.72-6.54-16.89
49.8145.1434.5117.6024.0724.0818.9513.0916.6626.0923.3324.1124.3126.8134.73
8.2212.6614.580.703.985.264.684.812.4610.212.807.871.17-2.64-0.45
-1.836.3811.60-2.14-3.30-0.301.852.94-0.937.25-0.423.93-4.44-6.17-2.34

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
1.671.721.711.761.951.921.881.992.031.981.901.861.691.271.351.671.722.301.691.451.421.411.471.511.621.661.631.711.891.721.651.871.841.631.681.821.621.681.741.631.721.851.831.871.631.661.801.841.731.701.591.581.601.671.571.691.912.012.092.032.132.542.09
0.260.260.270.270.270.280.270.280.270.270.290.300.350.450.550.550.570.600.550.470.370.350.350.360.390.410.430.450.510.520.560.570.530.620.610.560.500.470.460.450.450.510.510.520.670.510.530.530.500.520.520.520.470.470.470.480.450.450.440.400.400.390.40
0.360.370.380.380.380.390.380.390.370.380.410.430.540.941.241.261.401.531.270.890.610.560.560.570.630.710.830.811.031.151.401.331.181.641.621.291.101.000.960.920.891.041.151.172.251.151.151.141.031.091.211.110.940.930.960.980.830.830.810.680.670.660.68
10.5111.8711.907.0713.3816.9111.579.3116.2225.9026.9630.6334.9326.8116.107.061.92-8.755.201.525.448.979.3513.1914.9413.5210.8312.2912.9313.396.098.8712.147.24-4.06-2.226.223.726.3014.7316.116.899.228.399.257.117.686.377.1810.6010.563.5710.2512.155.004.303.9110.626.600.18-3.02-10.01-9.35
1.254.403.70-5.576.2511.264.234.0111.8019.9421.3620.3739.2720.5811.601.68-9.02-25.44-13.65-13.31-2.613.243.178.4810.008.344.357.478.008.11-2.94-3.774.911.08-11.15-17.61-6.01-13.52-5.729.75-3.070.802.74-5.36-41.20-0.160.830.111.335.04-1.41-2.973.925.86-1.87-2.65-3.074.23-1.46-9.81-14.63-21.86-17.38
1.254.403.70-5.576.2511.264.234.0111.8019.9421.3620.3739.2720.5811.601.68-9.02-25.44-13.65-13.31-2.613.243.178.4810.008.344.357.478.008.11-2.94-3.774.911.08-11.15-17.61-6.01-13.52-5.729.75-3.070.802.74-5.36-41.20-0.160.830.111.335.04-1.41-2.973.925.86-1.87-2.65-3.074.23-1.46-9.81-14.63-21.86-17.38
---------------------------------------------------------------
2.835.805.02-3.987.7012.405.595.1912.3820.0621.5518.0537.9319.402.51-1.76-11.03-28.41-14.92-15.83-4.171.721.776.858.426.260.602.234.537.79-5.91-4.042.61-2.05-13.93-21.00-7.88-15.41-7.618.52-4.38-0.661.19-7.12-43.26-1.69-1.44-1.310.373.41-2.38-5.081.085.61-1.44-4.84-1.331.03-4.24-11.48-15.51-22.28-19.96
3.094.444.11-1.936.759.524.454.019.4215.5516.8519.0133.5720.142.481.91-10.00-28.17-14.23-23.65-2.741.921.5416.047.805.930.575.084.538.30-6.61-3.961.90-1.78-14.52-44.05-6.11-9.00-2.296.75-4.51-0.411.176.96-43.36-1.76-1.59-1.110.952.01-4.23-4.380.434.34-1.77-5.79-1.13-0.53-4.03-7.96-10.76-18.43-15.96
0.190.200.200.200.220.250.230.220.260.320.270.320.340.310.250.210.200.170.220.240.280.310.310.340.350.360.310.320.330.330.300.290.280.290.260.280.250.260.280.340.380.330.330.320.320.300.300.290.300.330.330.300.320.320.310.280.290.300.250.220.180.140.18
1.691.801.701.811.671.641.561.671.581.551.441.761.861.921.761.701.641.391.261.561.401.491.491.531.631.691.541.581.631.581.491.541.351.431.351.271.091.201.271.391.751.751.671.461.511.811.831.681.711.861.901.671.601.672.051.751.822.082.211.991.731.311.45
2.342.452.422.682.882.692.472.652.562.422.172.692.482.502.262.582.132.232.342.402.192.162.022.222.232.182.012.272.132.181.952.122.252.072.062.422.121.941.992.102.212.111.871.982.112.072.022.151.932.032.051.981.941.891.831.961.901.961.961.881.531.531.80
38.5236.6737.2533.6231.3033.5036.4033.9235.2037.2341.5333.4436.2636.0039.7734.9242.2740.4238.3837.5141.0641.5944.4740.4540.3841.3044.7639.6142.3141.3446.2142.3840.0743.5443.7937.2042.4646.4645.3342.9240.6542.6748.2445.5442.6443.5344.5441.9246.6644.2943.8245.4446.2847.6049.2646.0047.3745.8245.8147.7958.9158.6549.97
1.021.591.51-0.722.694.411.911.694.659.509.0111.7425.0017.031.931.26-6.68-16.12-10.49-16.32-2.001.581.2714.097.385.930.524.795.2410.22-8.28-4.621.96-2.40-17.50-46.49-5.45-7.50-2.047.24-5.25-0.511.518.80-100.90-2.25-2.10-1.471.142.86-6.33-6.030.535.27-2.20-6.46-1.13-0.54-3.47-5.38-6.09-7.64-9.59
1.151.801.72-0.823.075.052.211.955.3711.0210.5513.9530.4622.482.781.31-6.94-16.72-10.89-16.94-2.081.641.3214.647.696.210.555.045.5710.95-9.00-5.002.10-2.67-19.45-50.56-5.82-7.95-2.167.65-5.54-0.551.639.57-119.80-5.54-5.16-3.642.466.76-15.63-14.491.0210.33-4.65-13.70-2.03-0.98-6.26-9.01-10.05-12.24-16.18
0.580.900.84-0.391.472.351.020.892.464.934.596.0011.556.290.620.41-1.99-4.69-3.16-5.75-0.770.600.485.392.752.130.181.611.492.72-1.96-1.150.54-0.51-3.80-12.36-1.55-2.33-0.652.29-1.72-0.130.392.26-13.77-0.52-0.48-0.340.280.66-1.39-1.310.141.37-0.55-1.62-0.33-0.16-1.03-1.74-1.94-2.49-2.90
0.761.181.11-0.531.963.191.391.223.406.916.438.2416.309.420.870.57-2.88-6.43-4.69-8.65-1.251.020.829.084.523.480.302.642.584.92-3.65-2.000.91-0.93-6.77-20.49-2.75-3.95-1.103.97-2.91-0.250.744.25-33.21-1.10-0.99-0.690.561.38-3.02-2.880.282.81-1.16-3.38-0.63-0.30-1.93-3.22-3.66-4.63-5.76
51.8351.0650.2249.8149.7648.3145.7745.1444.9542.2837.5634.5129.6422.0017.5017.6015.9016.5821.8724.0724.7025.1624.5124.0822.2420.3619.4618.9516.0514.6112.4513.0915.0913.0513.2716.6621.6923.8025.1826.0927.1124.2223.8523.3312.2724.0224.0624.1126.7724.4924.0324.3128.9629.2827.1926.8131.4731.0431.7834.7335.1535.7939.41
2.801.75-0.118.226.763.520.7012.6610.335.852.6314.589.063.850.420.70-0.68-2.06-0.833.982.322.120.175.264.031.64-0.564.683.091.38-0.774.813.592.140.772.461.731.030.5010.218.589.343.652.802.912.661.617.875.585.022.961.170.750.220.12-2.64-3.33-2.43-0.41-0.450.822.682.66
-4.20-3.24-2.62-1.83-0.89-1.79-2.166.386.163.591.4511.607.552.95-0.10-2.14-3.34-4.65-2.49-3.30-3.38-1.51-1.56-0.300.48-0.49-1.721.851.440.70-1.042.941.970.66-0.24-0.93-0.68-0.41-0.257.256.838.233.20-0.420.641.140.813.933.283.482.55-4.44-3.48-2.02-1.05-6.17-5.58-3.55-0.83-2.340.062.983.87