Xylem Financial Ratios for Analysis 2009-2024 | XYL

Fifteen years of historical annual and quarterly financial ratios and margins for Xylem (XYL).

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
1.761.892.271.801.631.511.881.492.442.292.362.402.022.06-
0.180.350.430.450.410.420.470.490.360.360.350.370.400.00-
0.220.540.761.040.780.830.871.070.610.600.550.580.660.00-
36.9037.7438.0237.5338.9838.9139.2438.7738.4338.6439.0739.6238.4237.9136.40
8.8511.2611.267.539.2612.5611.7310.8212.2911.829.4611.6910.3912.129.69
8.8511.2611.267.539.2612.5611.7310.8212.2911.829.4611.6910.3912.129.69
14.7715.5415.9813.8616.9717.5716.7014.8215.9315.4513.3715.4313.9914.9912.14
8.627.979.845.857.9311.239.909.0211.0310.757.7710.2310.0712.129.72
8.276.438.225.217.6410.547.036.899.318.615.947.837.3410.279.23
0.460.690.630.560.680.720.690.580.780.810.780.810.860.86-
4.564.304.605.465.945.355.464.425.194.944.925.175.415.11-
4.555.045.455.285.075.054.924.474.885.084.704.895.034.64-
80.1572.4466.9669.0972.0472.2774.1381.6074.8471.8677.7274.7172.5678.65-
5.9810.1313.248.5313.5219.7313.1011.7816.3115.8410.1714.3215.2412.10-
1,015-243.15-73.37-26.16-38.34-38.50-23.29-15.995231,532651-521.05-98.2437.99-
3.784.465.162.905.207.604.814.027.306.974.666.356.348.81-
4.896.597.544.658.0111.366.996.0310.3710.146.639.079.2012.08-
42.1219.4417.8816.5016.4715.4814.0012.3011.6811.6712.1411.179.9214.73-
3.843.292.964.554.633.243.792.762.552.261.742.132.422.142.00
2.602.171.833.543.381.932.862.081.911.621.101.551.801.651.73

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
1.851.671.761.721.642.011.891.651.631.622.272.331.851.841.802.592.401.551.631.551.471.441.511.491.431.421.881.761.631.561.492.492.451.802.442.472.462.372.292.382.382.322.362.372.422.442.402.342.252.122.022.21--2.06----
0.160.160.180.180.190.340.350.370.370.370.430.440.450.460.450.520.510.420.410.410.410.420.420.450.460.470.470.470.480.480.490.340.340.350.360.370.370.380.360.350.350.350.350.360.370.370.370.370.380.380.400.38--0.00----
0.190.220.220.230.250.520.540.730.750.760.760.791.011.041.041.081.130.880.780.810.840.840.830.961.001.020.870.921.011.051.070.540.570.870.610.620.610.640.600.570.550.560.550.560.590.590.580.590.620.620.660.62--0.00----
37.7636.9935.6936.8037.8037.7138.0537.9738.1236.7137.2637.3138.4939.0138.3137.7937.4136.4239.1739.2739.1138.3239.1139.2439.4137.8039.7039.4139.2638.4737.1739.8039.5938.8439.2438.9137.8337.6339.0639.0438.6137.7539.6939.7938.6538.0039.4240.1739.6539.2437.8938.8739.0337.87100.0038.34100.00100.00-
11.6610.289.969.206.919.0513.0812.1710.708.7310.5812.0211.8410.5913.045.984.665.4314.220.8512.718.8114.0013.6812.989.2913.8612.7211.778.0310.1412.1511.709.3314.2913.3011.309.9213.5313.5011.548.3912.4910.167.297.5110.7311.9213.3510.709.978.4111.9511.24100.0013.28100.00100.00-
11.6610.289.969.206.919.0513.0812.1710.708.7310.5812.0211.8410.5913.045.984.665.4314.220.8512.718.8114.0013.6812.989.2913.8612.7211.778.0310.1412.1511.709.3314.2913.3011.309.9213.5313.5011.548.3912.4910.167.297.5110.7311.9213.3510.709.978.4111.9511.24100.0013.28100.00100.00-
-----------------------------------------------------------
11.399.649.928.916.628.7012.551.239.977.709.5210.5110.219.0811.514.103.023.7412.98-0.9311.607.6012.9112.5111.397.8111.2810.9610.406.548.2210.599.667.6712.8811.869.899.2012.2813.2910.356.7310.368.605.945.809.1810.7411.909.088.478.7311.8411.35100.0013.65100.00100.00-
8.947.5312.567.325.346.849.890.878.216.458.549.018.366.9310.783.032.673.388.615.0210.336.3916.2310.108.736.495.568.798.515.234.578.147.627.7911.479.768.047.659.2111.018.565.416.587.564.794.667.537.739.216.815.188.207.428.7610.3711.2910.778.00-
0.140.130.130.130.110.180.190.170.170.150.160.160.150.150.160.140.140.150.180.170.180.170.190.180.180.170.190.180.170.160.170.190.200.160.210.190.200.180.220.200.210.190.210.200.210.190.210.200.220.210.230.23--0.25----
1.281.231.341.210.941.051.171.020.991.001.191.171.291.291.521.301.221.251.551.361.361.241.421.261.331.311.471.291.281.221.321.111.171.071.391.161.151.041.311.141.171.091.311.171.251.181.331.191.251.211.441.31-------
1.291.241.311.261.041.291.371.361.331.261.391.301.391.321.491.261.211.151.321.201.231.211.341.271.291.221.341.211.231.231.301.131.191.131.331.181.191.131.351.201.211.131.261.141.211.151.251.161.251.221.331.25--1.36----
69.5072.6568.7171.6686.7169.8065.5066.3967.5771.5364.8369.2364.9568.2260.5071.4174.1778.1468.0174.8673.3474.2166.9571.1269.6473.8867.3874.5672.9972.9469.2979.4675.7179.9167.8276.0375.5279.3566.5975.1474.3379.7771.1878.8174.2578.5372.0777.4371.7474.0467.8472.17--66.42----
1.871.502.611.530.932.764.250.373.502.563.503.683.712.954.971.291.081.353.982.254.782.818.094.944.553.092.784.194.202.472.273.283.273.065.474.313.563.224.514.833.832.203.033.382.242.013.523.514.573.232.843.95--3.57----
41.7263.75443-61.54-23.83-154.69-102.05-3.45-23.05-14.19-19.42-15.18-13.29-9.06-15.24-3.66-2.92-3.42-11.28-5.93-10.66-5.65-15.78-7.95-6.62-4.32-4.94-7.25-6.58-3.54-3.0845.0667.62105175352161-164.10436136156163194-169.77-38.33-30.83-128.07-138.46-64.49-34.24-18.31-38.31--11.20----
1.230.961.650.960.571.251.870.151.371.001.371.401.291.021.690.440.370.501.530.861.811.063.121.771.591.071.021.531.490.860.771.531.511.242.451.891.571.391.992.201.761.001.391.531.000.891.561.571.991.401.181.86--2.60----
1.571.262.141.250.761.812.770.242.201.611.992.052.051.612.710.620.530.782.361.322.801.634.662.702.441.651.482.232.201.271.162.162.141.993.482.722.262.012.893.132.501.431.982.171.411.272.232.212.832.001.722.44--3.56----
42.6042.0742.1241.2841.1719.8719.4417.8817.7817.8017.8817.2016.9316.3716.5015.9615.9215.6816.4716.0716.1415.6115.4814.6414.0814.2114.0013.8113.2712.6212.3012.4112.1312.0711.6811.3911.4610.9711.6712.0612.2912.1312.1411.7011.0711.0111.1711.0510.5010.529.9210.57--14.73----
1.550.373.841.580.04-0.103.291.290.18-0.452.961.751.14-0.144.552.510.99-0.014.632.491.140.463.242.141.110.353.792.100.840.292.761.520.690.232.551.430.670.212.261.380.530.121.740.880.330.112.131.230.670.332.421.370.870.382.140.000.000.000.00
0.960.072.600.85-0.45-0.382.170.49-0.33-0.711.831.060.70-0.353.541.760.47-0.293.381.520.420.081.931.200.500.012.861.500.410.052.081.020.350.021.911.010.360.011.620.970.28-0.011.100.420.03-0.041.550.820.380.171.800.990.610.291.65----