Yara Financial Ratios for Analysis 2009-2023 | YARIY

Fifteen years of historical annual and quarterly financial ratios and margins for Yara (YARIY).

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
1.671.991.391.781.441.471.821.921.841.781.702.302.481.851.55
0.300.290.300.290.230.240.200.150.110.140.090.160.190.240.33
0.500.440.550.470.400.450.310.220.200.230.180.220.250.380.60
22.2027.8526.9331.6227.8423.7625.0328.3729.3425.9923.1225.2922.3823.2222.88
2.0015.916.4310.037.653.084.029.0312.6110.818.7515.2010.449.532.07
2.0015.916.4310.037.653.084.029.0312.6110.818.7515.2010.449.532.07
8.5519.9212.3517.8614.789.2610.3715.6418.8015.7113.1319.2813.8813.346.02
1.2315.134.457.256.211.035.108.619.5110.528.9815.7818.5317.475.66
0.3111.552.705.894.631.224.186.557.228.007.2012.6815.5513.746.21
0.971.340.960.710.770.780.720.810.940.850.951.031.050.981.00
3.963.983.033.713.963.883.833.963.963.795.005.264.765.106.03
9.5110.437.777.948.278.158.159.409.257.889.1310.448.959.6310.35
38.3634.9846.9946.0044.1344.7744.7638.8139.4646.3239.9934.9640.7637.8935.27
0.7332.355.408.406.611.575.078.2411.1411.6911.7322.1125.9324.8914.21
0.8235.976.209.547.481.785.749.3512.7514.1913.7826.0329.3028.9316.23
0.3415.472.224.163.520.843.055.257.107.117.4413.5815.7113.436.65
0.5122.813.765.955.071.204.046.979.9110.1110.6318.6421.0818.929.58
14.8616.8813.9715.6316.4316.3417.3916.7317.1819.64-----
4.494.692.743.823.501.381.453.073.312.483.724.022.292.043.30
2.282.911.192.461.57-1.05-0.980.281.160.462.382.951.401.182.21

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
1.811.711.701.671.801.732.131.991.611.501.511.391.521.531.771.782.222.021.661.441.431.401.451.471.591.541.741.821.641.711.931.922.071.931.931.842.021.851.901.781.771.641.781.702.202.282.332.302.132.152.512.482.281.952.001.851.923.951.521.551.291.681.93
0.310.320.300.300.330.330.290.290.280.280.270.300.310.290.300.290.290.300.250.230.240.230.230.240.250.260.220.200.160.160.150.150.150.150.110.110.110.120.120.140.090.090.090.090.140.150.140.160.160.170.190.190.210.220.220.240.270.290.300.330.290.350.41
0.520.550.510.500.520.570.430.440.470.470.450.550.490.460.470.470.440.470.460.400.440.430.450.450.440.460.350.310.250.250.220.220.210.230.170.200.170.190.180.230.170.170.160.180.190.200.190.220.240.250.260.250.290.320.310.380.420.470.520.600.600.700.89
27.9126.3226.1830.1421.3517.0821.1228.7723.2430.2229.2623.3125.3030.2530.8731.2832.6332.0730.4130.5126.6726.8727.6424.6922.4422.0226.2326.0123.2024.9726.0525.4524.6731.9630.8139.4022.8327.0729.4131.4425.5927.2925.1821.3123.0422.5325.9621.5924.6229.9225.3413.4225.6924.9824.1017.9521.7224.2229.6422.0420.1228.0922.15
8.516.064.436.103.22-5.804.8114.2012.6518.9717.572.922.7012.0610.287.1112.4911.648.737.038.977.826.572.234.311.224.661.972.954.716.752.385.5813.5813.5810.0719.2112.7312.54-1.315.109.0311.791.2510.5711.029.9622.6512.4012.5912.64-1.5414.669.2221.769.598.5712.049.32-27.054.7613.849.87
8.516.064.436.103.22-5.804.8114.2012.6518.9717.572.922.7012.0610.287.1112.4911.648.737.038.977.826.572.234.311.224.661.972.954.716.752.385.5813.5813.5810.0719.2112.7312.54-1.315.109.0311.791.2510.5711.029.9622.6512.4012.5912.64-1.5414.669.2221.769.598.5712.049.32-27.054.7613.849.87
---------------------------------------------------------------
10.241.051.848.730.31-7.343.8717.468.5714.2720.820.74-1.1117.891.4610.2212.498.75-2.989.672.988.643.724.802.31-8.185.153.303.644.179.65-0.294.7914.0714.622.9714.5014.154.7610.648.8013.7610.920.0910.0010.7214.5712.0515.7817.5917.9319.7121.1515.1217.2811.8714.6831.3212.773.922.918.886.88
7.800.030.546.89--7.572.5014.076.4310.2915.970.79-3.1913.660.418.3811.037.77-4.106.572.126.763.194.512.76-6.614.063.542.982.977.49-1.453.4311.8811.181.6913.1410.442.637.097.089.808.170.297.618.0410.9010.3312.5813.0714.4917.2418.1311.9414.599.0111.7023.7010.4410.612.477.055.18
0.220.220.210.220.250.240.240.300.350.360.320.290.280.230.190.180.190.180.180.180.210.190.170.210.210.190.170.190.200.190.180.190.210.210.210.210.250.250.240.190.250.240.250.220.240.270.230.270.250.250.260.260.270.270.320.270.260.180.230.230.230.240.24
0.870.930.860.811.090.980.810.891.030.940.910.961.031.021.040.931.030.930.960.891.070.940.841.011.131.050.850.971.060.930.920.951.080.940.930.861.041.031.050.941.191.181.241.201.071.601.211.391.261.281.461.311.291.441.521.411.551.351.381.591.301.100.90
2.232.051.762.172.272.041.992.372.242.602.012.352.532.271.971.982.221.741.621.942.011.791.612.162.241.951.722.102.182.221.862.162.342.181.862.092.552.191.991.782.392.312.022.122.442.422.042.752.332.292.072.182.362.262.492.662.412.342.052.432.462.111.89
40.3243.8751.1241.5439.6344.1545.3437.9740.1334.5644.7138.2435.5539.7245.7745.4840.5551.8255.5346.4744.7350.4055.7841.6640.2246.1852.4442.8441.3540.6048.3241.7038.5041.2148.4142.9935.3441.0545.1250.7037.5839.0044.6142.3836.8637.2144.2232.7338.6739.2343.4441.3538.2139.7436.0733.7837.3838.4543.9337.0636.6542.6047.58
3.730.040.223.250.03-4.141.208.915.168.6611.66-0.38-1.996.730.182.994.112.78-1.482.220.862.481.011.710.99-2.411.171.220.950.902.11-0.431.134.093.690.565.224.181.022.242.733.843.170.102.853.514.064.585.315.576.327.288.585.848.434.525.7811.014.925.301.263.873.15
4.220.050.243.690.03-4.731.349.905.799.7813.16-0.44-2.287.660.203.404.643.16-1.682.510.982.811.141.931.13-2.751.331.381.081.022.39-0.491.294.684.210.656.135.031.222.723.214.533.720.123.364.114.755.396.236.607.458.229.746.729.735.256.777.385.886.051.464.493.64
1.750.020.101.530.01-1.840.594.262.273.705.07-0.16-0.883.110.091.482.101.38-0.751.180.451.280.520.910.54-1.270.680.740.590.551.34-0.270.722.512.370.363.352.610.631.361.742.392.020.061.812.202.522.813.203.303.774.414.963.284.692.443.054.282.392.480.571.681.22
2.560.030.152.270.02-2.770.856.283.736.218.46-0.26-1.384.750.122.122.911.95-1.121.710.661.910.771.300.74-1.790.920.970.800.751.79-0.360.963.473.300.504.663.680.891.942.483.492.880.092.453.003.483.864.454.625.125.926.784.576.563.434.237.863.463.570.892.511.86
15.0914.2814.5714.8614.0514.1217.1816.8815.2915.1215.9413.9714.0215.7315.3615.6315.5214.9314.8916.4315.7316.7016.5516.3416.5716.4317.8017.3917.1916.3417.0916.7315.9416.5715.96----------------------------
2.341.730.114.494.312.320.994.692.702.500.622.742.993.141.073.822.961.730.353.502.241.710.471.381.551.390.431.451.370.780.213.072.602.191.183.313.002.141.272.482.021.810.713.743.081.931.264.063.122.301.232.302.151.190.792.041.440.860.723.303.132.271.06
0.890.74-0.382.282.791.340.492.911.471.710.271.191.982.510.712.462.091.10-0.021.570.860.810.01-1.05-0.170.20-0.13-0.98-0.39-0.33-0.340.280.590.850.661.161.721.300.820.470.660.920.292.392.251.391.012.982.421.911.071.411.510.730.581.180.810.440.572.212.391.870.89