YPF Sociedad Anonima Financial Ratios for Analysis 2009-2024 | YPF

Fifteen years of historical annual and quarterly financial ratios and margins for YPF Sociedad Anonima (YPF).

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
0.901.081.190.880.981.161.191.060.960.791.050.880.650.750.84
0.440.370.450.450.460.430.500.520.390.330.320.280.200.080.10
0.980.730.961.061.070.921.251.300.880.680.660.550.680.410.36
19.9827.0522.316.4215.1817.5016.2215.6123.4426.3823.9125.17100.0032.3032.47
-7.2113.235.11-8.73-3.1010.054.375.0910.6213.9112.3812.55100.0021.4620.39
-7.2113.235.11-8.73-3.1010.054.375.0910.6213.9112.3812.55100.0021.4620.39
11.7028.2027.5320.0820.3030.5425.8726.7327.9228.2825.0724.8811033.4034.47
-1.4816.295.23-8.43-1.0320.683.44-14.1918.6115.5515.9212.75100.0020.4217.17
-7.5811.880.19-10.41-5.028.864.88-13.442.936.235.695.819.3413.1110.16
0.690.720.590.350.430.440.500.500.430.680.660.841.020.950.85
8.237.877.096.257.156.747.768.136.218.046.947.26-7.747.56
12.798.117.124.704.404.614.744.463.7611.6612.1510.0616.3213.2912.12
28.5544.9951.2577.7382.9879.1577.0081.8397.0731.3030.0336.2922.3627.4630.11
-14.1121.170.19-10.39-6.0910.658.31-23.923.6712.377.3112.4828.2630.4118.46
-14.7121.970.20-11.02-6.5311.298.89-25.673.9113.167.7013.1128.2730.4318.47
-5.108.620.07-3.69-2.123.882.51-6.741.224.322.604.889.5612.438.65
-7.9513.320.11-5.75-3.316.104.16-11.532.238.274.959.0022.6428.0316.58
23.0126.8321.0124.6728.8532.7123.4220.4233.32------
15.0914.5010.707.5711.4611.3211.078.5111.4914.589.839.717.898.300.00
0.614.304.593.422.943.331.90-2.59-6.21-0.63-0.620.500.302.61-

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
0.930.950.900.950.991.031.081.041.151.251.191.161.041.020.880.960.870.860.981.061.121.131.161.171.221.211.191.281.241.141.061.091.061.140.960.930.950.800.790.981.040.931.050.910.990.930.880.620.590.670.650.850.770.880.750.930.890.990.840.840.790.83
0.410.430.440.380.370.370.370.390.410.450.450.460.460.460.450.470.450.420.460.450.450.440.430.450.480.490.500.530.530.520.520.520.430.430.390.410.400.350.330.340.350.310.320.330.340.290.280.080.030.140.200.150.110.080.080.060.070.100.100.110.110.06
0.890.950.980.780.740.720.730.740.810.910.961.001.031.021.061.191.191.051.071.051.051.000.921.031.141.181.251.321.291.271.301.351.000.990.880.870.840.730.680.700.710.620.660.640.660.550.550.410.390.430.680.510.540.390.410.350.370.310.360.260.340.22
29.9529.9519.9818.1019.7922.1620.3229.9231.7724.9727.8522.1221.2015.488.236.32-10.2716.457.9917.1416.2919.9821.3420.7911.9016.3313.0315.0317.4319.6614.9414.0018.8414.4919.7625.0724.1324.8620.5131.0028.8226.7626.6328.1625.9925.2023.7821.7225.6435.16100.0017.5147.0231.77-93.82100.00100.0037.56-87.26100.00100.0033.10
11.9615.45-33.79-8.595.057.909.5214.0217.7210.74-2.8311.829.232.9125.57-12.89-70.988.47-6.74-18.774.478.125.1110.471.8822.89-0.494.625.767.913.692.8810.083.450.4913.7614.1012.888.7020.0313.718.22-13.428.070.3813.5915.0710.328.043.02100.0017.5112.5121.65-124.69100.00100.0027.37-119.68100.00100.0019.89
11.9615.45-33.79-8.595.057.909.5214.0217.7210.74-2.8311.829.232.9125.57-12.89-70.988.47-6.74-18.774.478.125.1110.471.8822.89-0.494.625.767.913.692.8810.083.450.4913.7614.1012.888.7020.0313.718.22-13.428.070.3813.5915.0710.328.043.02100.0017.5112.5121.65-124.69100.00100.0027.37-119.68100.00100.0019.89
--------------------------------------------------------------
9.2412.44-23.87-3.0410.4010.0513.3518.2419.9212.340.7110.776.243.2930.83-15.47-65.283.21-12.43-2.45-3.3215.443.0930.1825.1923.338.771.557.47-4.611.56-67.611.5612.2239.8112.1311.9011.66-0.8021.0114.2431.3633.0417.378.3614.6412.4410.5212.3818.60100.0017.5911.9021.62-126.17100.00100.0024.64-124.47100.00100.0011.77
10.5215.06-44.35-2.847.668.0510.0112.9216.067.157.286.41-14.30-0.8726.96-20.80-64.303.57-4.89-7.62-1.67-6.2514.9310.892.148.0018.310.140.350.042.73-54.09-1.412.12-4.144.525.816.133.668.414.329.407.585.832.446.755.404.355.1812.655.1811.467.2014.159.3513.5214.7415.4814.8911.526.576.72
0.180.160.170.170.160.160.180.210.190.160.170.160.150.120.100.100.080.100.140.110.140.110.110.110.120.140.130.140.140.140.120.140.120.110.100.160.160.160.180.190.180.170.130.200.210.220.240.250.230.200.270.290.270.260.260.250.240.240.240.230.210.19
2.191.921.992.091.851.772.131.881.861.871.952.022.031.851.851.591.431.482.541.411.931.591.541.512.002.172.092.242.072.182.012.121.931.951.592.132.311.992.192.132.121.991.902.131.991.921.961.931.751.71-2.161.431.796.10--1.925.81--1.53
2.262.343.102.282.092.162.012.342.181.982.121.741.731.461.411.260.991.171.441.091.391.271.101.371.341.441.231.231.381.351.101.291.011.030.912.622.772.973.103.062.892.782.352.632.962.342.823.993.963.924.264.533.363.563.663.513.703.563.363.232.861.58
39.8538.5129.0639.5043.0141.7144.8038.4241.2145.5042.5451.6251.9261.4863.6971.6791.3577.0862.4582.8164.9470.9581.4865.4767.1762.4873.2373.1065.3666.4482.0869.7989.2787.5399.2034.2932.5030.3129.0329.4631.1432.4038.3334.1930.4338.5231.8722.5522.7322.9621.1319.8626.8125.2724.5725.6124.3325.2526.7727.8731.4457.01
5.046.59-20.56-1.233.37-4.406.858.103.120.872.98-6.392.457.74-6.33-14.961.06-1.92-2.35-0.58-1.994.493.640.623.487.830.190.220.171.24-27.02---1.292.132.812.751.904.572.294.312.743.241.383.713.26---4.09---5.977.217.877.527.515.152.85-
5.246.85-21.43-1.273.483.244.567.148.473.270.923.15-6.802.608.21-6.85-16.181.13-2.06-2.52-0.62-2.114.763.870.663.728.380.200.240.181.33-29.28-0.580.67-1.382.262.982.922.024.902.474.552.883.411.453.893.422.723.116.644.098.445.148.535.987.227.877.527.515.152.852.45
1.942.47-7.43-0.511.411.301.792.743.121.130.311.03-2.180.882.75-2.10-5.070.38-0.67-0.83-0.20-0.701.641.240.201.082.360.050.060.050.35-7.49-0.180.20-0.430.720.950.960.661.570.801.570.971.190.511.471.271.071.212.571.383.311.983.642.443.393.613.643.522.701.381.29
2.963.75-11.59-0.762.131.962.774.204.771.720.481.62-3.481.334.28-3.33-8.290.62-1.05-1.28-0.32-1.112.572.010.331.783.930.090.100.080.60-12.97-0.310.36-0.791.261.681.781.273.001.482.991.852.180.912.632.352.382.875.413.277.154.567.825.516.787.326.796.744.592.532.30
26.9625.3423.01-28.6927.7426.83-25.42-21.01-19.56---------32.71---23.42---20.42-------------------------------
4.842.7915.0910.847.203.8514.5011.097.073.6110.707.995.232.757.575.403.722.4711.468.174.852.7911.326.605.412.7811.077.656.043.788.515.843.121.9211.488.766.263.5114.6011.235.752.289.857.513.421.929.716.955.213.037.895.152.321.438.300.000.000.000.000.000.000.00
-0.04-0.240.611.620.490.604.305.272.941.604.593.682.701.463.422.180.970.442.941.610.530.793.331.941.670.731.901.081.601.54-2.59-2.19-2.72-1.15-6.20-4.13-2.55-1.09-0.6311.76-0.73-1.73-0.62-0.84-1.81-0.500.500.651.020.790.300.28-0.640.232.61-------