Chevron Financial Ratios for Analysis 2011-2026 | CVX

Fifteen years of historical annual and quarterly financial ratios and margins for Chevron (CVX).

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
20242023202220212020201920182017201620152014201320122011
1.061.281.471.261.181.071.251.030.931.351.321.521.631.58
0.120.110.120.180.240.140.160.180.190.180.130.120.080.07
0.160.130.150.220.330.190.220.260.310.250.180.140.090.08
38.8938.5839.3140.7841.9342.5040.2237.8437.9940.9437.6335.4336.6934.75
13.5614.7220.1713.32-7.873.7812.376.51-1.893.5014.7215.6919.1518.78
13.8614.9620.3813.76-7.134.3212.826.72-1.713.5014.7215.6919.1518.78
22.3823.5827.0124.7913.4724.2624.4920.3815.2918.6922.6421.8924.7023.86
13.5614.7220.1713.32-7.873.7812.376.51-1.893.5014.7215.6919.1518.78
8.7110.6314.409.62-5.852.008.916.49-0.433.319.089.3610.8210.60
0.790.770.960.680.390.620.660.560.440.520.800.901.041.21
13.6614.3318.1214.169.6914.4117.4315.7713.1012.9120.3223.1624.9329.87
9.8010.0912.048.828.2511.0011.059.238.1210.7712.6710.5811.5211.64
37.2336.1830.3241.3844.2233.2033.0239.5444.9333.9028.8234.4931.6831.35
11.5913.2222.2211.21-4.191.969.556.21-0.293.0612.3614.3619.1122.10
11.9513.6222.9011.57-4.332.029.836.40-0.303.1512.7414.8119.7722.98
6.918.1813.826.55-2.321.205.853.65-0.171.787.268.5111.3012.89
10.2411.7519.619.17-3.171.688.065.07-0.242.5110.7112.6717.5720.46
86.5886.8083.6772.5268.9477.1581.7978.3977.5781.7383.1078.6170.8061.67
17.3318.9425.5715.205.6614.4116.0010.726.7810.3816.5818.1219.7520.54
8.2810.5219.4011.010.896.968.793.65-2.89-5.36-2.07-1.544.017.29

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
2025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.151.001.081.061.071.161.231.281.251.431.431.471.401.311.431.261.281.171.111.181.261.141.011.071.121.151.121.251.221.081.041.031.040.951.040.931.171.301.091.351.321.441.401.321.271.351.401.521.601.681.581.631.641.721.611.581.641.53
0.160.140.150.120.120.120.120.110.110.110.110.120.120.130.160.180.210.230.230.240.210.180.140.140.140.140.140.160.160.160.170.180.190.190.200.190.210.210.180.180.160.160.160.130.110.110.120.120.110.110.080.080.070.070.070.070.070.08
0.210.200.200.160.160.140.140.130.120.140.140.150.150.170.200.220.270.320.340.330.260.250.220.190.210.190.210.220.230.250.260.260.280.290.310.310.310.300.280.250.230.200.220.180.160.150.150.140.130.140.100.090.090.080.070.080.080.10
42.1937.1837.2740.0937.4137.3740.7537.3938.3338.5939.9540.8040.2839.5536.2739.5042.0540.9740.7241.9240.5432.5047.0643.1642.0243.6841.0141.3941.0338.1940.2235.2939.2737.9639.0336.9937.6137.6740.1840.4240.7541.2441.2340.5937.8636.1236.4636.0734.7234.4236.5638.5535.8736.4235.9134.9136.1433.86
10.899.2511.7311.6012.8113.7516.267.4016.1616.0318.7417.3722.2223.2716.6514.5118.0211.766.80-3.79-0.18-78.5313.16-23.1211.2115.2811.2411.5712.9611.6113.433.947.345.669.361.633.68-7.07-7.26-7.568.113.388.4111.6816.2115.5814.8814.6015.1014.9718.1019.7817.1119.7319.8816.6120.7019.16
11.639.8612.1711.9813.1313.9716.507.6516.3716.2718.9717.5922.4123.4616.9014.8418.4112.257.42-3.000.49-77.2613.67-22.6311.7615.7911.8812.0113.3712.1313.854.407.445.809.521.813.89-6.80-7.26-7.568.113.388.4111.6816.2115.5814.8814.6015.1014.9718.1019.7817.1119.7319.8816.6120.7019.16
----------------------------------------------------------
10.899.2511.7311.6012.8113.7516.267.4016.1616.0318.7417.3722.2223.2716.6514.5118.0211.766.80-3.79-0.18-78.5313.16-23.1211.2115.2811.2411.5712.9611.6113.433.947.345.669.361.633.68-7.07-7.26-7.568.113.388.4111.6816.2115.5814.8814.6015.1014.9718.1019.7817.1119.7319.8816.6120.7019.16
7.125.567.356.208.868.6611.294.7912.0712.2912.9411.2516.8516.9011.5110.5013.678.204.30-2.63-0.85-61.2911.43-18.187.1411.087.538.819.208.079.638.275.394.218.021.324.26-5.02-3.08-2.015.941.417.437.5310.239.788.478.788.469.3510.8711.969.0511.5210.668.5412.1511.21
0.150.180.190.200.200.200.190.180.200.190.200.220.260.270.220.200.190.150.130.110.110.060.130.150.140.150.140.170.170.160.150.150.140.140.130.120.120.110.090.110.130.150.130.170.210.220.210.220.240.240.240.260.260.290.280.290.320.34
2.753.203.263.453.263.062.903.433.543.263.304.054.425.395.314.294.233.563.382.582.561.652.543.533.523.213.094.354.303.933.684.363.823.523.443.663.152.842.162.752.963.332.974.214.655.134.535.635.545.075.416.064.665.545.307.046.786.26
2.782.542.432.522.592.472.392.372.462.542.672.762.972.562.342.612.702.392.272.202.521.573.102.732.792.702.362.812.622.532.392.452.562.622.432.242.412.171.892.272.412.502.272.752.742.692.632.602.702.832.592.882.703.022.762.753.092.92
32.3735.4736.9835.6434.8036.4937.7138.0036.6035.5033.7032.6030.3435.1638.4934.4433.3537.5939.6740.8935.7957.1629.0532.9932.3133.3238.1731.9834.3535.5337.5936.7335.1134.3737.0440.2737.3941.4647.6139.5737.3536.0239.6932.6832.8833.5234.2734.6533.2931.8034.8031.2133.2829.7732.6232.7029.1630.82
1.851.712.342.132.862.773.431.393.943.774.123.987.047.584.273.634.472.311.05-0.49-0.16-6.162.47-4.591.642.721.692.392.622.232.412.091.340.991.830.300.88-0.99-0.47-0.361.320.391.662.223.583.682.983.303.423.754.415.293.955.515.144.226.466.66
1.891.762.412.192.952.863.541.434.063.894.244.107.257.824.403.754.622.391.09-0.51-0.16-6.372.55-4.741.692.801.742.462.702.302.492.151.391.031.880.310.91-1.02-0.48-0.371.360.401.712.293.693.793.073.403.533.874.565.484.105.715.344.386.716.94
1.111.001.371.271.731.702.120.862.482.392.582.474.334.542.522.122.551.270.58-0.27-0.09-3.711.51-2.811.011.681.031.471.581.331.431.230.780.581.040.170.50-0.56-0.27-0.210.770.230.961.312.122.171.751.952.022.212.633.132.343.303.022.463.853.85
1.551.472.001.882.532.453.031.233.523.353.663.516.216.603.562.973.521.780.81-0.37-0.13-5.032.12-3.951.422.351.452.022.201.872.001.701.090.811.460.240.69-0.78-0.38-0.301.110.331.391.933.173.262.632.913.043.334.064.873.685.124.813.905.996.16
97.1485.2285.9486.5887.3887.6387.5286.8088.0785.3184.7083.6782.5578.9674.8772.5270.9369.2468.9568.9470.7171.9777.6277.1582.9782.9481.9681.7980.9580.0579.3178.3977.8777.7878.0177.5778.3778.6280.3781.7382.8682.8483.4983.1083.2181.4979.7578.6175.9574.6272.9770.8068.5866.9164.0261.6761.1058.13
11.907.982.9617.3312.627.163.6918.9412.357.203.7925.5719.1311.164.1415.2010.275.802.195.664.502.592.5314.4111.447.272.6616.0011.206.202.6410.727.514.621.996.784.771.960.6110.387.965.081.2416.5813.178.574.4118.1212.727.352.9419.7513.289.304.2420.5416.0210.21
5.693.550.728.285.912.761.4810.526.243.582.1919.4014.938.533.1311.017.433.961.280.890.80-0.230.856.966.203.841.118.796.082.961.073.652.361.170.24-2.89-2.72-3.40-2.37-5.36-3.82-3.04-2.82-2.07-0.40-0.62-0.07-1.54-0.94-1.31-1.274.012.852.711.267.296.424.02