SLB Financial Ratios for Analysis 2011-2026 | SLB

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

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
202520242023202220212020201920182017201620152014201320122011
1.331.451.321.251.221.231.191.171.211.591.911.741.941.951.95
0.260.330.340.370.470.560.380.290.290.280.290.220.210.210.21
0.430.540.560.680.931.350.630.440.490.470.530.350.330.330.32
18.2220.5619.8118.3715.9511.0212.7513.2212.8012.2320.1723.0221.9521.2021.26
13.1616.4416.4314.7812.067.029.8810.387.795.8915.6919.5318.4417.1616.91
13.1616.4416.4314.7812.067.029.8810.387.795.8915.6919.5318.4417.1616.91
21.0323.5023.4422.4221.3017.8920.7921.2220.3920.6127.1927.9627.0025.9025.86
12.0215.6315.9415.2010.35-47.87-31.658.00-3.89-6.858.1215.7219.2016.6816.45
9.4512.2912.6812.258.20-44.57-30.806.52-4.94-6.075.8411.1914.8713.1613.66
0.650.740.690.650.550.560.580.470.420.360.520.730.670.680.66
5.806.596.065.735.896.266.957.106.565.787.548.087.686.876.13
4.114.534.244.154.314.504.254.163.772.964.044.353.943.683.85
88.8280.5886.0587.9184.6181.1585.9087.6696.9312390.3483.9392.7199.2894.79
12.6520.4920.0219.4112.61-83.96-41.815.95-4.06-3.925.9515.0117.2715.0914.42
62.6496.50106173-210.71266-2,118.8793.55-73.38-29.0014.5233.3735.0035.1737.93
6.299.368.918.104.64-24.71-17.953.09-2.10-2.093.148.5410.208.548.20
9.3213.7213.2812.226.75-36.76-25.954.25-2.90-2.814.2411.7513.6811.8511.33
18.2515.9514.9712.6710.908.9717.4626.4526.9229.8628.5929.8430.3326.2523.53
4.524.604.602.593.262.123.924.104.084.616.918.568.025.164.32
3.343.253.261.552.461.322.682.552.563.105.025.525.061.661.38

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.331.391.311.241.451.481.491.371.321.361.331.261.251.401.351.241.221.271.371.301.231.221.231.231.191.291.391.351.171.131.121.111.211.531.571.591.591.771.862.151.911.541.661.611.742.062.072.131.941.971.911.861.951.991.831.971.951.881.61
0.260.290.340.340.330.340.350.330.340.360.370.370.370.420.440.460.470.510.550.550.560.570.570.490.380.400.320.310.290.280.270.270.290.280.290.290.280.290.300.330.290.160.190.190.220.220.220.220.210.210.200.190.210.220.190.210.210.220.15
0.430.470.640.670.540.570.590.560.560.670.700.700.680.760.830.900.931.131.201.281.351.441.391.040.630.690.470.450.440.470.480.490.490.430.470.460.470.500.500.600.530.320.350.340.350.320.330.310.330.330.320.310.330.330.320.310.320.360.30
17.7617.4518.8618.9221.1220.9820.5419.5219.9920.6719.7218.7619.9519.1917.7915.9217.4816.8515.3713.7712.7412.068.0511.1513.3313.5312.3011.7712.3013.8813.5413.1211.9514.0213.3211.8712.8610.379.7616.2618.7719.7620.8021.0023.3123.3823.1022.1922.0223.1022.0920.4420.5621.5421.4921.2421.9522.0221.88
13.6311.9213.7513.3316.8616.8916.0615.9216.3317.4616.5215.3316.4215.8014.2511.9313.4113.0811.759.639.137.843.887.1212.4810.078.768.1511.3610.5610.069.507.109.558.136.196.734.202.1510.8919.1715.1016.3712.9519.7920.0119.5218.7218.5519.6918.5716.7816.2717.5617.5217.3417.8818.0516.85
13.6311.9213.7513.3316.8616.8916.0615.9216.3317.4616.5215.3316.4215.8014.2511.9313.4113.0811.759.639.137.843.887.1212.4810.078.768.1511.3610.5610.069.507.109.558.136.196.734.202.1510.8919.1715.1016.3712.9519.7920.0119.5218.7218.5519.6918.5716.7816.2717.5617.5217.3417.8818.0516.85
-----------------------------------------------------------
9.6811.2015.0412.5214.9416.4515.5515.5915.9416.7915.9615.0117.1015.1717.0110.7012.1311.829.627.398.53-1.03-67.72-108.505.48-140.167.176.467.919.256.598.21-27.038.560.234.84-3.002.85-35.099.54-14.2314.7915.9412.635.6619.9319.3018.4818.2319.2223.9015.3015.4517.1317.2017.0117.3517.6716.41
8.468.2811.879.3911.7912.9512.1712.2712.3813.5112.7512.0713.5212.1314.168.559.659.417.655.726.76-1.56-64.12-98.944.05-133.275.955.346.597.575.186.71-27.576.89-0.994.05-2.872.51-30.157.68-13.1211.6712.489.512.3915.4113.2314.1713.9714.7718.7411.9112.4113.5613.5713.1215.1513.6314.89
0.180.160.180.170.190.180.190.180.190.180.180.180.180.170.160.140.150.140.140.120.130.120.120.150.150.150.120.110.120.120.120.110.110.110.100.090.090.090.090.090.110.130.140.160.190.190.180.170.180.180.180.170.180.180.180.180.170.170.17
1.591.391.461.481.671.581.611.541.641.531.491.471.581.461.401.351.571.481.461.361.441.311.371.601.731.701.651.651.791.781.741.631.781.581.491.421.471.381.291.511.671.611.561.742.092.061.941.852.021.821.761.691.821.671.711.531.551.671.63
1.120.981.000.991.161.111.061.061.151.031.061.021.161.121.081.041.171.091.050.991.050.950.921.001.061.030.980.961.041.010.960.921.010.840.840.800.760.730.760.780.880.900.940.981.131.020.980.961.040.960.990.920.970.920.960.950.981.010.96
80.2691.7490.4291.2177.6681.1784.7484.9978.2187.1785.2988.1677.2980.0583.0186.2476.8482.3385.4290.7985.3695.0397.6090.3784.7487.8092.2093.3486.7288.9993.2897.3988.9510710811311912311811610299.5695.5891.7179.5387.9191.4793.5386.9193.4890.7697.9493.0998.1694.0194.3891.6789.5093.66
2.932.884.864.005.005.365.145.015.375.765.535.146.025.255.833.334.004.113.392.413.07-0.59-27.52-46.101.41-46.751.361.181.501.781.201.42-6.101.39-0.200.69-0.470.45-4.991.47-2.762.632.972.610.844.834.474.004.254.546.003.383.643.974.063.963.774.083.46
14.5216.0426.2026.3323.5624.1325.1523.5128.4430.8436.7542.0353.7562.18189-104.63-66.78-21.70-13.68-8.43-9.711.6276.5963071.70-3,345.0021.8518.0423.5529.3122.0723.23-110.1812.74-1.925.49-3.462.82-28.693.64-6.735.876.585.841.869.829.108.068.619.5712.837.628.499.4410.339.889.9310.628.73
1.461.402.151.692.282.452.322.292.392.482.342.152.512.082.261.241.471.371.080.740.90-0.17-7.67-15.160.61-19.610.700.610.780.940.630.74-3.160.76-0.110.37-0.250.24-2.640.76-1.461.581.751.510.482.872.672.412.512.653.521.972.062.292.352.282.152.322.05
2.162.053.232.653.353.523.333.363.573.683.463.253.793.073.281.812.142.001.541.081.34-0.25-11.73-23.470.88-27.970.930.811.071.290.871.04-4.361.00-0.140.49-0.330.32-3.500.99-1.972.202.402.110.653.753.473.133.363.604.822.762.863.123.273.142.973.192.93
18.2518.0215.9515.2615.9516.1015.6915.3414.9713.8513.3212.9012.6712.3511.7611.0710.909.749.349.288.978.898.9711.5217.4617.5826.2326.3726.4526.6826.6626.9526.9228.8928.8529.5629.8630.6130.9028.4828.5930.2830.1929.8229.8431.6131.4130.8630.3328.8828.0026.9226.2525.8424.8424.3523.5323.5623.77
4.522.341.320.484.602.941.220.234.602.511.340.232.591.460.380.093.261.911.160.302.121.491.140.573.922.301.030.234.102.431.120.414.082.451.090.474.613.032.050.966.915.213.191.388.565.563.211.398.024.932.840.855.162.571.040.564.322.741.51
3.341.550.760.193.252.020.62-0.053.261.570.73-0.061.550.82-0.05-0.122.461.420.860.181.320.870.670.272.681.410.44-0.062.551.320.420.082.561.390.450.203.102.031.330.535.023.812.260.915.523.451.850.745.062.861.490.181.660.21-0.51-0.151.380.710.26