STMicroelectronics Financial Ratios for Analysis 2011-2026 | STM

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

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
3.113.172.562.652.493.032.762.522.763.002.862.412.152.17
0.100.140.170.210.180.210.220.220.230.230.240.140.100.09
0.170.170.210.270.310.290.300.310.320.340.360.200.200.20
39.3447.9447.3441.7437.0838.6839.9539.2035.2133.8133.7432.3432.7736.71
12.6326.6727.5218.9612.9512.5914.4912.043.071.582.27-5.75-24.500.47
12.6326.6727.5218.9612.9512.5914.4912.043.071.582.27-5.75-24.500.47
25.9035.7135.0627.4322.4121.9223.0520.2313.3712.5613.365.51-11.4713.61
14.1527.5527.8218.3112.4012.4414.3711.422.881.291.43-7.32-25.163.45
11.7324.3624.5515.6710.8210.8013.329.612.371.511.73-6.19-13.636.68
0.540.710.810.820.710.810.890.860.870.840.820.880.810.80
2.883.343.293.773.493.473.723.803.853.653.874.094.224.02
7.599.998.197.256.986.927.577.267.438.418.137.708.459.31
48.1136.5544.5850.3152.3352.7148.2350.2449.1543.4044.9147.3843.1939.22
8.8525.0531.0921.6313.0314.5320.1314.823.702.342.55-11.00-34.381.94
9.1826.0932.9023.5414.3315.5321.2315.773.972.472.70-11.63-36.412.46
6.3317.2719.8512.917.678.7011.908.372.121.341.43-6.86-20.971.28
7.9721.5825.9217.1910.7211.4715.7911.492.871.801.94-9.47-31.101.76
19.6818.6714.1110.239.397.987.216.095.205.345.756.547.179.04
3.166.355.503.312.282.072.031.851.180.960.800.410.690.97
-0.131.651.751.330.890.772.030.420.490.430.25-0.190.711.00

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
3.363.222.743.053.112.843.353.343.172.942.672.582.562.432.282.602.652.672.432.492.492.372.093.053.032.872.772.912.762.54-2.472.522.292.412.632.762.822.893.013.002.712.442.742.863.072.432.462.412.312.062.242.151.571.561.852.171.971.94
-0.100.100.100.100.110.140.140.140.130.150.150.170.180.190.200.210.220.210.200.180.200.140.210.210.230.240.230.220.21-0.220.220.250.220.220.230.240.240.230.230.250.260.250.240.240.140.140.140.100.100.100.100.050.050.040.090.090.11
-0.120.160.160.170.180.180.180.170.170.180.190.210.240.250.260.270.310.360.350.310.370.290.280.290.320.340.330.300.28-0.300.310.420.300.310.320.330.350.330.340.370.390.370.360.360.210.200.200.140.170.150.200.250.220.180.200.200.23
35.2333.2333.4833.4137.7037.7740.1041.6745.5247.6048.9849.6847.5147.6547.4146.6745.2541.6040.5138.9638.7635.9734.9837.9239.2537.8838.2039.4040.0139.7740.1539.8940.7039.6138.2737.6737.4735.7833.8833.3533.4534.7533.8133.2033.8434.2534.0132.8232.8532.3932.8631.2632.2834.7634.2629.5533.4635.7538.06
3.755.65-4.810.1211.1111.7211.6015.9023.8928.0126.4928.2829.0729.4426.1724.7324.8918.9216.3414.5920.3112.345.0810.3516.7013.169.0210.1616.7715.7812.7412.0816.7813.169.267.256.945.011.64-2.051.505.160.68-1.112.021.965.26-0.22-0.55-3.28-5.23-13.99-33.77-36.57-9.64-17.45-6.02-0.943.23
-5.65-4.810.1211.1111.7211.6015.9023.8928.0126.4928.2829.0729.4426.1724.7324.8918.9216.3414.5920.3112.345.0810.3516.7013.169.0210.1616.7715.7812.7412.0816.7813.169.267.256.945.011.64-2.051.505.160.68-1.112.021.965.26-0.22-0.55-3.28-5.23-13.99-33.77-36.57-9.64-17.45-6.02-0.943.23
-----------------------------------------------------------
-9.19-4.052.8612.6213.2913.0317.4925.1328.8927.1429.0329.7729.7626.2724.6824.7217.1715.9814.2919.9710.994.7410.2616.5212.938.8810.1616.8915.6612.5211.8115.8112.458.946.866.674.671.82-2.361.144.820.28-1.172.521.592.31-0.71-1.29-3.78-9.24-14.98-34.64-37.12-10.01-18.29-6.39-1.3115.35
-0.907.44-3.512.2210.2410.8010.9214.8125.1324.6023.1424.5828.1925.4322.6021.0721.0914.8313.7712.0717.999.084.318.6114.2311.837.368.5715.7914.6311.5010.7412.4411.057.855.936.023.951.35-2.540.065.101.99-1.292.303.822.04-1.32-1.74-7.05-7.43-8.51-19.84-22.07-3.49-8.73-0.502.9116.36
-0.130.110.100.130.130.130.140.180.200.200.200.220.240.220.220.230.220.190.200.220.190.170.190.230.220.190.180.240.24-0.220.250.220.220.220.230.220.210.190.200.200.200.200.200.200.210.200.220.220.210.210.210.200.190.170.180.190.18
-0.670.560.560.740.700.690.750.860.810.720.740.900.950.870.880.990.950.901.001.080.880.690.780.990.890.710.711.020.96-0.931.100.980.940.950.990.930.890.830.890.920.940.950.950.980.930.921.011.031.031.061.080.950.950.940.950.920.91
-1.972.051.821.901.881.891.942.472.412.182.112.251.941.851.962.021.981.902.132.211.861.781.722.001.841.871.882.071.93-2.142.152.021.901.921.981.781.921.812.031.781.791.762.011.801.701.641.921.701.831.962.152.082.002.082.091.341.25
-45.7543.9949.5247.4047.8947.5646.4236.3837.3141.2842.6640.0846.3948.6545.9144.5245.3547.2642.3140.7648.3850.5052.2045.1048.9348.1347.7743.4246.71-42.1341.9244.5447.3646.7545.4450.5346.8249.7144.2450.4650.2751.2644.8349.9253.0254.8446.8552.8049.2045.9241.8443.2144.9243.3342.9767.3771.91
-0.131.32-0.520.331.902.032.062.996.417.046.887.549.8010.038.507.598.115.554.744.246.873.141.272.645.514.472.432.716.516.13-4.185.714.583.122.282.461.550.55-0.830.041.960.78-0.440.851.330.66-0.39-0.59-2.15-3.05-4.99-12.40-13.10-3.35-4.27-2.63-0.343.84
-1.37-0.540.341.972.112.153.116.687.357.217.9510.3710.739.178.248.826.105.194.647.553.471.362.825.894.792.612.916.866.47-4.436.084.883.332.442.641.660.58-0.870.042.070.83-0.470.901.410.69-0.41-0.63-2.28-3.27-5.30-13.13-15.34-4.37-5.43-3.34-0.434.93
-0.100.97-0.370.241.361.411.422.064.424.844.584.936.266.025.034.604.843.202.662.444.041.770.751.593.302.601.391.573.853.56-2.393.222.421.751.311.410.870.31-0.480.021.070.41-0.240.480.770.41-0.24-0.37-1.34-1.79-3.08-7.56-7.74-2.04-2.82-1.74-0.222.19
-1.19-0.470.301.711.811.772.565.536.095.886.408.178.186.896.096.444.323.753.395.652.521.092.094.353.441.862.075.114.84-3.274.433.452.451.781.911.180.42-0.640.031.480.58-0.330.651.010.56-0.33-0.51-1.95-2.73-4.50-11.22-12.51-3.19-4.08-2.38-0.313.40
-20.2920.1020.0819.6819.7518.9919.0918.6717.1416.0915.3714.1112.1111.2610.8610.239.449.659.569.398.578.068.117.987.557.347.397.21--6.636.095.835.525.245.205.265.165.485.345.395.255.455.756.126.156.376.546.526.386.707.177.137.898.849.049.569.17
-1.611.040.613.162.431.660.916.354.782.791.405.503.862.111.003.312.411.390.732.281.310.860.442.071.210.740.382.031.310.890.501.850.000.720.301.180.000.380.160.960.000.420.170.800.450.140.060.410.110.090.070.690.410.240.280.970.820.51
--0.12-0.26-0.01-0.13-0.23-0.29-0.301.651.220.460.241.751.100.370.111.330.990.480.300.890.310.230.150.771.21-0.030.022.030.230.080.110.42-0.140.070.49-0.110.050.43-0.140.070.250.02-0.14-0.07-0.19-0.34-0.17-0.050.71-0.040.020.141.00-0.48-0.36