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Constellium SE Financial Ratios for Analysis 2012-2025 | CSTM
Prices
Financials
Revenue & Profit
Assets & Liabilities
Margins
Price Ratios
Other Ratios
Other Metrics
Income Statement
Balance Sheet
Cash Flow Statement
Key Financial Ratios
Format: Annual
Format: Quarterly
Format: Annual
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Annual Data
2024-12-31
2023-12-31
2022-12-31
2021-12-31
2020-12-31
2019-12-31
2018-12-31
2017-12-31
2016-12-31
2015-12-31
Current Ratio
1.2683
1.2802
1.2144
1.1307
1.3499
1.0613
1.2651
1.2613
1.3623
1.2123
Long-term Debt / Capital
0.721
0.7179
0.7173
0.8654
1.046
1.041
1.0576
1.1874
1.3183
1.3543
Debt/Equity Ratio
2.6382
2.5997
2.734
7.3162
-23.6733
-27.7765
-18.8684
-6.6677
-4.3298
-4.1352
Gross Margin
12.788
13.4807
8.2759
10.7932
10.0348
10.1913
9.4618
10.2922
10.8792
8.7328
Operating Margin
3.3538
4.3828
4.1133
7.8674
2.5599
4.3169
7.1052
6.1295
5.1866
-8.267
EBIT Margin
3.3538
4.3828
4.1133
7.8674
2.5599
4.3169
7.1052
6.1295
5.1866
-8.267
EBITDA Margin
7.4983
8.2162
7.6478
12.2074
7.864
8.6508
10.5698
9.3947
8.4546
-5.5502
Pre-Tax Profit Margin
1.8405
2.9645
2.5
5.1528
-0.6963
1.3882
3.9043
0.9357
1.3704
-11.3332
Net Profit Margin
0.7635
1.9422
3.7069
4.1775
-0.4301
0.9988
3.3064
-0.5919
-0.0843
-10.751
Asset Turnover
1.5494
1.5865
1.6434
1.3305
1.1826
1.4118
1.4576
1.4112
1.2524
1.4203
Inventory Turnover Ratio
5.4166
5.6566
5.6424
5.2267
7.5481
7.9179
7.8
7.3064
7.1523
8.6771
Receiveable Turnover
15.0926
14.7382
15.0649
9.0073
12.0271
12.462
9.6865
12.4988
13.3606
14.1178
Days Sales In Receivables
24.1841
24.7655
24.2285
40.5226
30.3482
29.289
37.6812
29.2028
27.3192
25.8539
ROE - Return On Equity
8.2531
21.159
40.9574
90.0344
16.8317
-75.2941
-166.6666
9.7179
0.7018
102.2222
Return On Tangible Equity
10.274
26.2982
140
-120.1835
2.9361
-10.4918
-31.3532
3.9241
0.3617
52.0264
ROA - Return On Assets
1.2674
3.1826
6.2336
5.6661
-0.4117
1.5296
4.8705
-0.8354
-0.1056
-15.215
ROI - Return On Investment
2.3024
5.9696
11.579
12.1184
-0.7734
3.0843
9.596
-1.8214
-0.2233
-36.2205
Book Value Per Share
4.9516
5.0538
5.4906
2.43
-0.8243
-0.6905
-0.99
-2.6806
-5.9741
-5.6848
Operating Cash Flow Per Share
-0.8759
-0.3316
0.3713
0.1199
-0.7597
2.9455
-1.0774
0.7186
-4.4759
2.7233
Free Cash Flow Per Share
-1.2012
-0.8347
0.2743
-0.2466
-0.1304
3.1857
-0.6136
1.6104
-4.5016
1.5369
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