Table 17. Financial stability indicators ПРАТ "МК "АЗОВСТАЛЬ" 2019-2020 years

No. Indicators 2019 year 2020 year Deviation (+,-) Dynamics, %
1. Overall return on total assets 0.6770 0.6780 0.0009 100.14
2. Independence ratio (concentration of equity) 0.2964 0.3258 0.0294 109.91
3. Financial leverage ratio 3.3737 3.0696 -0.3041 90.99
4. Financial stability ratio 0.2983 0.3288 0.0306 110.25
5. Maneuverability ratio of equity -0.4993 -0.4101 0.0892 82.13
6. Concentration ratio of borrowed capital 0.7017 0.6712 -0.0306 95.64
7. Long-term investment structure ratio 0.1211 0.1364 0.0153 112.64
8. Long-term borrowing ratio 0.1542 0.1622 0.0080 105.20
9. Capital structure ratio 0.0770 0.0940 0.0170 122.04
10. Ratio of attracted and own capital 2.3674 2.0602 -0.3072 87.02
11. RatioOfOwnAndLongTermBorrowedFundsInInventories 3.9784 4.6079 0.6295 115.82
12. Ratio of mobile funds to immobilized 1.2045 1.1255 -0.0789 93.45
13. Total coverage ratio 0.8549 0.8840 0.0291 103.41

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