Bunge Global SA Financial Ratios for Analysis 2009-2024 | BG

Fifteen years of historical annual and quarterly financial ratios and margins for Bunge Global SA (BG).

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
202320222021202020192018201720162015201420132012201120102009
2.131.751.771.471.551.541.671.441.491.501.421.491.701.581.90
0.260.250.380.420.380.400.360.290.310.250.240.240.220.170.26
0.410.470.761.170.830.840.650.650.720.600.900.790.500.390.37
8.145.485.696.731.324.953.855.656.204.594.504.224.685.262.87
5.263.443.603.45-1.971.840.722.502.891.631.961.662.121.95-0.33
5.263.443.603.45-1.971.840.722.502.891.631.961.662.121.95-0.33
6.014.054.324.50-0.633.202.053.784.152.692.882.593.062.960.73
5.123.074.343.41-2.931.000.502.332.421.281.650.611.826.940.35
3.772.393.462.71-3.210.510.281.661.700.820.370.051.625.200.68
2.352.742.481.752.252.352.432.222.432.672.292.242.221.691.97
7.707.566.625.388.067.418.688.449.139.8210.118.869.336.288.38
22.9723.7728.0124.1124.1327.9430.5125.4627.0431.0728.6124.6822.8115.1517.74
15.8915.3613.0315.1415.1313.0611.9614.3313.5011.7512.7614.7916.0024.0920.57
19.7816.8530.3721.12-24.184.872.6111.6612.666.061.173.588.4819.813.80
21.3918.3931.3622.89-26.705.592.6711.7012.786.001.173.568.8020.553.43
9.216.839.104.93-7.051.430.924.044.212.260.411.393.839.041.57
14.7012.7017.1810.93-13.252.621.517.457.884.200.832.566.2615.562.40
81.3066.4155.4744.3942.5245.2052.3152.6446.6959.6468.2676.9182.9385.6177.29
21.94-36.24-18.99-23.62-5.71-8.92-13.983.014.019.5015.01-3.1116.84-15.58-2.88
14.50-39.86-21.61-26.06-9.41-12.40-18.67-2.10-0.173.958.37-10.3610.502.03-9.79

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.072.031.992.132.022.071.831.751.631.511.511.771.691.701.521.471.511.531.381.551.471.491.401.541.581.491.561.671.601.501.391.441.441.341.611.491.411.441.451.501.431.611.461.421.381.361.461.491.561.691.951.701.761.871.701.581.741.931.641.901.871.691.72
0.300.270.260.260.260.270.290.250.240.250.320.380.390.420.390.420.450.430.430.380.500.380.360.400.430.420.430.360.350.350.300.290.320.320.360.310.280.250.240.250.220.290.280.240.240.250.250.240.260.260.260.220.220.200.190.170.160.190.250.260.260.310.28
0.560.460.440.410.470.440.530.470.540.710.740.760.850.981.041.171.201.161.010.831.390.970.890.841.131.180.970.650.760.780.680.650.740.910.730.720.640.640.570.600.720.840.910.901.041.100.930.790.660.580.410.500.420.370.360.390.280.330.390.370.390.590.47
5.985.016.538.407.359.077.704.915.304.307.584.136.114.328.857.175.9311.681.905.30-9.475.074.403.668.044.463.613.974.283.054.145.974.875.036.956.336.924.966.575.255.264.723.084.944.683.984.383.235.104.434.164.604.524.475.245.756.113.875.273.013.043.751.47
2.601.623.265.084.206.285.402.573.292.445.642.103.792.396.764.272.468.02-1.321.75-12.661.751.330.465.131.360.380.581.310.250.742.562.032.153.432.863.601.613.511.252.312.390.362.202.081.532.020.882.701.861.122.322.001.822.422.693.040.091.91-0.73-0.050.94-1.73
2.601.623.265.084.206.285.402.573.292.445.642.103.792.396.764.272.468.02-1.321.75-12.661.751.330.465.131.360.380.581.310.250.742.562.032.153.432.863.601.613.511.252.312.390.362.202.081.532.020.882.701.861.122.322.001.822.422.693.040.091.91-0.73-0.050.94-1.73
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2.490.782.755.893.545.505.493.032.961.465.061.775.252.728.565.283.007.29-2.70-0.51-14.632.690.890.153.96-0.120.020.011.060.220.743.291.491.553.082.073.281.273.060.452.092.220.122.022.011.031.56-2.982.302.301.272.010.852.292.283.142.5321.140.86-1.290.893.60-2.35
1.710.531.824.122.624.134.122.022.271.154.331.344.572.296.354.362.625.41-2.26-0.63-14.492.030.37-0.643.13-0.17-0.27-0.590.740.620.352.221.021.032.491.692.130.672.30-0.472.081.62-0.200.70-1.120.711.15-3.581.751.830.651.780.852.121.842.661.6516.020.43-0.272.052.67-2.33
0.510.540.520.590.570.590.570.680.680.650.550.700.590.610.530.530.490.510.490.590.550.490.480.590.530.550.460.620.560.570.540.610.570.480.470.620.580.550.580.620.570.650.490.610.520.510.490.620.580.540.500.550.630.550.460.420.500.500.460.490.520.500.51
1.631.561.671.931.751.551.581.881.961.641.341.901.651.741.371.631.481.391.652.032.071.631.601.891.461.641.482.201.872.072.052.322.101.681.732.332.001.882.112.262.602.602.022.682.382.332.332.501.931.751.942.302.391.981.721.561.972.312.522.082.271.581.83
6.155.825.875.765.675.795.505.897.177.396.197.905.816.095.757.346.266.205.686.325.635.905.797.056.666.706.317.736.126.676.667.046.806.264.556.915.645.587.197.195.605.635.147.646.295.155.006.904.395.174.445.616.214.773.893.783.884.414.374.424.755.244.74
14.6415.4815.3315.6215.8715.5416.3815.2812.5412.1814.5311.3915.5014.7715.6412.2514.3814.5115.8614.2315.9915.2515.5512.7613.5113.4414.2611.6414.7113.5013.5212.7813.2414.3719.7613.0215.9616.1412.5112.5216.0715.9817.5011.7914.3117.4918.0013.0520.5217.4120.2716.0414.4918.8723.1623.8023.1820.4120.6020.3818.9717.1718.97
2.090.662.195.593.495.546.153.764.092.457.963.259.355.5615.0610.325.6111.55-4.51-1.33-37.433.630.83-0.986.33-0.28-0.26-0.801.301.200.784.301.901.883.843.423.571.333.65-0.503.122.70-0.151.36-3.081.211.46-2.882.642.321.032.501.172.391.892.331.9517.630.86-0.092.234.38-2.83
2.260.722.366.043.795.976.674.104.472.708.893.369.855.9016.0111.186.1112.62-4.97-1.47-44.344.110.94-1.137.26-0.32-0.30-0.811.331.230.804.311.901.903.893.453.471.303.59-0.493.112.70-0.151.37-3.061.201.45-2.872.762.421.072.601.212.491.972.421.8716.960.83-0.082.003.82-2.40
0.920.300.982.601.552.452.431.521.540.822.420.972.691.473.742.411.292.81-1.04-0.39-7.951.040.24-0.291.71-0.08-0.07-0.280.450.400.261.490.620.561.271.141.160.471.33-0.191.151.01-0.050.48-1.040.400.53-1.111.040.970.481.130.531.180.891.070.898.090.35-0.040.901.48-0.97
1.460.481.614.152.574.024.382.833.101.845.451.845.212.918.245.342.715.68-2.21-0.73-16.062.010.47-0.533.22-0.14-0.13-0.460.770.710.502.751.171.162.232.132.300.912.52-0.352.261.79-0.100.96-2.200.851.02-2.061.851.610.721.850.861.811.461.831.4212.310.55-0.061.412.51-1.63
79.9077.5581.4281.3076.1375.4071.1866.4162.5660.5057.6455.4754.3451.7348.0044.3939.0337.3034.9842.5232.8446.1047.5445.2045.9848.0951.6552.3155.1252.8854.3752.6452.1852.3549.8446.6946.7653.0451.7359.6465.9271.2268.3868.2669.8272.7477.8876.9182.1981.3087.5282.9382.6693.3389.0285.6187.8381.9275.4377.2977.5273.0163.73
5.96-3.356.8421.9412.303.106.11-36.24-33.01-28.93-17.29-18.99-10.76-9.41-6.55-23.62-14.33-10.00-3.09-5.71-9.28-7.21-2.84-8.92-21.91-25.18-12.60-13.98-14.37-9.26-4.283.014.54-4.890.524.013.47-2.072.009.507.24-5.10-7.1715.016.09-3.470.70-3.11-18.57-17.47-2.0616.849.231.694.72-15.58-10.95-1.005.38-2.88-3.81-12.75-2.98
-0.24-7.075.2114.508.07-0.454.98-39.86-32.07-30.30-17.98-21.61-12.33-10.28-4.71-26.06-15.87-10.85-3.48-9.41-11.95-8.98-3.68-12.40-24.04-26.74-13.34-18.67-17.80-11.68-5.57-2.101.05-6.86-0.22-0.171.66-3.611.243.953.90-7.37-8.288.371.21-6.65-0.82-10.36-22.88-20.53-3.5910.504.46-1.223.392.0310.4419.963.36-9.79-7.69-15.23-3.89