Companhia Brasileira De Distribuicao Financial Ratios for Analysis 2009-2024 | CBDBY

Fifteen years of historical annual and quarterly financial ratios and margins for Companhia Brasileira De Distribuicao (CBDBY).

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
1.211.611.080.960.861.111.151.150.991.011.091.241.281.361.47
0.480.260.320.290.440.200.200.190.240.180.250.360.380.370.36
1.220.490.610.601.120.400.350.470.600.670.750.961.230.920.63
25.0224.8425.2526.8321.5223.3923.9822.9723.5325.8626.0327.1127.1724.4624.77
-0.47-2.083.394.943.474.343.521.922.335.955.035.614.514.994.50
-0.47-2.083.394.943.474.343.521.922.335.955.035.614.514.994.50
5.438.907.519.946.226.145.384.553.927.376.527.256.036.366.46
-1.72-7.590.723.711.343.451.75-0.110.103.813.043.291.732.532.77
-11.80-0.991.564.251.392.421.39-1.160.381.942.422.271.542.162.54
0.870.401.040.960.970.930.930.921.471.441.521.441.381.071.29
7.396.367.295.745.156.407.046.885.905.786.696.456.115.036.19
11.669.5717.7822.7820.2336.1829.7830.8714.8415.1915.2014.418.157.939.83
31.3038.1420.5216.0218.0510.0912.2611.8324.6024.0324.0125.3344.7946.0337.13
1.82-6.275.887.373.609.003.63-0.56-2.0712.1510.389.378.536.3611.92
3.13-7.339.0611.646.6711.134.24-0.66-4.0522.0418.8317.0316.7112.9715.08
0.39-1.961.952.320.832.371.01-0.16-0.583.873.472.932.552.044.34
0.95-4.634.025.242.017.192.90-0.46-1.589.997.755.985.274.027.65
3.509.8511.2712.1512.8114.2915.6213.6015.3623.34-----
0.41-0.161.883.421.082.642.22-1.415.328.098.6210.372.611.903.68
0.312.122.073.05-0.771.250.72-2.713.605.965.877.98-0.09-4.212.29

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-09-302016-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.931.031.121.211.321.601.671.611.071.061.111.081.000.980.870.960.910.980.920.861.390.961.131.111.201.201.201.151.191.221.170.890.901.021.011.061.071.151.091.121.121.161.241.441.481.351.281.511.541.481.361.471.411.411.471.151.301.59
0.400.420.430.480.480.250.280.260.260.250.280.320.320.310.250.290.410.460.470.440.470.230.230.200.260.230.240.200.200.220.170.160.180.190.180.220.200.260.250.290.290.310.360.350.440.380.380.410.410.390.370.370.340.340.360.210.230.33
1.161.061.071.221.320.490.510.490.490.560.500.610.690.700.580.601.071.131.281.121.410.590.480.400.490.440.410.350.360.400.370.740.700.640.670.690.630.670.750.810.810.900.960.961.221.081.231.051.040.990.920.780.710.680.630.610.650.62
27.6828.1827.1525.6225.1224.8624.3826.3524.8325.7825.9025.0724.5625.3526.06-1.2421.6621.7221.1221.2921.3021.5622.0022.7522.1326.3122.4524.7821.8126.9322.3725.1023.9923.9728.7925.7325.9323.6126.0925.2928.7126.4227.1126.4528.3026.8127.4927.8326.5326.2125.0047.4623.4223.9623.1440.2222.5822.64
0.780.80-2.940.24-0.30-0.50-1.518.081.772.762.606.301.022.533.22-3.244.144.271.933.633.243.233.744.873.266.462.774.641.854.423.041.552.313.820.294.486.1510.201.939.87-4.934.7810.774.470.694.748.983.043.723.807.71-83.443.454.029.36-56.9215.0814.57
0.780.80-2.940.24-0.30-0.50-1.518.081.772.762.606.301.022.533.22-3.244.144.271.933.633.243.233.744.873.266.462.774.641.854.423.041.552.313.820.294.486.1510.201.939.87-4.934.7810.774.470.694.748.983.043.723.807.71-83.443.454.029.36-56.9215.0814.57
----------------------------------------------------------
-5.76-5.97-9.07-3.1613.35-8.18-9.726.32-1.71-1.48-1.263.81-2.260.550.29-9.452.282.13-0.570.852.281.021.335.152.105.121.312.690.452.501.24-1.48-0.062.355.203.563.373.134.913.420.772.955.592.452.762.023.321.610.840.903.364.671.172.592.503.623.262.60
-6.92-7.40-14.39-5.30-27.31-8.94-5.527.99-2.83-1.7113.895.42-0.740.030.90-13.601.811.61-0.660.161.233.301.223.011.224.061.322.400.291.551.18-0.800.411.113.421.761.741.632.912.000.311.773.021.552.121.372.701.200.811.024.053.130.891.813.324.912.632.04
0.230.220.220.240.210.110.10-0.310.240.220.230.290.250.250.25-0.230.340.330.330.290.320.400.220.250.260.250.250.260.260.260.250.360.380.400.380.400.430.440.410.440.370.390.410.350.340.380.380.360.370.360.380.200.390.390.470.220.420.39
1.621.621.772.011.781.821.64-4.871.421.401.532.051.381.431.36-1.871.691.781.601.521.761.801.731.731.721.691.851.921.841.761.791.441.371.471.611.561.741.571.901.661.671.741.741.731.781.721.631.571.721.651.751.781.901.852.151.892.261.83
4.114.134.153.202.342.782.72-7.483.591.812.055.005.305.205.84-5.367.417.287.105.968.2914.047.399.719.3110.856.478.217.6011.217.102.642.603.003.974.005.656.544.074.144.534.264.075.112.182.302.242.162.292.562.821.733.123.043.541.533.332.50
21.9121.7721.6728.1138.5132.3733.09-12.0425.0949.6743.8818.0116.9817.3015.42-16.8012.1512.3612.6815.1110.856.4112.189.279.668.2913.9210.9611.848.0312.6734.0634.6430.0122.6622.5015.9413.7522.1421.7419.8521.1422.0917.6041.2039.0840.1641.6339.2435.1431.8752.0228.8129.6525.4058.8527.0435.95
-6.25-6.25-8.70-2.4116.10-2.34-2.30-3.86-0.96-0.55-0.515.15-0.220.190.744.072.342.06-0.740.551.680.691.103.731.373.140.811.620.081.340.63-1.66-0.111.714.052.001.971.963.542.530.342.093.931.762.321.633.431.350.931.144.831.670.921.884.242.882.621.93
-11.69-11.15-14.94-4.1426.17-2.74-2.70-4.51-1.43-0.82-0.757.93-0.350.311.176.434.104.36-1.661.032.290.941.394.611.593.650.951.900.101.570.74-3.18-0.223.097.343.743.433.486.414.390.603.707.143.274.453.166.712.671.852.309.842.101.172.415.363.882.992.21
-1.28-1.35-1.95-0.523.56-0.72-0.72-1.21-0.35-0.20-0.191.71-0.070.060.261.280.600.51-0.170.130.430.230.260.980.390.930.240.450.030.420.20-0.50-0.030.581.290.700.750.711.180.880.120.691.230.540.720.521.020.430.300.371.550.620.350.711.541.101.090.79
-3.77-3.64-4.95-1.268.37-1.75-1.65-2.85-0.71-0.41-0.363.52-0.150.130.562.901.381.11-0.390.310.890.530.842.981.012.410.621.300.071.050.53-1.40-0.091.383.331.561.571.462.641.800.241.442.511.141.301.012.120.800.550.703.051.060.611.252.722.272.021.30
---3.50---9.85---11.27---12.15---12.81---14.29---15.62---14.6713.8519.56------------------------
0.07-0.02-0.190.41-0.45-0.36-1.02-0.16-2.28-2.28-2.711.88-1.27-1.34-2.403.42-0.87-1.01-3.231.08-3.32-3.57-4.322.64-3.40-2.84-5.792.22-5.03-4.13-6.11-8.20-8.47-5.808.090.08-1.22-2.907.231.341.11-0.5410.372.310.12-1.232.61-1.06-0.75-2.541.91-0.59-1.30-1.253.682.430.65-0.19
0.01-0.02-0.270.31-0.51-0.61-1.292.12-0.62-1.63-2.262.07-1.65-1.66-2.463.05-1.08-1.32-3.76-0.77-4.76-4.46-4.791.25-4.34-3.45-6.160.72-6.07-4.63-6.42-9.14-8.89-6.285.96-1.42-2.08-3.264.93-0.46-0.22-1.057.98-0.57-0.89-1.66-0.09-3.20-1.96-3.01-4.23-2.27-2.26-1.742.291.600.27-0.26