Capital Clean Energy Carriers Financial Ratios for Analysis 2009-2024 | CCEC

Fifteen years of historical annual and quarterly financial ratios and margins for Capital Clean Energy Carriers (CCEC).

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
1.231.400.290.941.020.560.861.281.633.851.891.381.123.833.17
0.590.660.700.450.360.220.300.380.370.400.430.440.540.660.75
1.512.022.490.890.640.330.490.650.610.660.750.801.221.983.02
72.1072.0168.6968.0469.1166.1959.3363.6764.9564.5864.1912611811974.37
41.8361.0963.9333.5437.038.9325.8131.3233.5031.4924.1061.5681.5291.4249.15
41.8361.0963.9333.5437.038.9325.8131.3233.5031.4924.1061.5681.5291.4249.15
66.1389.1994.9973.4078.3150.2262.1267.6269.1170.0362.7098.3311511872.40
13.0941.9453.1721.5622.53-6.4715.4521.7225.1522.8358.0145.6812165.4224.32
12.6539.9951.0821.56-112.99-0.0910.7816.7919.6015.2445.72-20.3765.5213.9924.32
0.110.150.100.170.150.080.170.150.140.130.120.140.110.160.18
18.1212.2811.5412.7622.7626.2319.0618.4417.5219.8822.41-17.18-5.92-303.58288
11614230.6549.3440.297.2952.2096.7682.2274.4939.2965.6238.1654.17588
3.162.5711.917.409.0650.056.993.774.444.909.295.569.576.740.62
4.0219.6518.687.196.00-0.994.686.426.705.8616.0816.2030.55--
4.0219.6518.687.196.00-0.864.125.665.915.0412.7312.2630.5534.0018.60
1.506.285.213.693.47-0.552.623.283.562.957.106.5713.2110.754.29
1.666.765.653.993.82-0.672.883.523.713.057.326.8113.9511.424.63
21.3531.5227.0922.6622.3848.4851.3553.1854.5058.6761.8357.8852.19--
8.948.936.064.432.493.327.189.068.169.399.318.698.3910.8019.76
-12.179.44-3.48-5.752.135.397.063.76-4.499.38-14.4710.714.38-10.7412.30

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
1.680.531.411.230.990.850.861.401.350.790.420.291.001.880.970.940.820.730.281.021.201.331.200.560.540.460.650.86-1.001.071.281.631.170.851.631.662.412.363.853.782.062.161.892.061.931.191.381.501.490.991.121.223.103.983.833.472.005.303.173.292.422.98
0.670.670.600.570.690.700.690.660.640.670.680.700.520.360.460.450.460.470.450.360.370.370.380.220.310.310.310.30-0.350.360.380.380.390.390.370.370.350.400.400.390.430.430.430.420.430.440.440.420.420.540.540.540.620.670.660.660.710.710.750.750.740.77
2.152.101.561.432.392.492.402.021.922.172.352.491.230.640.930.890.920.960.900.640.660.670.690.330.520.520.510.49-0.640.640.650.640.650.650.610.600.550.690.660.650.770.760.750.730.760.780.800.740.731.221.221.201.621.991.981.972.462.423.022.992.893.36
81.1477.0874.6173.6374.1969.0571.3873.5770.1971.7572.3771.4466.7565.1769.9765.3467.9771.6666.9968.3260.2574.3173.3472.0667.2865.0460.6356.1558.9958.7963.6463.0662.6065.6863.3365.2564.4464.7565.43-121.21129130129-106.0012912912712712712812353.0612412512371.1968.5767.8074.8276.1575.5173.3677.74
53.9166.1463.1542.8247.8233.8544.2847.2711044.7045.2277.4935.4399.3436.5929.9132.8938.0633.0934.1526.8344.3342.6041.51-54.0030.2625.4919.7526.8826.4230.5230.7429.6333.8331.0834.4032.4634.7132.27-153.2195.1096.0195.93-154.4093.2890.5190.68-23.0488.7091.1488.9419.6786.4281.1788.8029.4339.3441.5549.1841.3349.9048.9852.62
53.9166.1463.1542.8247.8233.8544.2847.2711044.7045.2277.4935.4399.3436.5929.9132.8938.0633.0934.1526.8344.3342.6041.51-54.0030.2625.4919.7526.8826.4230.5230.7429.6333.8331.0834.4032.4634.7132.27-153.2195.1096.0195.93-154.4093.2890.5190.68-23.0488.7091.1488.9419.6786.4281.1788.8029.4339.3441.5549.1841.3349.9048.9852.62
---------------------------------------------------------------
14.9435.0032.4419.467.868.3712.3826.4481.7327.6134.2862.9527.5488.9028.5220.7221.8723.6719.8120.9212.7129.3126.9625.18-68.3314.4710.1810.5515.4015.8220.3322.0319.5324.4220.8525.8723.9525.8824.86-160.7686.4987.2186.19-165.67143158126-32.8978.6067.9368.742.3927811159.639.4511.9016.1623.8720.4123.3825.9329.14
-21.7334.6232.099.8725.578.0211.8725.3177.3226.1333.3960.2226.4485.3027.9921.9221.4723.2319.4521.2012.4728.01-519.4748.00-71.2013.9717.886.1010.7611.1315.4217.2314.6319.4715.7520.6418.6220.3018.7320.9916.837.9714.87-5.2665.8879.8948.41-98.0610.06-2.047.932.3621853.308.488.2411.9015.9321.7617.9423.3925.9429.40
0.030.020.030.040.030.040.030.040.040.040.040.030.040.050.040.040.040.040.040.040.040.040.040.020.020.020.020.04-0.040.040.040.040.040.040.040.040.040.030.030.030.030.030.030.030.030.030.040.030.030.030.040.030.030.040.040.040.040.040.040.040.050.04
4.003.96-11.162.905.183.613.104.133.813.533.624.154.123.503.453.994.385.585.977.814.744.475.081.230.982.015.29-5.843.714.845.123.944.574.684.654.544.4032.02-3.84-3.91-3.9835.35-4.61-5.06-3.45-4.41-4.12-5.59-5.642.19-0.76-25.53-35.07-257.1317.6523.7443.5083.18---
24.9216.18-40.9932.1025.0528.5738.0122.0920.0524.0710.5513.2211.3712.0212.2911.7911.7914.8510.305.193.713.271.712.213.974.6413.43-29.0130.6724.9920.0519.6017.0722.1519.5324.6927.5119.2122.9721.0413.7210.7711.6814.418.8216.3319.4619.928.7512.872.9211.7010.4012.617.6413.4625.7314052.5856.8118.20
3.615.56-2.202.803.593.152.374.074.493.748.536.817.917.497.327.637.636.068.7417.3524.2527.5552.6340.7122.6819.396.70-3.102.933.604.494.595.274.064.613.653.274.693.924.286.568.367.716.2510.215.514.624.5210.296.9930.837.698.667.1411.776.693.500.641.711.584.95
-2.78-----3.31---7.62---1.72---1.43---0.90---0.82---1.68---1.86----10.64----12.59----2.90---0.20-----------
1.272.782.822.110.761.141.563.319.573.634.607.622.447.672.531.721.872.111.641.430.831.971.780.79-2.460.450.320.72-1.061.321.481.281.611.321.641.451.451.42-9.164.705.515.33-9.977.589.847.69-2.204.764.025.380.2016.279.266.911.001.502.623.463.364.514.946.29
0.390.861.020.790.200.300.431.063.121.091.342.121.014.221.250.880.941.030.810.820.481.140.990.50-1.540.290.200.46-0.620.770.860.740.960.780.990.870.910.82-5.362.763.032.96-5.564.295.414.18-1.182.662.262.330.097.013.662.190.320.470.700.940.771.041.171.31
0.420.931.140.900.230.340.481.143.401.211.452.301.164.871.370.961.021.130.910.910.521.231.100.61-1.690.310.220.51-0.690.840.920.790.990.811.030.910.940.85-5.542.853.123.04-5.734.415.624.33-1.222.732.332.480.097.453.842.310.330.510.761.010.841.131.271.44
-------31.52---27.09---22.66---22.38---48.48---51.35---53.18---54.50---58.67---61.83---57.88---52.19-----------
2.351.880.008.943.334.681.968.937.174.712.506.064.122.331.384.433.532.531.732.491.560.700.643.322.661.731.037.185.253.551.849.067.193.371.508.165.873.741.679.397.104.472.129.316.745.991.838.695.703.512.045.806.524.352.129.437.095.872.8319.7615.1511.234.81
-18.90-13.85--12.17-19.74-18.63-15.049.4413.684.652.45-3.483.920.32-0.60-5.75-6.73-7.09-7.702.131.420.600.615.394.233.331.037.065.143.471.773.762.84-0.97-2.81-4.49-6.29-4.31-0.369.384.794.462.11-14.47-15.57-3.69-11.4710.715.673.492.043.032.29-0.462.12-11.07-14.97-8.65-5.8212.307.783.854.81