Coca-Cola Europacific Partners Financial Ratios for Analysis 2009-2024 | CCEP

Fifteen years of historical annual and quarterly financial ratios and margins for Coca-Cola Europacific Partners (CCEP).

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
0.910.890.950.980.750.791.010.910.950.941.171.071.451.151.07
0.560.590.620.510.480.440.450.460.780.700.620.510.510.400.28
1.431.601.821.191.040.860.861.004.032.761.681.291.040.730.59
36.7235.9436.9535.2238.2238.7038.7838.8636.6635.9834.8535.9736.5836.9436.89
12.7812.0411.027.6712.8811.2911.399.3212.3512.3311.1311.5112.4712.0612.35
12.7812.0411.027.6712.8811.2911.399.3212.3512.3311.1311.5112.4712.0612.35
17.1116.7616.7014.5218.2015.7315.8213.3916.2616.0714.8815.6716.3416.0016.65
12.0411.3010.046.5512.1010.4610.487.8710.6110.819.8010.3811.4111.1111.16
9.128.717.144.709.077.896.226.018.508.028.128.409.049.298.84
0.630.590.470.550.640.630.610.490.920.970.860.850.910.780.82
8.548.047.5010.0910.2710.1910.428.3013.2213.6411.8413.3713.0411.5414.28
6.716.445.526.676.776.546.124.675.125.235.125.385.714.744.23
54.4156.6966.1454.6853.9155.8459.6278.1371.3269.8371.2967.8263.9376.9386.25
20.9320.4213.708.2717.7113.8510.298.5062.2846.3329.2525.1425.8419.8518.12
-18.68-15.75-9.83-10.15-22.38-20.95-16.31-12.74-23.71-28.69-36.09-49.71-75.20-76.47-187.01
5.715.193.402.595.834.993.782.967.837.767.007.128.247.267.23
9.248.445.204.019.257.785.664.5713.6613.9611.1112.2512.7111.8513.01
18.8017.1618.7115.1415.1116.3215.5914.804.215.988.859.559.519.45-
6.626.745.483.734.554.373.753.584.003.903.053.152.642.430.00
4.945.384.392.833.142.932.712.292.692.691.921.931.501.57-

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
2018-12-312018-09-302018-06-302018-03-312017-09-302017-06-302016-12-312016-09-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.791.011.021.030.950.93-1.060.940.950.941.011.050.940.991.151.081.171.051.100.961.071.411.201.261.451.621.291.351.151.461.261.221.071.291.181.04
0.440.430.440.450.430.44-0.480.790.780.780.790.780.700.660.680.640.620.600.610.550.510.530.500.490.510.490.440.440.400.370.880.910.280.930.951.00
0.860.780.830.870.890.96-0.994.374.023.984.434.132.762.402.342.021.681.771.771.481.291.201.141.031.040.970.850.800.730.788.3810.960.5914.2222.07732
37.9839.6539.4837.3040.1539.33-38.8836.9236.8138.2536.5734.8334.7537.8336.2634.7633.8636.2034.9334.2734.5537.4436.5535.1235.2437.7637.1435.8535.2838.6737.5536.2736.5738.6738.3037.17
6.9915.2313.677.8614.4113.62-13.568.0410.6114.2714.269.6910.1316.1512.649.8410.6814.4412.626.007.8314.7813.639.159.5115.4214.918.897.4714.5215.3111.078.6015.669.294.77
6.9915.2313.677.8614.4113.62-13.568.0410.6114.2714.269.6910.1316.1512.649.8410.6814.4412.626.007.8314.7813.639.159.5115.4214.918.897.4714.5215.3111.078.6015.669.294.77
-------------------------------------
6.0314.5312.896.9813.3912.74-12.565.938.9612.3512.607.978.2114.7011.408.299.1513.2911.414.546.4713.7212.687.988.3514.3014.007.816.9113.3314.569.687.7914.406.901.70
4.8410.889.585.2110.269.76-10.954.359.579.229.135.895.8211.148.496.156.6413.298.443.305.2212.719.285.845.9713.2710.225.755.4112.3711.507.965.6711.475.301.21
0.150.180.160.130.160.16-0.160.190.210.230.220.200.230.230.230.190.210.220.240.210.200.220.240.200.210.230.250.200.210.200.110.090.200.110.360.33
2.432.662.271.932.352.31-2.642.583.072.942.982.973.243.243.052.552.973.143.172.943.253.143.082.753.043.313.132.763.162.931.040.993.531.053.243.00
1.541.681.481.301.471.36-1.391.071.191.281.131.061.221.131.061.041.271.231.251.141.281.301.261.131.301.451.371.261.270.760.580.551.040.651.952.07
58.3553.5060.8569.3061.2166.19-64.5984.4875.6470.0479.3684.8773.9279.8584.8386.2971.0473.2372.0579.2070.3769.0471.4979.5568.9961.9965.7071.4070.9911815616386.3613846.0443.40
2.015.244.291.864.494.53-5.037.0416.3016.6817.379.457.8313.7610.375.605.9213.088.712.693.719.187.423.713.909.097.533.283.096.3516.0012.452.8626.4962.60407
-3.03-8.83-7.23-2.93-7.33-6.86--8.00-2.60-6.21-6.54-6.74-3.84-4.85-10.77-8.76-5.52-7.31-15.68-10.29-3.82-7.34-23.05-18.14-10.11-11.35-34.80-27.61-11.67-11.89-177.78-7.74-4.10-29.55-6.01-8.71-1.60
0.721.931.570.681.621.58-1.770.822.052.102.021.171.312.561.951.191.422.981.990.681.052.732.221.191.243.042.571.171.132.461.220.751.141.221.890.39
1.132.962.421.022.552.51-2.621.483.593.743.722.052.364.623.321.992.255.233.401.201.814.333.711.901.924.634.211.831.844.031.871.132.051.802.900.61
16.32-------4.114.214.444.424.365.987.167.788.178.858.517.818.269.559.989.399.819.5110.0110.259.939.459.672.481.93-1.541.020.03
4.373.371.520.052.720.000.002.260.534.003.401.540.663.902.380.840.263.052.220.530.053.152.300.75-0.422.642.020.770.020.000.000.000.000.000.001.080.22
2.932.580.99-0.192.07--1.580.162.692.340.760.252.691.530.33-0.031.921.40-0.01-0.261.931.490.20-0.651.501.240.23-0.22------0.26-0.17