Crown Holdings Financial Ratios for Analysis 2009-2024 | CCK

Fifteen years of historical annual and quarterly financial ratios and margins for Crown Holdings (CCK).

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
1.151.181.091.151.031.040.950.981.051.241.091.091.141.111.16
0.700.750.720.760.790.870.850.880.930.930.920.961.080.920.88
2.613.052.693.153.806.745.797.3514.3313.4213.2928.41-14.7813.317.31
16.3614.2216.8317.1516.2515.2316.6117.0716.0815.1915.5015.0815.5915.7415.03
10.5710.3211.9611.1610.749.8311.7712.0410.588.969.8310.159.8110.108.99
10.5710.3211.9611.1610.749.8311.7712.0410.588.969.8310.159.8110.108.99
14.7213.8816.0316.2816.1313.6414.6115.0213.2811.0511.3812.2811.8512.2711.44
6.628.16-3.687.726.606.649.539.287.295.736.657.586.797.735.78
3.755.62-4.916.165.343.943.715.994.494.293.746.603.264.084.21
0.800.910.820.560.620.730.820.860.870.941.081.131.261.151.22
6.235.515.466.164.925.595.245.526.065.836.036.176.366.317.03
6.997.026.036.176.266.968.369.589.618.828.148.019.128.4811.12
52.2451.9760.5159.1558.3552.4443.6838.1137.9941.3744.8745.5540.0343.0232.83
20.5037.39-15.4120.4323.9041.0646.3787.28120124148515-165.69197117
-38.85-42.2816.30-23.16-11.49-9.87-16.49-22.47-14.43-18.83-24.44-35.53-18.07-25.76-26.99
3.905.98-2.593.193.223.464.016.074.594.965.338.855.776.556.89
6.149.42-4.285.015.055.406.9710.838.178.9711.3919.4312.7815.7114.41
23.7419.0718.4719.3215.439.516.874.782.762.782.090.90-1.611.482.37
12.146.626.949.778.624.27-1.85-0.966.876.586.294.182.463.634.67
5.66-0.171.025.535.711.08-5.46-4.294.384.334.542.020.031.863.57

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.051.191.151.131.301.301.181.240.950.991.091.101.571.231.151.191.151.311.031.121.171.201.041.141.181.840.951.041.081.160.981.101.051.071.051.191.171.181.241.301.221.201.091.201.211.301.091.281.281.351.141.391.331.191.111.191.291.351.161.331.531.35
0.670.690.700.690.720.740.750.760.710.710.720.680.740.740.760.780.780.810.790.800.830.850.870.870.890.870.850.820.850.860.880.870.890.910.930.930.930.960.930.900.930.940.920.960.970.960.960.941.001.021.080.950.930.890.920.860.850.870.880.860.910.98
2.492.542.612.502.662.953.053.233.033.052.692.762.952.863.153.563.694.293.804.095.166.016.746.928.227.085.794.715.736.177.356.768.4810.1214.3313.4214.5724.1513.429.9413.3315.9113.2924.3033.0125.0228.4117.61345-47.74-14.7820.8714.3010.2413.316.916.237.367.316.1210.2642.48
17.9615.1617.0016.8816.7614.7912.9212.8315.1915.8115.1316.6117.5418.3320.2618.4015.4915.0518.5416.4716.3115.3514.2616.2915.3314.7515.3617.5417.0316.3615.1318.2718.0216.4816.5316.8716.3714.3213.4916.2715.7814.9013.2316.4916.8715.1513.7916.0315.5714.7414.0416.3416.2615.5214.7817.1016.6714.0713.0415.9916.2014.55
12.478.809.0612.1911.809.057.609.1113.2810.889.9211.9213.4812.7513.8912.669.738.924.3811.4112.629.517.9711.509.5910.069.7813.2911.9911.848.7413.5413.7711.579.9211.4212.168.415.3112.3010.167.076.8110.4612.109.687.9511.7311.319.305.5412.3011.888.777.8011.9311.848.384.5410.0811.789.20
12.478.809.0612.1911.809.057.609.1113.2810.889.9211.9213.4812.7513.8912.669.738.924.3811.4112.629.517.9711.509.5910.069.7813.2911.9911.848.7413.5413.7711.579.9211.4212.168.415.3112.3010.167.076.8110.4612.109.687.9511.7311.319.305.5412.3011.888.777.8011.9311.848.384.5410.0811.789.20
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8.724.815.008.217.695.414.786.2311.459.71-42.119.7611.1710.269.869.965.995.48-9.348.338.576.463.449.236.606.927.4711.639.309.426.6610.9211.677.246.418.468.874.961.888.677.433.963.818.169.404.713.9810.039.526.272.3810.119.214.415.089.4310.005.972.146.318.865.46
5.722.411.125.185.053.432.953.908.406.83-32.783.494.488.237.528.605.903.1912.705.934.513.741.945.174.334.10-4.117.175.925.633.387.877.894.173.265.736.232.200.759.414.451.202.374.235.982.081.5214.126.143.540.395.325.660.852.315.715.572.314.234.735.112.38
0.200.190.190.210.210.210.210.230.240.220.220.180.170.160.120.160.140.180.040.200.200.180.180.210.200.170.200.240.210.190.200.230.220.190.200.240.220.200.220.260.240.250.260.300.280.260.270.300.300.270.300.320.280.250.280.310.300.260.290.320.280.26
1.631.471.471.531.361.231.301.301.361.291.491.461.581.151.271.241.031.400.341.481.381.261.391.621.481.311.321.421.201.121.311.461.241.121.391.571.311.181.391.471.241.271.481.501.301.241.511.601.451.261.541.511.241.181.571.711.561.421.741.781.421.25
1.721.701.661.751.641.521.631.531.631.461.621.591.621.371.321.371.331.770.451.721.661.631.711.611.701.592.082.252.152.112.222.222.311.932.222.082.071.922.061.871.891.661.951.641.711.681.931.651.831.832.171.841.721.702.081.73-1.702.682.172.192.07
52.4352.9254.1351.3554.9159.2255.0758.6655.1561.7655.6756.7155.6565.5768.1865.8567.5550.7320152.3854.2755.0852.7455.8052.8956.7843.2140.0441.8642.5640.4840.5139.0346.5940.4943.2843.3846.8343.6248.0547.7454.1446.2454.9652.7153.6046.7054.6249.2049.2841.4648.9252.2052.7943.2252.00-52.8833.5241.5741.1243.50
6.953.172.727.076.894.925.337.4015.0210.89-40.827.486.467.125.687.724.105.55-0.4310.0910.248.725.8314.7312.9310.16-6.6118.7115.8315.4813.9226.4429.7017.9022.3436.9537.8725.0010.0848.5430.8317.8327.3472.5712440.8556.591521,427-109.76-16.3288.3357.5612.3934.9334.4830.1315.5527.9426.7638.1978.75
-17.34-6.85-5.16-14.14-11.37-6.57-6.03-7.70-15.24-11.0743.19-12.11-8.60-5.76-6.44-4.52-2.30-2.790.21-4.69-3.58-2.59-1.40-3.55-2.62-4.502.35-8.49-5.74-5.32-3.58-7.71-6.49-3.22-2.69-4.95-4.52-1.77-1.54-10.56-4.44-2.62-4.51-6.92-8.52-3.78-3.91-19.67-8.12-4.33-1.78-8.85-8.68-2.46-4.56-10.52-10.24-4.34-6.42-9.20-8.34-3.45
1.390.630.521.401.280.850.851.112.281.70-6.861.351.051.240.891.150.600.73-0.061.331.120.850.491.260.960.86-0.571.981.441.350.972.071.891.000.861.561.480.610.402.711.280.580.981.581.970.870.974.522.171.250.572.091.940.561.162.252.150.991.641.961.880.96
2.320.970.822.211.931.281.341.794.303.11-11.352.421.661.871.391.730.891.07-0.092.031.701.270.771.891.421.27-0.993.342.392.191.733.513.281.691.522.652.521.030.734.632.251.142.103.264.081.732.149.004.482.501.264.454.221.302.784.974.522.003.433.843.471.85
24.6824.2823.7423.4422.5020.6719.0717.8018.0718.3818.4722.5820.7420.8219.3217.2016.4815.2415.4314.9112.5411.109.519.698.418.286.878.286.936.314.785.574.463.962.763.112.901.782.783.942.971.862.091.270.891.140.901.580.07-0.55-1.611.191.792.171.482.932.952.662.373.282.270.50
2.86-0.8512.146.952.45-1.966.621.111.61-2.426.941.891.26-2.869.772.30-1.78-4.508.621.49-1.68-4.964.27-1.73-3.68-5.61-1.85-2.01-3.50-4.15-0.962.700.45-2.946.872.26-0.11-2.066.580.06-0.84-3.596.29-0.89-1.76-3.004.18-0.79-1.44-2.592.46-0.88-1.59-2.013.630.24-1.19-2.554.671.11-1.01-2.14
1.56-1.645.661.86-1.33-3.91-0.17-3.81-0.81-3.261.02-1.87-1.15-3.855.53-0.12-3.26-5.315.71-0.18-2.74-5.481.08-3.81-5.13-6.30-5.46-4.05-4.94-4.90-4.290.99-0.54-3.274.381.00-0.90-2.444.33-1.40-1.92-4.204.54-2.15-2.60-3.442.02-2.22-2.35-3.010.03-2.50-2.76-2.661.86-0.79-1.73-2.753.570.46-1.47-2.45