Compania Cervecerias Unidas, S.A Financial Ratios for Analysis 2009-2024 | CCU

Fifteen years of historical annual and quarterly financial ratios and margins for Compania Cervecerias Unidas, S.A (CCU).

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
2.332.081.401.841.631.461.561.541.761.812.001.581.551.881.66
0.030.460.250.240.150.140.120.090.100.100.120.210.180.240.31
0.110.980.420.360.230.210.170.150.150.170.240.330.330.340.50
46.2644.1348.0247.0350.1651.7752.9752.4154.2853.4255.1754.1653.5354.2152.98
9.358.0713.309.4312.8426.5113.3812.3414.2513.9915.9616.3217.4818.3517.69
9.358.0713.309.4312.8426.5113.3812.3414.2513.9915.9616.3217.4818.3517.69
9.358.0713.309.4312.8426.5113.3812.3414.2513.9915.9616.3217.4818.3517.69
4.025.0112.147.7310.1825.6911.5710.9312.7212.8814.0214.9818.5317.6019.71
4.124.368.025.187.1417.217.637.608.0610.3911.0811.5313.9014.3018.20
0.750.750.870.740.770.740.860.830.820.720.700.810.750.780.70
3.133.053.534.063.763.643.803.583.773.363.543.473.513.783.38
5.305.446.146.375.725.235.294.975.504.695.255.025.025.855.77
68.9067.0659.4057.2963.7769.8169.0473.4566.3377.8269.5172.6872.6862.3663.22
8.869.4415.377.6810.0923.1912.0711.6711.8311.4511.4815.7516.4419.6633.55
11.2112.0319.179.3012.2228.0814.0413.6513.5113.2413.2719.2319.6123.6043.22
3.463.777.694.286.1913.397.497.487.717.437.218.448.6710.5014.05
8.615.1311.455.858.5419.9110.6710.6310.6110.2510.1512.3913.4014.8623.07
8.698.5510.039.9110.9312.039.968.459.64------
1.910.272.061.971.843.722.131.341.781.692.341.832.201.84-0.98
1.11-0.830.871.150.862.621.140.470.75-0.500.890.351.191.23-1.57

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.062.292.482.332.372.532.132.082.042.141.931.401.581.691.821.841.992.121.571.631.681.771.481.461.621.451.451.561.691.761.601.541.601.821.741.761.882.131.881.811.932.432.312.001.671.361.351.581.601.651.611.551.872.121.971.882.042.051.811.661.632.021.56
0.450.450.470.030.470.470.460.460.440.420.410.250.210.220.240.240.240.240.150.150.150.150.150.140.160.120.120.120.120.110.090.090.090.100.100.100.110.110.100.100.110.110.110.120.140.150.160.210.210.200.200.180.240.250.260.240.310.300.260.310.280.320.23
0.930.950.920.110.970.990.970.980.910.850.770.420.330.340.360.360.370.380.230.230.240.240.220.210.230.220.220.170.180.180.140.150.170.160.160.150.170.170.160.170.190.180.180.240.310.340.350.330.390.390.350.330.390.380.360.340.470.470.390.500.510.600.46
43.3040.0547.2046.4046.3643.4348.4946.6742.7440.3446.2247.3646.9846.9050.8049.0244.3342.2749.6452.4848.5347.1051.4850.8749.2649.9055.9854.5050.9050.8754.8854.9249.4249.2555.7553.0251.8552.9456.7656.0151.1050.3455.5257.3653.2151.7557.3061.9152.3749.2253.9464.1051.2049.6655.6167.6151.4451.9856.8752.1051.7148.2253.08
4.40-0.5412.0614.518.171.7613.229.985.102.1213.8315.2911.487.7517.3313.696.67-2.9513.6616.479.787.4815.7315.9411.4766.8019.0317.8710.156.0817.1720.797.974.3216.1920.4410.529.7817.8115.158.7613.5916.8021.6212.487.2918.9413.5013.838.9521.807.8214.8010.5221.971.6215.1515.1122.3631.3015.419.0219.01
4.40-0.5412.0614.518.171.7613.229.985.102.1213.8315.2911.487.7517.3313.696.67-2.9513.6616.479.787.4815.7315.9411.4766.8019.0317.8710.156.0817.1720.797.974.3216.1920.4410.529.7817.8115.158.7613.5916.8021.6212.487.2918.9413.5013.838.9521.807.8214.8010.5221.971.6215.1515.1122.3631.3015.419.0219.01
---------------------------------------------------------------
2.04-4.029.345.931.23-2.1410.517.251.35-2.7612.5613.6110.866.5016.3212.164.23-2.4211.0014.114.594.6314.8815.439.3267.8317.4816.528.033.8315.5020.665.882.3514.8713.1310.428.4317.3214.098.8511.8415.9818.149.918.1217.5519.7712.457.9817.8328.5915.447.7521.1025.0911.8513.8121.6022.7114.7421.1916.83
4.440.967.008.011.38-0.697.976.412.52-1.879.219.066.774.0411.308.122.83-1.027.039.712.214.7810.1711.095.5444.5812.0211.204.842.4510.3914.223.412.0410.768.475.855.9611.3010.574.918.9012.1912.457.526.3613.2013.677.115.2014.2814.2510.035.3313.5615.5311.379.0516.8115.4010.3418.8516.07
0.180.150.200.150.190.170.210.180.190.160.210.260.230.180.220.260.170.130.210.220.180.170.200.230.170.180.240.240.210.190.240.180.200.180.230.230.200.190.220.210.190.170.210.210.190.190.230.250.190.180.220.220.180.170.200.230.180.170.190.230.150.150.21
0.790.690.880.640.730.670.810.700.750.680.901.07---1.40---1.02---1.13---1.05---0.75---1.01---0.94---0.99-0.74-1.06---1.15---1.35---0.91---
1.491.401.681.081.551.591.811.311.571.591.851.84---2.28---1.62---1.60---1.51---1.10---1.55---1.36---1.57-1.36-1.55---1.50---1.75---1.89---
60.4164.5053.6783.0658.0956.7349.8168.5757.2456.7848.6249.02---39.55---55.43---56.28---59.75---81.64---58.09---66.05---57.32-66.33-58.24---59.97---51.41---47.66---
2.140.453.583.600.86-0.264.423.301.28-0.495.055.143.071.574.884.541.02-0.252.463.870.801.513.834.751.8413.435.074.791.921.004.254.481.460.914.283.011.771.633.703.381.412.123.734.152.332.085.536.372.481.655.906.033.331.595.096.764.473.336.118.463.14--
2.790.584.574.551.11-0.335.654.201.64-0.626.316.413.071.574.885.501.02-0.252.464.690.801.513.835.751.8413.435.075.571.921.004.255.241.460.914.283.441.771.633.703.911.412.123.744.802.332.555.537.782.471.655.907.193.331.595.098.124.473.336.1110.903.146.066.77
0.890.191.481.400.35-0.101.801.320.53-0.212.122.571.690.882.702.530.59-0.151.502.370.500.962.222.741.098.023.102.971.250.672.782.870.960.612.791.961.181.112.452.200.931.472.502.601.401.193.083.411.350.933.213.181.820.902.763.612.001.523.243.541.592.843.34
1.190.251.923.500.46-0.132.411.790.72-0.292.993.832.431.233.733.460.78-0.192.083.280.671.283.274.081.5511.874.474.241.690.893.884.081.330.813.852.701.581.453.323.031.251.893.323.672.001.774.645.011.951.324.734.912.531.193.795.113.092.334.505.822.264.155.20
9.079.079.148.699.519.939.048.559.019.719.0610.0310.71-10.779.919.959.309.4810.9310.4811.3611.1112.0310.7010.8811.039.9610.579.929.958.459.599.548.90----------------------------
0.790.520.721.911.341.030.610.27-0.13-0.010.332.061.420.000.001.970.000.000.001.840.000.000.003.720.000.000.002.130.000.000.001.340.000.000.001.780.000.000.001.690.000.000.002.120.000.990.001.830.000.000.002.270.000.000.001.840.000.000.00-0.990.000.000.00
0.420.330.461.110.710.670.47-0.83-0.91-0.490.170.870.69--1.15---0.86---2.62---1.14---0.47---0.75----0.50---0.80-0.32-0.35---1.23---1.22----1.58---