Churchill Downs Financial Ratios for Analysis 2009-2024 | CHDN

Fifteen years of historical annual and quarterly financial ratios and margins for Churchill Downs (CHDN).

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
0.530.551.270.550.730.940.570.530.340.720.750.360.830.900.57
0.840.890.860.820.740.650.640.570.550.520.34-0.180.360.17
5.418.356.414.422.881.871.761.351.271.090.530.330.230.560.28
32.3231.3027.9318.3625.8028.7128.6927.7727.0222.0322.2322.3420.8916.0618.21
22.9117.7817.815.7116.2218.7116.5120.9815.8211.1311.5713.2011.635.397.38
22.9117.7817.815.7116.2218.7116.5120.9815.8211.1311.5713.2011.635.397.38
30.0324.3624.6015.0023.8225.0129.4936.2730.7719.5419.4920.8119.5413.3413.81
22.8233.6421.510.7614.7723.1811.6117.9214.459.4210.9812.4713.644.777.34
16.9524.2815.60-7.7710.3434.9715.9213.148.165.717.057.979.242.793.58
0.350.290.540.390.520.580.370.360.350.340.580.660.740.580.65
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20.6018.9514.7512.2725.6722.0310.3610.5711.617.7113.2114.6113.0413.0114.07
17.7219.2624.7529.7514.2216.5735.2334.5331.4547.3427.6324.9928.0028.0525.95
46.7079.6781.193.6227.3238.5819.1214.1211.476.637.819.0310.413.864.34
-17.21-17.14-61.04-3.80-61.80-141.8879.8446.16-9.82-6.7226.7123.1922.8110.976.87
6.007.088.350.505.4710.585.194.293.111.974.075.226.411.922.44
7.378.6010.980.677.0513.496.936.075.123.195.129.038.542.493.59
11.997.374.034.656.445.866.936.926.206.686.546.155.675.094.96
7.956.635.861.793.602.382.242.292.501.341.351.371.680.640.84
1.644.764.69-1.131.990.581.022.002.090.830.890.991.46-0.02-0.13

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
0.550.570.500.530.550.900.540.553.673.791.201.271.501.441.140.551.711.672.450.731.091.130.870.941.091.291.020.570.570.470.510.530.510.490.470.340.340.340.590.720.760.700.690.750.820.770.350.360.840.820.720.830.920.850.750.900.720.730.560.570.540.690.67
0.810.820.850.840.840.840.860.890.840.840.860.860.850.860.910.820.850.870.830.740.730.730.760.650.630.660.720.640.640.640.580.570.570.570.610.550.430.440.500.520.350.340.340.340.310.18--0.100.090.150.180.210.250.320.360.190.200.190.170.030.030.11
4.414.715.965.415.315.416.288.355.195.246.196.415.816.219.754.425.826.724.962.882.682.663.231.871.721.952.581.761.791.781.411.351.321.361.591.270.770.821.001.090.540.530.520.530.460.230.290.330.110.110.190.230.280.340.470.560.260.250.300.280.110.030.12
29.5343.5631.3428.6928.6538.8730.7427.3526.7841.0825.6022.8626.9034.9423.7418.7626.2911.9911.9812.9720.6039.1921.2518.5421.6042.6520.8718.8924.2342.3816.4216.0821.3635.1915.0117.4121.2735.9013.558.7016.6337.1813.5210.6716.9536.7513.6813.7615.8035.9113.3213.6615.7734.3510.0010.3712.5929.69-3.223.0815.4135.054.68
20.0337.0521.3718.9219.6229.3621.432.4416.4434.2813.029.5117.2026.2914.408.1614.65-0.22-4.591.259.0832.7610.555.489.2636.0010.41-7.1513.7136.225.0719.988.8326.772.18-10.693.3625.88-1.63-8.154.8331.030.94-3.285.5328.962.061.804.7430.352.694.226.0627.02-2.17-3.112.2322.44-18.53-8.512.4428.40-12.20
20.0337.0521.3718.9219.6229.3621.432.4416.4434.2813.029.5117.2026.2914.408.1614.65-0.22-4.591.259.0832.7610.555.489.2636.0010.41-7.1513.7136.225.0719.988.8326.772.18-10.693.3625.88-1.63-8.154.8331.030.94-3.285.5328.962.061.804.7430.352.694.226.0627.02-2.17-3.112.2322.44-18.53-8.512.4428.40-12.20
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13.7033.0417.2312.8114.2925.9237.34-0.6519.1682.3916.0914.7222.3229.1016.136.0016.87-17.02-13.522.827.5730.776.932.9733.7635.858.82-24.2611.8835.281.6715.776.7225.43-0.35-8.211.7524.85-1.12-11.212.5230.35-0.68-5.966.6928.680.960.714.2929.801.683.0216.8927.11-3.96-4.342.0821.82-19.02-9.052.3428.43-11.59
10.4123.5013.6110.2610.6618.6127.830.2114.8858.2511.5611.8715.6221.0311.136.1512.79-64.18-9.251.434.8322.434.375.2125.4427.1796.1421.358.4823.084.3616.572.8715.620.97-5.941.5013.25-0.64-8.172.0118.89-0.42-3.514.9917.740.702.023.5817.670.985.7111.8915.71-2.42-1.38-0.4712.82-10.18-5.94-2.3017.14-6.54
0.090.120.080.080.080.120.090.080.080.130.120.120.130.170.120.100.100.060.080.110.120.180.110.130.130.220.120.080.080.150.070.070.140.200.13-0.060.120.180.110.070.130.220.120.120.140.250.130.140.180.280.150.160.170.250.130.130.170.250.120.160.160.290.12
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6.746.545.144.705.309.677.565.035.528.913.443.373.735.762.833.243.612.204.105.428.326.564.134.786.5510.175.472.102.664.812.512.085.977.134.90-2.054.546.123.351.604.906.613.852.754.616.084.933.144.326.144.992.795.036.066.083.056.577.573.483.464.314.781.72
13.3513.7517.5219.1616.999.3111.9017.9016.3010.1026.1526.7224.1115.6431.8327.7924.9640.9921.9616.6110.8113.7221.7718.8213.758.8516.4542.8633.8218.7335.8943.3015.0712.6218.35-43.8219.8314.7126.8756.4018.3713.6223.3832.7519.5414.8018.2628.6320.8614.6618.0332.2317.9014.8514.8129.5013.7111.9025.8725.9920.8718.8252.32
6.0320.399.726.456.8616.7522.110.189.3056.2813.2514.1118.1234.1217.854.4711.58-7.31-5.190.822.7619.572.601.5411.2722.774.105.372.0912.090.322.831.2510.270.452.120.557.28-0.23-1.970.498.09-0.10-0.791.277.100.170.350.917.520.230.733.377.09-0.63-0.840.725.50-2.03-1.69-0.297.32-1.30
-2.99-9.20-3.23-2.38-2.51-6.40-6.46-0.04-22.98-290.75-10.50-10.61-16.27-27.24-7.02-4.68-12.445.988.00-1.86-8.98-65.56-4.72-5.67-65.98-333.98-9.9422.44-2.02-10.69-0.389.26-1.44-11.02-0.40-1.82-0.72-9.090.241.991.5926.55-0.34-2.714.1815.760.410.901.7914.960.501.607.4316.60-1.75-2.391.3510.32-3.22-2.68-0.4511.26-2.09
0.922.931.140.830.902.172.480.021.227.341.391.452.063.651.300.611.32-0.73-0.710.160.594.180.480.423.396.080.881.460.563.190.100.860.393.100.130.580.192.40-0.07-0.580.274.21-0.05-0.410.724.460.100.200.645.060.140.452.064.01-0.32-0.420.443.24-1.12-0.95-0.205.00-0.81
1.133.611.411.021.102.653.080.021.519.031.851.912.674.751.670.831.70-0.95-0.870.210.755.350.620.544.167.731.151.950.764.390.131.220.544.380.180.950.314.06-0.12-0.950.325.32-0.07-0.520.885.830.170.350.826.860.190.602.665.34-0.43-0.540.584.40-1.64-1.40-0.287.08-1.16
14.9314.0511.2511.9911.9111.409.417.378.198.004.184.034.424.122.634.654.714.105.536.446.906.925.685.866.315.554.246.936.786.516.966.926.986.836.186.207.277.176.626.686.886.836.586.546.716.596.076.156.256.185.705.675.695.485.055.095.175.214.854.965.115.134.75
8.596.323.417.956.475.242.846.635.534.931.745.864.994.251.321.791.730.970.553.603.202.630.872.381.651.980.642.311.801.720.652.301.861.640.652.502.091.830.861.341.101.110.501.351.060.930.441.370.970.910.531.681.291.030.620.640.550.650.260.840.770.770.34
3.002.411.331.642.553.723.644.765.736.381.034.694.323.881.16-1.13-0.89-0.69-0.061.992.081.910.520.580.121.100.251.060.841.070.282.011.431.300.492.091.801.610.770.830.640.750.300.890.780.710.310.990.730.760.441.461.130.930.56-0.02-0.010.060.03-0.130.380.640.29