Comcast Financial Ratios for Analysis 2009-2024 | CMCSA

Fifteen years of historical annual and quarterly financial ratios and margins for Comcast (CMCSA).

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
0.600.780.850.930.840.790.740.760.680.780.741.200.651.080.44
0.530.550.500.540.550.600.460.500.480.450.470.430.440.400.39
1.171.221.031.191.281.540.931.090.970.910.940.810.820.710.68
37.5337.0236.3636.0538.2738.8640.2540.3141.1240.7540.8539.6540.4744.8238.35
19.1811.5617.8916.8919.3920.1121.1920.8521.4721.6720.9819.4619.2021.0320.18
19.1811.5617.8916.8919.3920.1121.1920.8521.4721.6720.9819.4619.2021.0320.18
30.9722.9529.7529.5431.2831.4132.5832.5233.1233.3333.1531.9345.0338.9739.33
16.847.6516.4113.5815.6016.1318.0617.7417.9518.1217.1918.5514.7016.0914.28
12.664.4212.1710.1711.9912.4126.7410.7510.9612.1810.549.917.459.5810.17
0.460.470.420.380.410.380.450.450.450.430.410.380.350.320.32
---------------
8.809.589.699.039.658.519.6310.1510.8010.8810.1411.3312.0020.4520.90
41.4738.0937.6640.4137.8342.8937.9235.9633.7833.5535.9932.2130.4117.8517.47
18.156.0314.1911.6615.8816.3633.0016.0715.5916.1913.9715.7910.828.258.47
-23.88-7.51-21.07-14.52-16.58-12.98-51.14-15.99-15.22-16.98-13.53-14.46-9.09-10.98-10.17
5.701.915.013.915.064.7112.235.005.055.404.494.773.273.093.22
8.482.747.085.427.136.6017.798.088.178.867.468.956.024.955.13
20.9219.3421.5120.0318.4216.0214.9611.8211.0510.449.799.438.818.007.54
6.875.966.265.355.575.244.444.043.873.232.662.732.581.981.78
3.893.494.083.043.173.032.342.072.151.811.061.681.631.100.90

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
0.660.590.600.700.760.690.780.840.880.860.851.030.920.960.930.930.970.870.840.860.690.730.791.180.960.980.740.740.670.800.760.840.840.800.680.660.760.700.780.820.740.790.740.720.680.651.201.040.720.600.650.610.660.551.080.810.760.690.440.480.620.48
0.540.530.530.530.530.530.550.540.510.500.500.510.510.530.540.550.560.560.550.570.570.580.600.490.460.470.460.510.510.500.500.510.490.490.480.460.460.450.450.460.450.460.470.470.470.480.430.420.420.420.440.450.450.450.400.400.400.400.390.400.410.42
1.171.161.171.231.211.211.221.211.071.041.031.051.081.161.191.251.301.311.281.341.381.441.541.010.900.940.931.151.141.071.091.081.011.020.970.920.920.900.910.900.890.920.940.930.940.970.810.780.770.790.820.870.840.870.710.710.710.720.680.690.790.78
40.7537.8532.1739.3040.4638.3533.3338.7140.0836.0535.0636.0537.6336.8232.9134.8939.0137.7836.5138.8539.1638.6835.2840.5741.7338.8237.8840.2641.2941.7139.2439.0341.5941.6940.6441.2341.6240.9840.7341.7041.8438.7840.6840.9441.3840.3740.0237.7141.3839.6460.8931.9033.5033.5363.0137.7139.2338.74-25.0660.0960.1159.49
22.3519.3314.3421.5021.9919.0214.83-8.1321.2117.9615.9017.9819.2918.5214.1415.9619.6018.2318.4819.9119.9419.2916.2121.8523.0720.3818.7022.6721.4622.0619.8320.8321.1021.7620.8021.4321.9021.7921.3622.3022.5820.5021.5521.1421.1120.0320.6718.4220.2418.5419.4018.4220.5018.3420.7120.5921.8221.0320.0419.3420.8820.43
22.3519.3314.3421.5021.9919.0214.83-8.1321.2117.9615.9017.9819.2918.5214.1415.9619.6018.2318.4819.9119.9419.2916.2121.8523.0720.3818.7022.6721.4622.0619.8320.8321.1021.7620.8021.4321.9021.7921.3622.3022.5820.5021.5521.1421.1120.0320.6718.4220.2418.5419.4018.4220.5018.3420.7120.5921.8221.0320.0419.3420.8820.43
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17.4316.9812.9418.1518.7717.6612.01-12.2315.0015.3612.8117.0519.7216.2115.9410.8516.6810.9914.3015.1515.5017.5311.0217.6019.7117.5215.6019.3718.3619.0317.3717.4717.4318.8116.7217.4818.6119.0617.5418.1019.3517.5617.4517.3317.1616.7916.2226.4916.0714.7715.8612.5916.6113.4817.5515.3215.4815.9714.8912.8515.3713.97
13.2312.8310.4313.4413.9212.919.89-15.4011.3111.4410.0813.3213.0912.2412.207.9112.608.0711.1311.9911.6413.239.0213.0414.8013.6867.9512.5311.8412.5010.6710.4910.5211.3610.2410.6911.4011.5310.8615.4411.8310.7511.3010.7210.669.399.5312.778.868.238.566.337.137.7810.479.149.289.4110.5310.6710.778.71
0.110.110.120.120.120.110.120.120.110.110.110.110.100.100.100.090.090.100.110.100.100.100.110.110.110.120.120.110.120.110.120.120.110.110.120.120.120.110.110.110.110.110.110.100.100.100.100.100.100.090.100.090.090.080.080.080.080.080.080.080.080.08
--------------------------------------------------------------
2.252.292.262.352.352.422.412.502.512.522.532.532.572.482.422.482.322.462.512.512.482.502.512.462.462.602.502.662.712.742.682.832.872.952.792.862.672.912.812.722.702.832.652.942.953.022.893.233.473.403.233.503.453.275.245.085.165.825.305.405.355.98
39.9239.3639.7838.3638.2937.2437.3335.9335.8535.7035.6335.5735.0336.3437.2436.3438.8136.5335.7935.8436.3135.9735.8936.5236.6334.5936.0233.7933.1932.9033.5231.8031.3330.5332.2531.4733.6930.9732.0833.0833.3031.8033.9030.6530.4629.7631.1827.8725.9626.4927.8325.7126.1027.5217.1717.7217.4315.4616.9816.6816.8115.05
4.594.553.794.814.954.543.52-5.773.503.623.064.043.763.503.752.323.552.693.824.154.124.793.564.004.474.4921.674.754.554.614.274.163.764.083.813.934.124.083.764.913.873.753.853.553.523.383.636.043.393.033.332.482.912.232.321.982.042.042.242.202.291.89
-6.36-6.09-4.98-6.43-6.70-5.86-4.397.35-5.06-5.36-4.54-6.04-5.37-4.69-4.66-2.70-3.95-2.83-3.98-4.00-3.74-4.11-2.83-6.83-7.40-7.20-33.58-4.56-4.30-4.63-4.25-4.04-3.78-4.03-3.72-3.94-4.28-4.20-3.95-5.25-3.93-3.73-3.73-3.31-3.21-2.98-3.32-5.42-2.92-2.57-2.79-2.06-2.40-1.81-3.09-2.53-2.54-2.49-2.69-2.58-2.59-2.07
1.461.431.191.531.601.451.12-1.831.211.271.081.421.311.181.260.761.130.851.211.281.251.421.031.441.681.668.031.441.391.461.331.311.211.301.231.281.361.351.251.651.291.231.241.141.111.051.101.831.040.921.000.740.880.670.870.750.770.760.850.830.830.69
2.122.131.772.252.332.121.60-2.641.711.801.531.981.841.661.741.051.581.181.711.791.792.011.442.042.402.3611.682.312.252.292.152.061.932.102.002.112.232.242.062.672.112.012.061.891.861.762.063.501.981.751.851.361.611.231.401.201.231.221.361.321.351.10
21.5621.1020.9220.4920.4919.8719.3418.7220.9721.4221.5121.3021.0320.4820.0319.1418.5618.1418.4217.4017.1216.7216.0215.9015.6615.3114.9612.0411.8512.1511.8211.6611.4611.2311.0510.5710.5810.4510.4410.4110.119.939.799.589.439.249.439.289.008.878.818.638.538.428.007.867.757.657.547.427.297.14
3.211.976.875.453.451.715.964.693.031.596.264.603.291.665.354.263.141.265.574.213.101.575.244.012.701.164.443.322.241.164.042.882.001.103.872.761.751.033.232.351.440.852.662.201.440.822.732.081.440.802.581.851.250.621.981.380.940.511.781.340.880.43
1.811.283.893.272.081.063.493.032.041.154.083.112.281.173.042.642.130.773.172.572.051.073.032.491.740.722.341.811.260.712.071.471.110.692.151.571.000.681.811.350.820.571.061.010.660.561.681.330.990.591.631.160.820.421.100.770.580.350.900.730.490.23