Compass Minerals Financial Ratios for Analysis 2009-2024 | CMP

Fifteen years of historical annual and quarterly financial ratios and margins for Compass Minerals (CMP).

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
2.152.412.722.552.632.552.751.923.002.962.242.541.582.862.62
0.610.790.760.770.710.710.660.620.530.490.460.490.420.580.69
1.563.703.193.462.502.531.961.851.130.960.860.961.081.402.20
19.4215.8220.5221.8721.4317.0423.9426.3230.0432.8625.3224.1128.0229.4636.77
6.573.459.4410.2511.027.3611.6715.3420.1524.2516.4314.1419.4721.1928.06
6.573.459.4410.2511.027.3611.6715.3420.1524.2516.4314.1419.4721.1928.06
14.9712.8221.0424.2923.9920.2520.7923.7327.3930.4323.0021.1325.4626.1832.72
2.73-0.184.204.434.553.747.5317.3419.5222.7515.4111.8217.8418.2624.62
1.29-2.02-25.506.175.525.963.0914.2314.4016.8711.499.3213.2713.8416.66
0.660.760.510.440.450.460.530.460.680.780.800.720.920.960.96
2.483.442.072.633.733.363.582.992.794.334.673.113.843.682.23
9.307.446.305.434.863.463.963.557.436.025.336.557.255.425.75
39.2449.0557.9467.2375.1510592.1610349.1060.6268.4755.6950.3467.3463.48
3.00-14.557.1311.267.785.946.1522.6924.8933.3423.6017.6633.3643.3073.46
5.16-24.1311.2115.629.7843.6729.2511032.0845.5028.3620.7338.2945.7280.58
0.85-2.271.281.881.651.361.666.609.8013.319.316.8412.3613.5216.33
1.18-3.101.702.542.231.722.118.5111.7317.0812.719.0519.2718.1423.09
12.577.508.6111.1415.2815.9620.5321.2218.9819.4516.5515.1313.5210.606.83
2.653.534.785.164.715.394.474.954.097.237.134.587.667.363.65
-1.180.702.672.661.822.531.10-0.44-2.373.513.460.634.403.940.76

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.983.072.152.162.543.132.412.532.332.962.722.072.08-2.272.382.42-2.502.262.17-2.552.662.38-2.522.121.84-6.413.413.38-3.154.083.81-3.592.822.55-2.572.682.82-2.913.421.67-3.623.793.59-3.583.913.19-2.803.212.56
0.690.660.610.570.630.620.790.750.760.780.760.860.91-0.800.780.78-0.750.710.69-0.710.700.65-0.630.630.60-0.640.520.50-0.500.490.49-0.500.520.45-0.480.480.48-0.490.500.40-0.540.540.54-0.630.650.64-0.740.770.81
2.261.991.561.341.701.633.702.943.223.493.196.189.56-4.153.743.58-3.072.582.41-2.522.331.87-1.781.811.69-1.821.101.02-1.010.960.97-1.021.090.83-0.910.950.92-0.991.020.98-1.181.171.20-1.711.841.77-2.833.424.29
20.0320.6618.8816.6720.7219.8615.4015.7914.4018.0726.0515.1525.48-20.7922.6024.31-22.3918.6817.98-22.1417.2314.93-26.1819.6921.04-25.1724.3729.68-29.2227.5428.80-62.2920.1021.87-24.8024.1123.79-20.0021.5726.26-30.9924.6227.55--22.2932.05--34.4837.30
-12.58-16.181.67-0.2911.657.922.41-1.634.466.1526.670.4517.86-100.005.5415.70-100.001.678.22-100.001.146.07-100.002.6310.68-100.009.1421.49-100.0013.0621.55-100.007.1815.88-100.008.4617.59-100.008.6819.47-100.0012.2821.66-100.0010.2825.92-100.0021.8230.61
-12.58-16.181.67-0.2911.657.922.41-1.634.466.1526.670.4517.86--5.5415.70--1.678.22--1.146.07--2.6310.68--9.1421.49--13.0621.55--7.1815.88--8.4617.59--8.6819.47--12.2821.66--10.2825.92--21.8230.61
-------------------------------------------------------------
-16.79-21.45-4.02-1.358.153.290.56-5.500.312.0214.77-7.3713.61--1.20-5.6516.02-4.51-6.613.10-4.50-5.153.88-6.71-3.467.17-6.794.3120.16-17.0610.8321.07-50.150.9615.57-10.187.4816.55-5.644.4317.38-19.779.6220.05-14.838.3823.24-20.4113.9828.53
-13.19-21.98-1.0719.22-5.25-0.09-3.01-3.68-2.700.7285.8528.64-50.39--0.89-1.889.83-3.05-4.811.88-3.94-3.082.85-11.01-2.815.52-5.073.7214.38-11.567.1915.42-36.55-0.3811.90-8.286.0411.96-5.145.2112.50-14.887.6714.21-10.976.3116.47-14.108.8419.93
0.220.190.130.120.230.200.150.140.270.20-0.060.100.22-0.130.080.16-0.150.110.17-0.140.110.18-0.120.100.17-0.090.100.21-0.150.120.25-0.160.120.31-0.140.140.30-0.150.150.26-0.200.160.34-0.180.180.35-0.200.190.38
0.790.690.480.511.250.940.690.671.820.88-0.220.591.37-0.580.421.03-0.790.651.46-0.800.821.72-0.640.641.29-0.490.531.15-0.610.591.85-0.420.933.50-0.590.712.17-0.640.651.24-0.850.802.20-0.510.651.15-0.440.521.43
2.552.031.802.172.571.741.491.982.271.66-0.732.192.68-1.451.041.54-1.581.371.67-1.511.411.59-1.391.291.71-1.562.362.56-1.692.032.74-1.661.852.66-1.912.382.57-1.652.102.61-1.681.702.82-1.812.402.89-1.882.283.16
35.3644.4149.8941.5334.9651.6460.3445.5239.5954.22-122.5841.0733.55-61.8986.6158.54-56.9665.5253.79-59.4463.7056.52-64.8969.5952.52-57.6838.1835.09-53.4144.3432.89-54.3748.5733.78-47.2237.7535.02-54.7042.8634.42-53.5852.8331.89-49.8137.4631.13-47.8439.5528.48
-12.38-16.33-0.487.43-4.45-0.06-2.15-3.56-10.122.74-6.58-8.7933.84---2.1011.07---2.261.41---1.381.88---0.922.94--0.927.08--2.039.38---0.128.77--2.098.90--2.018.15--3.3913.91--4.2621.27--9.8054.42
-17.16-30.89-0.8312.73-5.63-0.07-3.56-5.45-16.094.34-10.35-20.87239--98.63-2,222.20---21.3810.17---10.789.82---4.5513.65--1.189.00--2.7112.52---0.1810.01--2.4510.37--2.299.25--3.9216.15--4.5922.86--11.4266.17
-2.91-4.16-0.142.30-1.21-0.02-0.33-0.68-1.760.47-1.18-0.832.19---0.351.90---0.510.33---0.330.52---0.280.93--0.383.01--0.863.91---0.053.64--0.833.60--0.803.24--1.244.99--1.175.74--1.697.53
-3.81-5.49-0.193.19-1.65-0.02-0.46-0.90-2.400.61-1.57-1.223.20---0.452.48---0.660.43---0.420.67---0.341.17--0.443.51--1.044.78---0.064.80--1.084.65--1.004.89--1.576.37--1.517.72--2.2310.35
9.3811.1512.5713.0411.8012.437.508.818.408.458.615.483.64-9.5510.1310.67-13.5615.4315.91-15.6916.2619.77-22.1120.5121.59-19.7520.2620.79-18.4019.3219.19-18.3417.1117.07-15.6915.1615.65-14.7914.3014.80-12.4212.5412.35-8.708.108.46-5.324.423.48
0.54-1.592.652.953.640.053.534.364.28-0.424.785.785.500.005.556.906.750.002.893.303.790.004.895.365.110.003.804.293.700.003.174.442.740.002.823.333.640.003.864.824.790.004.245.263.870.003.993.492.930.006.105.905.200.005.135.224.200.002.102.713.44
-1.04-2.45-1.181.032.44-0.450.702.343.00-0.842.673.994.31-3.705.646.00-0.781.833.16-2.753.834.43-1.412.653.08--1.231.631.45--1.760.662.40-1.383.364.05-1.763.602.77-1.001.542.02-4.084.574.69-2.783.823.47-0.461.823.15