Coca-Cola Consolidated Financial Ratios for Analysis 2009-2024 | COKE

Fifteen years of historical annual and quarterly financial ratios and margins for Coca-Cola Consolidated (COKE).

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
1.561.381.291.321.331.331.241.301.331.261.151.121.061.501.42
0.300.350.530.660.700.710.710.720.670.660.630.700.710.760.78
0.420.551.121.982.342.502.472.632.091.961.782.473.153.163.55
39.0636.7435.1335.3334.6133.6335.1038.0039.0740.3840.1340.5340.3042.3142.97
12.5410.347.896.263.751.252.374.194.264.924.495.495.616.366.55
12.5410.347.896.263.751.252.374.194.264.924.495.495.616.366.55
15.2213.1211.169.857.505.336.337.987.858.538.159.389.6610.3410.79
8.389.274.594.810.71-0.291.472.964.303.182.703.303.304.043.96
6.146.943.413.440.24-0.432.251.602.561.801.691.691.832.382.64
1.551.671.611.551.541.541.401.281.251.221.291.261.151.161.12
12.6011.2911.9214.3413.9714.6215.1613.5215.7114.7215.8514.5614.0913.4713.92
10.0910.2310.1810.229.199.198.698.599.7510.7111.8412.2411.9512.1512.68
36.1735.6935.8635.7339.7239.7142.0042.5137.4534.0730.8229.8330.5530.0528.80
28.4538.5726.6335.504.11-3.3322.4115.6120.1714.0412.3515.7716.9121.4423.98
90.24400-65.17-35.94-3.072.41-16.02-10.12-14.16-8.45-8.76-7.36-7.32-8.92-8.83
9.5211.605.505.650.59-0.503.352.313.522.522.522.452.353.023.16
20.0224.9812.6411.951.24-0.966.504.326.564.784.604.724.845.185.29
15311975.9454.7348.1348.6649.1738.9834.7027.7128.1021.6120.5720.0818.45
77.8451.8644.7542.2124.8314.6126.5414.029.408.018.437.309.669.717.02
50.8024.6231.8525.2610.523.1111.37-0.82-4.660.813.592.695.134.763.93

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
2.471.971.871.561.851.741.671.381.401.241.181.291.391.251.361.321.431.421.491.331.391.441.451.331.511.261.441.241.611.351.411.301.341.361.391.330.871.411.421.261.401.331.261.151.251.331.331.121.111.071.031.061.571.521.541.501.541.481.511.421.411.421.08
0.580.600.270.300.280.300.370.350.370.400.430.530.560.580.630.660.650.660.700.700.690.700.720.710.720.720.740.710.750.750.740.720.710.730.720.670.580.680.690.660.630.640.640.630.660.690.710.700.690.700.710.710.740.750.760.760.740.760.780.780.790.810.81
1.391.500.380.420.400.440.580.550.600.810.911.121.271.391.741.981.861.952.372.342.202.402.592.502.632.642.802.473.063.072.912.632.462.672.582.091.932.162.241.961.751.871.891.782.072.402.572.472.782.913.073.152.862.993.153.162.883.243.643.553.814.414.89
39.5339.9140.2539.3338.6338.6239.7138.0638.1434.5236.1435.1435.5234.5435.3336.1235.5634.9834.5535.0534.0134.2135.3033.4934.2833.1733.5931.8635.3035.5138.3536.6338.5438.0439.0038.8638.5538.6140.6840.5040.4140.3840.2340.2040.5439.7040.0739.9240.7140.2641.2540.7140.0939.1541.4843.1743.7940.2542.2243.8542.0042.3943.75
12.8614.4313.5310.9412.6313.4413.1110.9911.669.239.336.219.408.437.427.327.826.772.803.354.245.281.831.133.691.61-1.780.043.224.161.732.984.696.511.982.464.476.233.733.216.226.803.120.276.956.274.043.646.546.634.944.016.156.725.334.288.517.145.084.627.028.126.29
12.8614.4313.5310.9412.6313.4413.1110.9911.669.239.336.219.408.437.427.327.826.772.803.354.245.281.831.133.691.61-1.780.043.224.161.732.984.696.511.982.464.476.233.733.216.226.803.120.276.956.274.043.646.546.634.944.016.156.725.334.288.517.145.084.627.028.126.29
---------------------------------------------------------------
8.8112.9314.006.907.079.4710.139.899.778.409.011.596.454.575.786.955.534.711.79-0.291.741.89-0.78-2.403.61-0.24-2.492.672.640.97-0.944.934.563.33-2.261.376.417.560.991.294.615.211.26-1.575.264.542.111.534.384.522.541.583.914.582.891.846.285.042.551.994.655.493.53
6.559.6210.414.655.387.037.527.537.296.246.651.364.733.364.205.193.913.221.25-0.861.021.21-0.62-2.372.09-0.32-1.337.151.490.54-0.582.622.731.86-1.610.694.134.380.490.682.653.000.63-1.163.722.621.270.472.402.501.210.492.412.631.641.083.932.891.340.564.123.232.54
0.330.320.370.380.410.440.410.420.450.450.410.410.430.440.390.400.400.390.370.380.410.410.360.380.390.390.340.350.400.400.320.330.380.370.310.340.360.360.290.310.330.330.290.310.330.320.300.300.300.310.280.270.300.310.270.270.300.310.260.280.290.280.26
3.193.192.633.073.283.202.812.803.213.443.253.003.913.943.193.624.123.783.363.393.623.633.243.603.443.673.414.043.923.762.963.604.144.113.454.244.043.792.953.713.403.293.053.803.683.433.103.523.343.352.923.343.273.422.903.103.553.463.103.373.212.812.59
2.552.512.342.472.642.492.462.592.472.532.552.572.632.602.372.612.522.282.122.242.372.292.162.262.342.252.112.212.422.342.252.242.432.332.192.622.572.432.422.702.692.582.492.852.842.702.672.932.892.762.382.852.952.612.672.842.492.422.493.112.862.662.58
35.2735.9238.4136.3834.0936.2036.5534.7036.3835.6035.2935.0834.1634.5737.9034.5035.7339.5542.4740.1037.9439.2241.6439.8438.4640.0042.6840.7337.1838.5340.0840.2537.0238.6941.1834.3635.0237.1037.1933.2933.4734.8936.1331.6331.7233.3133.7530.7031.1232.6537.7931.5530.4834.4333.6631.6736.2237.2636.1128.9131.4133.9034.92
9.0014.4610.355.286.048.879.5710.6211.6611.0411.622.6810.137.879.4413.429.848.433.36-1.833.233.60-1.23-5.675.75-0.62-3.0317.604.942.07-1.236.297.225.24-2.871.748.8110.071.131.544.765.551.18-1.467.805.642.771.635.245.822.621.365.255.983.402.068.517.192.941.4310.138.826.56
36.0676.9426.5516.7617.2131.8450.801102,499-83.87-41.89-6.57-20.73-11.84-11.59-13.58-11.50-7.92-2.661.36-2.67-2.800.894.11-4.370.422.09-12.58-3.69-1.250.74-4.07-5.33-3.451.86-1.22-6.40-6.32-0.62-0.92-3.88-4.20-0.851.03-4.58-2.95-1.34-0.76-2.72-2.82-1.18-0.59-2.63-2.81-1.48-0.86-4.05-3.04-1.13-0.53-3.51-2.68-1.79
2.193.063.861.772.223.063.113.193.302.782.730.552.021.471.622.141.661.340.49-0.260.500.54-0.18-0.860.88-0.09-0.442.630.650.26-0.170.931.130.77-0.450.301.611.690.190.281.001.110.23-0.301.370.910.440.250.810.860.370.190.810.890.490.291.311.010.380.191.260.960.67
3.765.797.523.724.336.166.056.887.306.606.621.274.483.303.464.523.452.861.00-0.551.021.07-0.35-1.631.59-0.17-0.805.111.220.51-0.321.742.101.44-0.810.573.693.210.350.521.742.000.42-0.542.641.720.800.491.641.760.770.391.371.510.820.502.201.710.650.322.111.641.22
14713617115316314713211910996.1985.7375.9472.5665.3560.3254.7359.7053.9449.5448.1351.3349.9048.2948.6650.0947.3847.8549.1741.0539.2238.6138.9838.0135.4833.8434.7033.6730.9128.0027.7131.0929.8228.3528.1025.0623.2822.1421.6123.1722.1421.0420.5722.7421.7620.6720.0822.0220.3119.0118.4517.6615.9814.68
72.3242.2818.6777.8461.8536.7817.7251.8637.7623.3511.4544.7537.6723.257.0142.2132.1219.512.7524.8317.517.570.4814.612.234.95-7.0026.5417.4415.4210.1314.0211.085.29-1.339.406.292.86-0.168.014.351.02-0.648.436.552.19-1.217.305.651.42-1.629.666.481.630.659.716.702.590.517.025.182.500.15
43.0126.8811.2850.8047.2827.8912.6824.6220.669.932.5131.8527.7916.513.8325.2622.8813.450.0710.529.322.72-1.993.11-7.16-2.16-10.3911.377.588.596.54-0.820.33-1.57-4.53-4.66-2.75-2.09-2.830.81-0.89-2.11-2.113.593.13-0.21-2.622.692.58-0.75-2.885.132.88-1.20-1.074.763.23-0.31-0.113.932.971.00-0.38