Cencora Financial Ratios for Analysis 2009-2024 | COR

Fifteen years of historical annual and quarterly financial ratios and margins for Cencora (COR).

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
0.880.910.940.980.950.930.910.900.940.970.970.981.051.091.05
0.860.980.921.300.590.600.650.640.860.500.380.360.250.310.30
7.1980.0111.44-4.911.501.531.842.106.071.020.600.570.480.450.43
3.423.483.242.732.862.752.972.912.602.492.853.373.122.992.93
0.890.991.10-2.700.620.860.691.040.310.651.021.671.511.401.23
0.890.991.10-2.700.620.860.691.040.310.651.021.671.511.401.23
1.271.321.36-2.300.901.200.971.310.500.821.221.851.651.521.36
0.820.921.04-2.790.540.700.600.950.200.560.941.561.421.311.15
0.670.710.72-1.800.480.990.240.97-0.100.230.490.920.900.820.70
4.194.223.734.294.584.464.344.374.865.554.655.065.255.395.29
14.5114.8013.4714.6715.7713.7012.9713.3013.5813.5712.2413.7914.0114.4814.01
12.4912.8111.6413.2514.4914.8414.8616.0016.5318.9414.5320.6320.7420.3218.32
29.2228.4931.3727.5525.1924.5924.5622.8122.0819.2725.1117.6917.6017.9619.92
2602,33826440528.5452.9817.6667.06-22.4214.4021.2731.0124.3321.3218.84
-12.99-13.06-11.2736.04-14.22-24.62-5.35-20.912.50-18.48-41.82-71.251,141578-358.96
2.772.952.69-7.682.184.291.034.25-0.491.312.614.934.664.363.77
36.0035.4322.17-122.3511.6221.376.2323.87-3.177.1313.2819.7718.1714.6613.15
3.320.352.81-4.1114.4814.309.479.682.988.8210.0910.4310.9810.659.43
19.1212.8012.7910.7811.076.416.7914.0718.016.223.355.084.213.862.59
16.8810.4510.699.159.614.924.6812.0116.955.102.494.563.653.252.11

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
0.890.890.880.880.880.890.910.910.920.920.950.940.941.070.990.980.980.970.950.950.950.950.940.930.940.940.950.910.920.920.900.900.890.930.850.940.940.970.970.970.970.960.960.970.980.970.960.981.021.061.061.051.111.101.081.091.091.081.071.051.061.06
0.800.770.800.860.820.900.980.980.900.840.910.920.941.021.161.300.480.490.540.590.580.590.590.600.580.580.620.650.600.600.650.640.670.670.770.860.700.670.530.500.500.390.380.380.370.370.370.360.340.340.340.250.300.300.300.310.320.320.330.300.300.30
4.464.284.507.195.459.6576.7380.0111.717.1311.1111.4417.39-60.23-7.23-4.911.041.121.361.501.451.531.481.531.451.451.611.841.481.762.122.102.352.053.466.072.382.091.131.021.000.650.810.600.580.600.600.570.640.640.660.480.430.430.470.450.460.480.500.430.430.42
3.253.713.423.273.383.623.413.253.363.873.463.513.543.122.772.742.702.932.572.602.723.292.862.392.813.062.753.002.793.382.722.993.003.012.632.742.602.792.242.762.282.562.362.322.573.493.143.753.463.452.872.853.243.482.922.873.003.172.912.882.823.19
0.910.811.140.691.000.881.010.740.811.351.080.951.161.271.04-12.410.890.650.550.390.900.111.050.360.901.171.04-0.350.441.681.050.601.432.66-0.491.530.97-1.12-0.260.670.371.060.550.470.611.711.421.711.681.911.391.221.571.851.391.211.441.611.361.201.161.43
0.910.811.140.691.000.881.010.740.811.351.080.951.161.271.04-12.410.890.650.550.390.900.111.050.360.901.171.04-0.350.441.681.050.601.432.66-0.491.530.97-1.12-0.260.670.371.060.550.470.611.711.421.711.681.911.391.221.571.851.391.211.441.611.361.201.161.43
--------------------------------------------------------------
0.850.681.080.650.910.810.940.630.791.261.000.941.071.151.01-12.480.760.580.480.320.820.040.950.260.800.880.89-0.440.341.600.950.511.342.56-0.581.330.89-1.22-0.320.580.191.000.480.400.531.611.331.601.581.801.271.131.481.751.301.111.341.511.271.121.081.35
0.650.620.830.510.720.690.760.480.680.950.750.740.550.890.71-9.840.642.030.390.290.670.060.870.540.640.702.13-0.880.131.110.650.390.951.690.901.020.63-1.57-0.600.21-0.040.630.140.210.770.220.800.870.941.080.800.780.911.080.810.720.830.940.780.700.650.83
1.111.071.121.101.091.081.091.081.051.011.041.030.951.051.151.111.111.131.201.171.181.121.161.151.131.071.111.111.121.081.131.121.161.101.191.271.251.211.351.471.471.401.471.291.321.271.361.211.231.261.271.261.361.351.411.351.401.401.431.381.441.38
3.923.743.743.823.843.613.623.803.673.583.533.703.443.683.873.803.734.153.994.023.913.683.743.553.473.093.273.313.223.173.253.403.413.253.293.543.463.343.093.573.523.263.313.423.623.503.423.303.433.553.393.373.783.673.553.643.733.753.503.664.043.66
3.083.013.353.283.213.253.363.283.203.163.443.202.983.403.453.443.453.183.813.683.773.543.793.833.673.644.003.803.673.883.944.094.114.074.384.314.514.324.705.004.954.374.704.044.784.914.834.954.905.095.454.985.165.205.605.105.044.895.464.784.914.64
29.2129.9326.9027.4128.0127.6926.8027.4028.1028.4526.1628.0930.2526.4926.0626.2026.0828.3023.6324.4423.8525.3923.7523.5224.5424.7122.5223.7024.5423.2222.8621.9921.9222.1020.5520.8619.9720.8319.1417.9918.1920.5819.1722.2618.8418.3318.6418.1818.3617.6716.5018.0817.4417.3216.0717.6317.8518.4116.4818.8318.3319.41
45.9834.3356.8252.3851.9783.7864741970.1361.2874.7674.6872.34-422.26-74.035777.2426.216.084.429.720.9212.386.368.488.3929.98-16.691.9716.2711.686.8418.5827.5425.3658.5713.59-26.79-11.313.35-0.648.392.182.182.658.707.477.826.497.445.514.825.766.845.424.555.576.395.524.794.495.22
-3.88-3.35-4.65-2.62-3.55-3.06-3.68-2.34-2.85-4.34-3.35-3.19-2.09-5.02-4.1751.36-6.18-19.68-3.23-2.20-5.09-0.47-6.07-2.96-4.32-4.41-14.305.06-0.79-6.48-3.64-2.13-4.91-8.83-4.25-6.54-4.7212.2111.54-4.300.85-13.34-3.90-4.29-5.90-17.51-14.41-17.98-28.95-135.32-80.6222651.3574.74138123192-796.73-130.01-91.27-175.15-167.32
0.730.660.930.560.780.730.820.530.640.970.780.760.530.920.83-10.940.702.310.470.340.780.071.000.520.730.732.37-0.980.151.200.730.431.091.861.071.290.78-1.90-0.800.30-0.060.880.250.270.391.271.131.241.211.401.000.921.241.461.140.931.171.311.120.960.981.15
9.337.7911.497.259.438.2710.076.357.0410.006.416.264.197.1812.10-174.353.7913.252.781.804.060.385.102.573.543.5311.50-5.890.796.464.132.446.159.205.798.294.03-8.76-5.311.66-0.325.081.341.361.685.454.684.994.314.943.653.604.044.793.783.123.804.323.683.343.153.68
5.386.155.323.324.562.530.360.352.494.332.882.811.97-0.50-2.50-4.1119.4518.2214.9114.4814.9114.4615.0014.3015.1015.3113.169.4711.6611.599.759.688.769.786.302.987.288.678.068.828.869.439.7510.0910.4810.1610.1710.4311.6611.5411.2410.9811.7711.4510.8210.6510.4210.069.669.439.379.14
12.420.034.3919.1210.206.563.4412.807.275.334.0912.797.932.174.3710.784.424.810.6911.077.915.192.246.413.38-0.350.056.790.561.67-1.9414.078.117.243.3218.0111.497.444.096.222.800.48-4.233.353.483.17-1.025.082.972.551.644.212.902.06-0.353.861.951.21-0.142.591.430.11
10.89-0.904.0216.888.825.683.0710.455.744.343.7110.696.621.444.059.153.204.110.369.616.824.431.874.922.25-1.11-0.294.68-1.120.48-2.5612.016.736.442.9216.9510.846.963.855.101.92-0.05-4.482.492.892.79-1.264.562.612.301.473.652.441.73-0.533.251.490.90-0.292.111.09-0.12