Coty Financial Ratios for Analysis 2010-2024 | COTY

Fifteen years of historical annual and quarterly financial ratios and margins for Coty (COTY).

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
202420232022202120202019201820172016201520142013201220112010
0.750.750.660.741.810.940.900.941.041.221.741.651.121.14-
0.490.510.570.640.710.620.450.430.910.730.790.630.720.65-
0.961.061.321.772.501.670.850.7711.162.683.851.742.831.91-
64.3963.8763.5259.7957.7960.2760.2760.4259.8560.0259.0159.9960.4559.8657.70
8.949.794.54-1.05-26.21-58.66-2.27-5.505.848.990.568.48-4.546.875.30
8.949.794.54-1.05-26.21-58.66-2.27-5.505.848.990.568.48-4.546.875.30
15.8217.4714.2811.59-11.02-46.958.501.7511.1814.246.0714.070.7912.1011.02
3.3412.698.05-5.18-31.11-62.75-5.77-8.603.195.31-0.976.86-7.184.533.44
1.258.911.15-6.56-21.48-60.18-2.47-5.523.615.29-2.143.61-7.031.511.77
0.510.440.440.340.280.360.300.340.620.730.690.720.750.60-
2.852.352.932.862.942.902.372.883.093.153.023.062.812.42-
13.8515.3914.5513.3010.727.324.455.206.376.476.857.477.946.83-
26.3523.7225.0927.4334.0549.8681.9470.1557.3156.4453.3148.8945.9553.41-
2.7313.097.83-2.21-33.76-84.70-4.09-4.2848.8226.34-7.5113.37-33.746.55-
-3.16-13.81-5.861.2321.3094.784.515.20-4.60-10.552.76-10.1511.05-3.16-
0.914.132.16-0.50-6.52-21.97-1.60-1.772.554.31-0.973.12-4.741.32-
1.396.403.38-0.80-9.80-32.25-2.24-2.454.167.22-1.564.92-9.342.28-
4.624.693.994.004.226.0911.8012.461.092.732.413.932.283.71-
0.700.710.870.42-0.070.850.551.181.421.451.411.171.581.231.76
0.420.450.660.20-0.420.300.010.521.071.020.890.741.110.991.45

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-06-302010-06-30
0.850.750.800.850.790.750.690.650.700.660.690.750.670.740.710.741.901.811.190.860.970.940.950.960.990.900.990.931.080.941.151.251.121.041.101.131.211.221.941.221.161.741.791.651.661.651.47------
0.480.490.480.440.510.510.520.520.570.570.530.570.600.640.620.610.700.710.700.620.630.620.500.500.470.450.450.430.440.430.420.390.940.910.900.890.750.730.870.800.780.790.660.600.620.630.69------
0.930.960.930.801.061.061.091.101.341.321.271.341.531.771.701.622.432.502.361.661.711.671.021.030.930.850.830.790.820.770.740.6616.4111.169.088.723.132.686.795.134.623.851.961.531.661.742.30------
65.4964.2164.8065.0763.4862.8562.9165.5263.9461.8164.3364.4563.2060.3661.8958.7558.6440.0156.6362.4560.1860.9362.7761.9060.1710363.4561.1460.9460.9659.8461.1558.8256.7161.1961.3660.1159.3862.3359.6059.2256.9160.7858.4959.9458.5961.6559.2060.73----
14.232.555.6113.7012.039.543.3813.0812.37-6.634.8115.461.250.17-0.141.20-5.87-164.26-28.19-4.784.54-182.214.30-32.04-1.021480.936.641.32-11.69-9.47-0.554.30-0.272.4212.597.35-2.3012.2814.5810.16-1.09-26.9710.8414.06-2.263.0216.1113.68----
14.232.555.6113.7012.039.543.3813.0812.37-6.634.8115.461.250.17-0.141.20-5.87-164.26-28.19-4.784.54-182.214.30-32.04-1.021480.936.641.32-11.69-9.47-0.554.30-0.272.4212.597.35-2.3012.2814.5810.16-1.09-26.9710.8414.06-2.263.0216.1113.68----
-----------------------------------------------------
7.94-7.880.2514.903.115.8310.9918.3914.69-24.034.6219.6025.04-6.451.05-4.22-10.88-171.72-34.22-8.33-0.10-186.38-0.20-34.95-4.31159-2.514.20-1.85-15.17-12.44-3.050.44-2.71-0.929.145.93-3.9510.4513.040.99-3.08-28.479.5812.60-4.221.0114.8012.30----
4.76-7.350.0410.28-0.102.198.1515.429.01-24.384.2412.217.51-19.79-1.80-19.4517.85-124.23-25.56-1.253.71-184.77-0.61-38.25-0.6070.60-3.464.14-0.88-13.60-8.082.04--2.88-2.827.3511.302.068.099.960.90-1.93-25.116.237.94-5.882.048.937.15----
0.130.110.110.130.130.110.100.120.120.100.090.120.100.080.080.100.060.030.060.100.080.090.100.120.09-0.010.090.110.100.100.090.100.150.150.140.190.180.170.150.200.180.160.160.190.180.160.16------
0.740.640.640.780.710.590.600.730.740.670.660.950.760.650.650.930.640.500.480.620.490.680.630.820.650.010.650.890.750.830.790.880.720.820.640.920.760.740.690.970.760.730.670.980.710.720.63------
2.383.092.893.453.073.753.223.512.883.202.483.112.653.052.582.662.151.271.261.521.361.751.641.631.37-0.171.431.511.391.521.471.581.411.581.441.741.441.501.531.711.471.571.521.701.491.701.61------
37.8829.1531.1726.0629.3324.0327.9925.6231.2728.0936.3628.9033.9729.4834.8633.8041.7770.6871.5159.3366.1151.3254.7855.2965.77-538.3262.9859.5164.7259.0461.1656.8364.0357.1462.6251.8462.5459.9958.8452.6461.3057.4559.3252.9960.3252.9355.97------
2.14-2.380.214.030.260.892.856.494.15-8.401.437.086.65-6.580.95-0.583.58-21.73-7.67-2.260.38-60.59-0.05-12.56-0.12-4.57-0.631.26-0.17-3.23-1.660.533.68-8.50-4.4623.2714.902.6015.5620.312.39-1.50-17.625.476.45-3.722.72------
-2.702.76-0.26-5.91-0.28-0.94-2.86-5.97-3.156.29-1.24-5.72-4.643.65-0.560.36-2.4413.713.621.35-0.2367.800.0511.980.125.040.74-1.480.213.932.14-0.81-0.250.800.53-3.29-5.27-1.04-3.25-5.56-0.690.5513.70-5.16-5.292.82-1.24------
0.72-0.790.071.430.080.280.881.941.13-2.320.411.931.63-1.470.22-0.130.69-4.19-1.66-0.580.10-15.71-0.02-4.49-0.04-1.79-0.250.51-0.07-1.33-0.700.240.14-0.44-0.291.502.160.431.352.110.26-0.19-3.791.361.52-0.870.47------
1.11-1.220.112.240.130.431.373.121.78-3.620.673.042.63-2.380.36-0.231.06-6.31-2.31-0.860.14-23.07-0.03-6.30-0.06-2.50-0.350.72-0.09-1.85-0.960.320.22-0.73-0.462.453.650.712.023.990.51-0.31-5.972.172.45-1.370.83------
4.884.624.825.154.404.694.604.373.823.994.524.374.224.004.144.304.474.225.195.895.906.099.9810.1311.4711.8012.6612.5712.6212.4612.8813.130.791.091.341.242.512.731.531.911.972.413.674.424.123.932.88------
0.080.700.490.660.220.710.600.730.190.870.890.870.360.420.370.620.05-0.070.270.610.050.850.600.32-0.110.550.250.41-0.011.180.950.88-0.041.421.321.460.321.451.090.980.071.411.151.140.261.170.910.74-0.060.000.000.000.00
-0.010.420.280.530.150.450.420.680.100.660.730.920.310.200.190.48-0.03-0.420.000.42-0.060.300.16-0.03-0.290.01-0.170.10-0.160.520.530.62-0.301.070.981.240.201.020.750.73-0.090.890.720.840.090.740.590.54-0.21----