Canadian Pacific Kansas City Financial Ratios for Analysis 2009-2024 | CP

Fifteen years of historical annual and quarterly financial ratios and margins for Canadian Pacific Kansas City (CP).

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
0.530.590.430.500.530.570.640.751.060.911.471.080.710.931.03
0.310.320.350.540.540.550.540.650.650.500.400.480.500.460.38
0.530.510.601.341.241.311.271.881.871.030.690.921.030.890.67
68.0266.8571.3975.1270.6870.0570.6673.4970.9260.8356.4561.7759.7365.0966.21
34.9537.7740.1042.9440.0938.7042.6241.3740.0535.2730.1322.2518.6822.4120.92
34.9537.7740.1042.9440.0938.7042.6241.3740.0535.2730.1322.2518.6822.4120.92
47.2447.4550.2453.0549.1548.2152.7051.6448.9143.6139.3431.7128.1432.2332.28
-24.3247.0345.2841.5340.3735.3738.1134.5329.1930.7918.3411.1713.4617.4816.59
31.2839.9035.6731.7031.3126.6736.7025.6620.1422.3014.278.5011.0113.0614.23
0.160.120.120.330.350.340.330.320.340.400.360.390.370.360.28
10.0410.299.739.2212.5512.6612.658.9810.3814.6516.1916.0115.1115.2410.96
6.658.689.769.359.688.989.5410.5410.419.4310.5710.439.9910.859.76
54.8642.0737.3939.0637.7140.6638.2634.6135.0838.7134.5234.9936.5233.6337.41
9.259.048.4333.3934.5229.4037.3634.5728.1923.9814.7614.6911.3214.037.80
18.079.148.5235.1535.5530.3238.4836.1429.4924.7615.1015.1711.8014.608.04
4.914.794.1810.3410.919.1811.948.326.898.096.145.083.734.953.37
6.356.175.4415.3716.0213.1617.3612.049.8511.948.897.695.637.644.84
33.7132.1529.038.207.787.296.854.784.91------
3.283.424.313.083.242.922.302.102.392.212.151.530.610.580.58
1.342.182.631.271.481.330.931.031.020.700.870.38-0.62-0.160.08

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
0.510.490.530.700.670.660.590.580.500.440.430.390.710.510.500.600.810.780.530.570.670.760.570.680.570.580.640.530.580.940.750.590.641.241.061.060.850.930.911.141.421.621.471.371.311.191.081.020.840.930.710.710.870.880.931.001.131.091.031.01-1.19
0.300.300.310.340.340.310.320.340.340.350.350.460.470.500.540.540.560.590.540.540.540.550.550.520.550.540.540.570.590.630.650.650.640.610.650.680.560.540.500.400.390.400.400.430.450.460.480.470.490.490.500.440.440.450.460.460.460.460.380.35-0.42
0.500.520.530.560.570.480.510.540.570.580.601.050.971.241.341.291.281.451.241.251.191.311.311.161.291.301.271.461.581.711.881.901.831.601.872.171.281.191.030.690.660.670.690.790.850.870.920.890.970.981.030.840.840.860.890.870.860.970.670.62-0.77
67.5567.8469.1869.2765.9467.1767.7968.1766.1264.9172.2171.5269.4772.4979.0274.8875.0671.4672.4372.8771.9364.7473.0771.7667.6067.2171.3771.6670.4869.0073.5173.9471.7274.7310664.8064.6249.8272.4963.7559.8052.6462.1159.7757.1751.2063.6964.0958.7660.5461.1463.7964.4559.3162.8367.3465.3360.35100.0077.87100.0080.39
35.1732.6438.2335.1329.7436.5840.4140.5339.4229.1140.7939.8639.9239.8246.0541.8142.9740.8242.9843.9141.5830.7343.8241.6235.8332.4943.8543.2641.3341.8643.8742.2838.0041.0431.6440.0039.1449.5535.8134.8935.8028.0029.8834.6027.6422.7624.0126.3916.8020.7622.0822.4610.233.4124.4927.4521.8020.75100.0026.96100.00-12.35
35.1732.6438.2335.1329.7436.5840.4140.5339.4229.1140.7939.8639.9239.8246.0541.8142.9740.8242.9843.9141.5830.7343.8241.6235.8332.4943.8543.2641.3341.8643.8742.2838.0041.0431.6440.0039.1449.5535.8134.8935.8028.0029.8834.6027.6422.7624.0126.3916.8020.7622.0822.4610.233.4124.4927.4521.8020.75100.0026.96100.00-12.35
--------------------------------------------------------------
33.1729.3535.0731.09-199.9742.5056.2947.0245.8736.7232.7333.0173.1740.4849.4642.2445.9829.0743.2941.8942.8932.4337.0943.2631.8928.2836.1042.6337.6136.1232.6830.2430.6944.6332.3128.2434.3421.7537.8734.1430.2223.402.2629.4023.1119.70-0.7520.8811.1513.8116.4518.7715.024.1718.0921.1217.3311.80100.0024.33100.007.15
25.1222.0227.0723.3641.7135.3052.2638.5434.7432.1025.4024.3060.6630.7339.7532.1035.4420.0232.1231.2336.6224.5627.3532.7724.9120.9456.7131.9729.2126.8923.8522.3322.6233.9418.9118.9023.6219.2225.6323.9522.0716.835.1021.1216.8314.521.0015.447.5410.3215.7013.9210.122.9014.3615.3413.508.5517.3017.9615.395.84
0.040.040.050.040.040.030.030.030.030.030.030.070.080.080.090.080.080.090.090.090.090.080.090.090.080.080.090.080.080.080.080.080.080.080.080.090.100.120.100.090.100.090.090.100.100.100.100.100.090.100.100.090.090.080.100.100.090.090.080.07-0.05
2.782.842.892.582.842.612.702.762.752.572.402.442.882.532.082.532.333.293.152.862.853.423.073.443.543.543.302.882.532.472.352.112.102.221.253.473.363.663.133.833.803.763.973.873.713.924.143.633.773.123.803.373.804.224.153.263.163.54-1.06-2.11
1.901.811.991.801.922.202.352.202.292.252.472.392.722.332.502.222.312.312.582.572.492.382.422.502.552.382.552.542.722.542.762.572.512.532.502.362.412.692.282.182.482.092.562.602.722.512.732.742.732.642.652.472.262.102.922.452.781.722.892.27-1.46
47.2949.6845.3249.9246.9640.8738.3840.9939.3240.0536.3737.5933.0838.5935.9840.5838.9738.9934.8835.0236.1937.8937.2135.9935.2837.8535.3335.4433.0935.4332.6635.0435.8135.5835.9838.0737.3933.4639.5441.2836.2943.1435.1034.6233.0835.8932.9432.8533.0234.0433.9536.4039.7642.8930.8536.7132.3452.3431.1539.63-61.81
2.011.772.381.853.232.023.202.362.161.741.524.9913.907.6511.217.898.515.889.448.5710.126.378.128.736.635.4115.429.169.008.568.407.436.9910.216.368.087.437.407.305.445.273.501.075.414.383.910.294.312.072.974.643.512.330.653.983.953.392.173.293.01-0.74
3.863.444.653.716.522.043.232.382.181.761.545.1914.498.0311.808.208.856.089.728.8010.406.568.388.976.845.5815.889.489.348.918.787.767.3010.606.658.527.717.687.545.575.393.581.095.564.514.030.304.472.153.094.843.652.420.674.154.113.542.263.393.11-0.77
1.090.951.260.961.671.091.691.211.090.870.761.785.042.503.472.512.701.742.982.743.301.982.542.952.111.714.932.622.462.222.021.791.722.791.551.752.242.332.462.242.211.470.442.071.611.420.101.560.711.011.531.300.860.231.411.481.210.731.421.33-0.30
1.421.241.631.222.121.392.181.561.421.140.982.707.413.805.163.623.752.444.383.984.692.853.644.173.002.487.173.943.693.162.922.642.513.942.222.553.293.413.633.263.202.110.643.072.412.120.152.291.051.512.311.981.310.362.172.121.831.182.041.95-0.43
35.1034.7833.7133.8632.7531.3832.1531.1529.8228.8629.0311.2810.959.328.208.467.957.657.787.957.697.337.297.657.157.086.856.125.435.194.784.894.935.04----------------------------
1.790.813.282.241.410.703.421.991.110.524.313.663.080.693.082.011.400.533.242.141.210.442.921.911.200.432.301.590.930.322.101.370.740.212.501.771.120.442.251.550.970.292.141.410.870.301.521.000.610.230.610.810.420.160.570.140.430.210.570.820.000.16
0.740.381.340.830.600.382.181.180.630.342.632.422.240.351.270.540.500.151.480.900.500.211.330.760.500.170.930.640.370.091.030.520.20-1.070.810.510.290.710.560.430.070.860.570.340.090.370.210.070.02-0.620.010.020.01-0.15-0.310.160.120.080.41-0.02