Corpay Financial Ratios for Analysis 2009-2024 | CPAY

Fifteen years of historical annual and quarterly financial ratios and margins for Corpay (CPAY).

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
1.041.011.041.001.030.860.870.770.870.740.711.051.001.341.08
0.580.650.610.480.470.450.440.450.420.450.280.350.260.330.41
1.652.261.701.071.101.181.011.060.821.110.910.690.520.520.74
100.00100.00100.00100.00100.00100.0094.9794.3093.6491.9792.3991.7290.1588.6988.79
44.0942.2143.8540.7046.4944.8239.2941.1839.2047.1446.9945.9243.5639.3041.25
44.0942.2143.8540.7046.4944.8239.2941.1839.2047.1446.9945.9243.5639.3041.25
53.2451.8454.1251.6457.0356.3251.3652.6950.9856.5955.1153.2850.5247.0849.34
35.2637.2239.1336.9440.6945.0039.7235.1031.4842.7745.0843.9340.5934.8736.61
26.1327.8529.6329.4833.7933.3532.9024.7021.2830.7431.7830.5628.3624.5320.69
0.240.240.210.210.220.220.200.190.220.140.230.260.220.290.29
---------------
1.081.020.971.161.041.051.011.021.360.890.970.860.681.072.17
337357375316350347362357269410376425535340169
29.9137.5529.2920.9924.1224.2920.1314.6712.8114.0822.8723.6618.1617.2462.10
-22.07-19.92-18.46-20.24-25.84-22.48-19.66-12.02-12.50-10.59-24.11-45.36-43.99-63.62-28.39
6.346.776.266.297.317.246.544.704.594.337.247.946.277.277.36
12.4613.1411.4610.9112.7813.3311.258.077.417.7016.5515.4513.5211.4811.09
45.7734.6536.3440.1043.4938.9140.9433.5830.6428.5715.0811.289.917.8613.93
28.259.8214.2416.9812.909.807.277.448.026.994.441.583.341.732.27
26.187.8512.9116.0812.078.926.526.827.576.684.191.363.181.592.14

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
1.051.021.071.041.021.081.031.010.991.061.011.040.971.060.991.000.950.960.931.031.120.920.910.860.920.880.910.870.840.840.820.770.780.970.920.870.830.810.770.740.780.750.770.710.931.081.061.050.971.061.031.001.301.391.371.34----
0.630.630.600.580.600.590.620.650.680.640.600.610.540.520.480.480.520.520.540.470.460.410.430.450.440.450.420.440.460.410.420.450.450.390.400.420.410.420.430.450.220.230.250.280.290.320.330.350.210.230.240.260.270.290.320.33----
2.072.131.631.651.831.691.912.262.581.961.691.701.451.171.071.071.301.281.551.100.890.951.011.180.991.110.941.011.090.910.961.061.030.690.740.820.820.891.011.110.620.710.730.910.630.600.630.690.490.440.510.520.390.420.490.52----
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0095.0195.2194.3495.3195.0394.1894.6693.1893.6292.9794.6393.4391.1691.5392.5793.0693.0492.4791.1592.8491.3193.0889.7392.8989.5290.0688.9192.5491.1087.7287.2188.88-
45.4944.4142.4845.2445.8343.5241.6341.7943.5843.0240.2642.4244.8344.5943.7047.6145.2040.5230.4045.9048.3345.9545.7044.2545.3745.2644.4239.3540.2639.9237.4841.9439.4440.9642.4733.9441.7441.8139.3545.8348.8449.1744.9541.5149.4149.3848.6745.9845.9247.4044.1138.6945.9944.6245.4822.2743.9445.3745.20-
45.4944.4142.4845.2445.8343.5241.6341.7943.5843.0240.2642.4244.8344.5943.7047.6145.2040.5230.4045.9048.3345.9545.7044.2545.3745.2644.4239.3540.2639.9237.4841.9439.4440.9642.4733.9441.7441.8139.3545.8348.8449.1744.9541.5149.4149.3848.6745.9845.9247.4044.1138.6945.9944.6245.4822.2743.9445.3745.20-
------------------------------------------------------------
34.8134.2532.6435.5838.1234.4432.7133.6638.0639.9037.3437.7040.7939.3438.7242.6340.2240.3026.0642.7242.9939.7636.8761.7138.3439.5239.1734.1556.6735.1832.1629.8035.1438.8537.8819.9036.6235.9133.5637.2546.2546.7842.5939.1747.8147.6946.7444.0144.1845.8041.2736.2344.0440.1142.4818.9139.5940.5140.11-
26.8625.7924.5727.3027.9625.2823.8425.5027.8730.4427.6228.0530.9729.4130.2733.9932.2630.1822.2533.7033.1640.4327.6846.9425.4530.2329.8846.3435.1024.2023.7718.5326.7627.8226.8212.2725.8624.3922.6229.0832.3432.3829.5826.6634.9233.1033.3929.6531.9131.6628.7926.9530.1927.3629.1316.4425.8622.6422.00-
0.060.060.060.060.060.060.060.060.060.060.060.060.060.050.050.060.050.050.060.060.060.050.050.060.050.050.050.050.050.050.050.050.050.050.050.050.050.050.050.040.070.060.060.070.060.070.070.070.070.070.060.060.080.080.070.07----
------------------------------------------------------------
0.260.260.250.270.240.260.250.260.240.210.210.280.240.240.240.300.260.270.310.280.250.240.240.280.230.220.230.270.260.250.260.290.240.260.290.340.320.260.290.280.270.250.240.280.210.210.190.250.200.200.160.180.240.240.210.26----
346352365333376352365341370423427327378376371301345331294327356376376323398409387329350361352313370349311262278350314322338366381325422420470366450456579489382369432341----
8.879.077.007.798.877.357.458.8711.189.757.507.857.375.635.596.256.435.345.266.355.796.814.879.044.435.144.507.695.913.853.703.094.083.773.721.873.943.393.394.186.136.005.505.486.706.966.586.575.765.784.774.655.325.154.842.80----
-5.56-5.32-5.19-5.75-5.83-5.55-4.58-4.70-4.97-5.69-4.75-4.95-5.45-5.12-5.34-6.03-4.98-4.24-3.72-6.80-7.23-7.94-5.10-8.37-4.65-4.87-4.94-7.51-4.96-3.89-3.51-2.53-3.44-4.49-4.07-1.82-3.87-3.09-2.81-3.15-11.06-9.36-7.11-5.77-11.04-15.88-13.13-12.60-16.83-22.43-16.58-11.28-35.20-48.72-25.99-10.33----
1.571.551.451.651.781.581.471.601.721.781.531.681.741.511.611.871.701.491.301.921.902.181.492.701.381.541.502.501.791.301.240.991.311.411.390.671.411.151.111.292.262.081.861.732.262.432.242.212.102.171.641.612.332.271.991.18----
3.293.312.823.253.533.022.833.103.573.522.983.073.362.722.893.253.102.572.433.363.134.012.764.962.492.822.594.303.192.262.131.702.262.282.211.082.311.971.912.294.794.604.113.964.764.764.384.294.544.433.633.473.883.683.281.86----
44.6939.9945.9345.7742.3744.1339.0434.6530.2135.3937.5536.3439.1042.2439.5640.1035.2335.2933.3843.4944.9544.4140.9738.9140.1838.9143.3840.9438.3037.0736.2233.5834.2633.3132.2830.6432.1531.6230.2928.5718.6017.7716.4715.0814.2912.8512.0811.2812.2711.2810.659.919.388.898.357.86----
18.2212.464.7628.2518.5614.6511.789.825.800.53-1.4214.247.164.180.9116.9814.089.274.7612.908.746.103.339.806.032.972.157.274.642.200.787.444.242.231.298.025.572.110.726.993.691.840.604.442.450.98-0.161.580.38-0.43-1.343.340.840.03-0.111.731.320.650.530.00
16.3711.274.2026.1816.9913.6011.297.854.38-0.32-1.8112.916.273.640.6816.0813.448.844.5612.078.205.753.178.925.422.591.996.524.111.860.626.823.801.971.177.575.261.940.636.683.471.700.544.192.270.86-0.221.360.23-0.53-1.383.180.74-0.04-0.141.591.230.590.51-