Campbell Soup Financial Ratios for Analysis 2009-2024 | CPB

Fifteen years of historical annual and quarterly financial ratios and margins for Campbell Soup (CPB).

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
0.930.680.930.780.580.640.790.750.750.700.680.860.990.820.95
0.550.550.610.660.860.850.600.600.650.580.680.690.690.680.75
1.281.441.602.417.626.932.152.302.962.503.683.112.812.993.59
31.1730.6833.1634.5133.2235.8941.8436.7834.4235.9336.1639.1640.4341.0439.92
14.0213.5818.2312.7412.0815.2724.5212.0613.0415.3213.4116.1016.9717.5615.62
14.0213.5818.2312.7412.0815.2724.5212.0613.0415.3213.4116.1016.9717.5615.62
18.1617.5221.9716.5117.5821.8629.9615.9316.7919.0118.4719.7520.7220.8319.10
12.0611.3915.768.817.7112.5522.5510.6611.7413.8811.8614.6215.4016.1814.22
9.178.8411.8218.732.603.9515.207.078.2410.475.6910.7911.2710.819.54
0.780.720.720.700.620.460.761.021.001.020.971.101.041.221.25
4.994.766.076.546.274.783.765.355.335.215.566.115.556.255.53
17.6915.8314.2515.1114.1211.759.6512.7212.4912.3412.6812.9712.7614.9914.37
20.6423.0625.6224.1525.8431.0737.8328.7029.2229.5828.7828.1328.6224.3525.40
23.4222.7131.9623.0442.6352.7356.1736.7348.3748.2856.2080.6268.3490.85100
-24.91-19.69-24.79-12.42-7.50-11.76-58.19-29.92-30.66-38.60-32.26-44.94-47.89-56.30-43.26
7.126.378.594.793.614.9811.967.188.259.548.1711.0910.9213.4512.09
10.5110.3312.357.835.777.7322.3014.6317.0120.1218.1124.9521.2629.3724.59
12.2911.1510.448.513.694.565.474.984.445.123.882.883.432.762.13
3.803.913.394.594.634.324.204.793.852.843.213.513.473.083.29
2.573.112.493.613.362.973.093.712.691.822.172.502.672.202.32

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
2024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
0.621.010.970.930.920.770.760.680.690.850.800.930.940.910.850.780.840.610.600.580.620.700.690.640.680.640.770.790.760.780.780.750.860.830.800.750.820.730.740.700.690.680.630.680.840.780.780.860.930.891.040.991.000.790.860.820.681.000.930.950.890.88
0.600.540.550.550.560.530.540.550.540.580.590.610.630.630.640.660.670.660.840.860.860.860.850.850.850.540.570.600.600.610.590.600.600.630.640.650.620.600.580.580.590.620.630.680.690.720.730.690.610.630.670.690.690.680.640.680.580.690.700.750.630.65
1.831.171.251.281.331.271.401.441.401.501.561.601.742.062.192.412.592.336.677.627.507.406.966.936.982.002.052.152.282.352.252.302.202.522.912.962.392.572.542.502.463.013.593.683.243.834.053.112.172.402.562.812.903.502.792.992.272.583.043.592.292.61
30.9031.6031.2931.7229.9730.5432.3928.7431.2230.2932.2931.3431.6534.3634.7435.4434.5034.3233.8134.0433.5432.5032.9729.2532.7535.1436.2335.9435.8937.3638.6532.3735.2937.2134.2733.2035.8933.2635.2638.0134.3135.6935.8936.1635.9835.2537.2340.6138.7738.4039.5241.1340.3839.4041.1640.3841.2340.4641.9041.5640.6339.44
10.4712.9114.2213.1511.4014.0816.938.5613.8014.6216.8221.9413.7117.6019.707.9212.2016.1914.524.6612.5414.9614.8013.028.4111.1519.0726.4416.089.4420.75-2.1914.3318.8114.302.5415.0015.0917.2516.6814.8215.8314.0910.3313.1012.8116.6913.5114.5015.5819.259.8916.9316.8820.4412.3216.2018.1621.709.4916.9616.73
10.4712.9114.2213.1511.4014.0816.938.5613.8014.6216.8221.9413.7117.6019.707.9212.2016.1914.524.6612.5414.9614.8013.028.4111.1519.0726.4416.089.4420.75-2.1914.3318.8114.302.5415.0015.0917.2516.6814.8215.8314.0910.3313.1012.8116.6913.5114.5015.5819.259.8916.9316.8820.4412.3216.2018.1621.709.4916.9616.73
--------------------------------------------------------------
7.6811.0312.3110.889.3312.2715.156.2911.4612.5414.7119.4311.0415.2317.355.089.749.4410.86-0.067.9910.7710.728.836.189.6817.6825.0614.578.1519.48-3.8512.8317.5813.030.9513.5313.9716.1415.0613.3014.5612.708.5911.5211.3815.1911.1913.0114.3517.957.2715.6115.4219.0610.6114.7116.9520.477.9815.4215.55
5.618.279.298.177.189.3411.534.838.839.6011.6715.388.0610.7513.214.087.5155.877.60-0.454.30-2.728.814.24-20.9313.0712.7319.119.504.6513.26-4.809.8912.048.811.009.429.9411.009.999.3414.257.94-9.179.238.7911.1112.039.679.7112.179.7010.3111.2412.857.119.3211.8013.624.3210.3210.79
0.160.200.210.170.180.210.210.170.180.180.190.160.170.180.190.170.180.190.170.140.140.150.150.150.130.260.280.220.250.290.270.220.230.270.270.210.240.280.270.230.250.280.240.210.230.250.250.170.280.320.310.150.270.320.320.240.300.350.340.250.290.36
1.261.411.291.091.221.381.281.141.401.691.551.381.581.841.681.562.011.821.631.361.471.361.201.771.171.631.381.181.501.661.401.211.461.621.381.141.391.631.321.131.511.651.291.191.411.581.440.901.661.741.470.791.691.831.531.251.661.831.531.081.391.71
3.663.873.473.914.224.163.513.674.173.623.063.153.423.253.063.673.383.282.993.102.592.342.213.942.152.952.822.753.003.042.622.692.892.862.662.622.962.812.682.762.942.912.692.712.912.712.471.953.233.092.741.843.002.992.702.963.323.172.792.893.253.22
24.6223.2725.9523.0221.3221.6225.6224.5021.5924.8529.4228.5926.3127.7229.4224.5526.6227.4730.0629.0234.7038.4140.6722.8341.8430.4731.9032.7230.0229.6034.3733.4031.1931.4933.8734.3930.3631.9933.5332.5630.5630.8933.4233.1730.9233.2636.4146.0427.8729.1132.8248.8829.9830.1333.3630.3627.1228.3832.2731.1027.6527.91
3.405.276.234.614.466.448.562.885.546.328.069.135.548.3811.143.356.436.8413.53-0.459.9413.7712.726.855.1714.6216.2819.3311.816.8318.27-5.2811.0517.3913.761.2311.2914.6615.4411.4211.5016.3013.389.5012.7214.5520.979.4713.7616.7922.544.1117.3726.7925.2712.1615.3325.2431.839.4415.4022.08
-2.20-6.30-7.03-4.91-4.50-6.53-8.05-2.50-4.96-5.51-6.57-7.08-3.92-5.57-6.79-1.80-3.49-3.52-2.760.08-1.74-2.45-2.48-1.53-0.98-15.88-18.22-20.03-10.48-5.94-16.174.30-9.74-13.34-9.15-0.78-9.79-11.71-12.83-9.13-9.04-10.51-7.79-5.46-6.75-6.29-8.50-5.28-13.61-14.65-18.11-2.88-11.53-14.55-19.46-7.54-12.34-18.29-19.75-4.08-14.97-19.88
0.871.681.911.401.331.942.440.811.591.772.192.451.421.962.490.701.311.471.29-0.040.891.261.230.650.503.423.554.122.361.333.63-1.032.293.282.340.212.312.812.992.262.302.811.991.381.981.962.631.302.703.023.790.662.783.634.091.802.814.214.731.142.983.87
1.382.432.832.071.983.063.981.312.542.683.343.532.083.093.981.142.142.312.12-0.061.411.901.911.000.776.796.957.674.682.687.49-2.114.386.504.900.434.335.896.444.764.776.255.013.063.924.105.702.935.346.277.331.285.318.459.153.936.377.919.492.325.647.65
13.1412.9212.6112.2912.0412.0411.6011.1511.3211.1010.7210.449.889.659.158.518.558.274.143.694.114.254.704.564.696.485.615.474.904.855.214.985.424.934.554.445.104.855.135.125.104.484.283.884.213.693.502.884.033.783.673.433.362.763.312.763.243.032.782.133.262.95
2.992.290.583.803.052.430.753.913.652.530.953.392.892.000.594.593.702.180.604.633.802.800.764.323.402.190.624.223.302.160.714.813.892.420.783.853.111.860.592.842.411.150.123.212.731.580.263.512.641.490.233.472.661.45-0.093.082.511.44-0.103.292.301.17
1.741.410.102.572.201.920.503.113.052.100.722.492.271.570.353.612.981.630.283.362.992.230.402.972.661.750.433.112.671.770.563.733.191.940.562.692.371.430.421.821.850.81-0.042.172.091.240.142.502.091.190.122.672.271.26-0.152.202.011.16-0.232.321.800.89