Chesapeake Utilities Financial Ratios for Analysis 2009-2024 | CPK

Fifteen years of historical annual and quarterly financial ratios and margins for Chesapeake Utilities (CPK).

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
0.480.530.450.410.320.360.430.420.400.630.570.620.810.690.68
0.490.410.420.420.440.380.290.230.290.350.300.280.310.280.32
1.110.961.021.001.311.200.940.800.930.850.840.670.640.720.78
67.7261.7367.2071.7567.7961.2261.7152.2852.0944.2544.9045.6440.9438.8840.37
22.4921.0023.0023.0922.1619.3419.9617.2416.9312.4814.1214.4312.8512.1512.55
22.4921.0023.0023.0922.1619.3419.9617.2416.9312.4814.1214.4312.8512.1512.55
34.0332.7535.7936.9633.5629.4129.9025.1524.9820.4620.8921.5818.8917.5017.90
17.1918.1619.7719.2917.1415.9316.6814.6414.8212.0412.3512.2710.9110.059.98
13.0113.1914.6414.6513.5811.5412.938.968.967.247.387.356.616.095.91
0.200.310.270.250.270.290.320.410.430.550.530.530.590.640.44
7.419.928.9112.0512.9911.248.4621.5821.1125.4015.9615.8617.0121.8514.50
8.8710.407.517.006.897.094.895.826.966.925.706.715.004.513.71
41.1635.0848.6352.1752.9851.4774.6862.7052.4252.7664.0054.3973.0080.9598.30
7.0010.7810.7810.1310.8810.9912.4110.0111.4912.0211.7611.2511.4711.527.58
12.0911.6811.6510.8711.7311.5513.0610.4112.0512.3212.0811.5611.8313.929.26
2.644.053.953.663.433.364.263.633.853.993.913.933.903.882.58
3.586.366.305.866.106.838.827.668.117.878.278.057.878.255.15
56.0446.9443.8539.9234.2331.6529.7527.3623.4520.5919.2817.8216.7815.8414.89
11.048.928.549.486.267.156.726.676.925.055.014.594.914.254.11
0.971.94-2.010.09-4.95-7.44-3.94-4.20-2.56-0.49-1.65-0.271.731.091.72

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
0.380.460.480.480.540.650.530.510.500.550.450.380.340.410.410.330.230.280.320.260.240.300.360.300.300.370.430.440.380.370.420.390.310.370.400.370.390.610.630.520.570.560.570.500.530.610.620.660.700.800.810.830.880.740.690.660.650.700.680.840.930.98
0.480.480.490.430.430.430.410.420.420.430.420.400.400.410.420.460.420.430.440.410.340.340.380.320.320.310.290.300.300.230.230.250.270.280.290.310.310.330.350.360.360.290.300.280.290.270.280.300.300.310.310.330.330.270.280.310.300.310.320.400.400.40
1.091.071.110.900.880.900.960.950.910.941.020.950.920.931.001.221.231.221.311.241.201.171.201.020.960.910.940.900.780.760.800.710.890.880.930.830.740.740.850.830.760.720.840.770.710.590.670.590.520.540.640.640.550.590.720.670.610.620.780.800.730.79
76.1666.9570.3271.8073.6059.3961.5666.2766.2256.4063.4774.5075.9661.1470.6778.4076.3465.3767.3672.6673.3762.0337966.8049.2238.1458447.3348.3045.4549.4551.2456.4552.8856.8155.2655.3445.6947.3449.8247.1537.9444.7848.7145.9541.9445.1349.2148.4041.8943.0742.7943.2237.0538.4841.8143.7835.1740.9454.6149.8831.83
24.5332.3925.5315.3820.9125.1822.9314.2318.9824.6222.9618.7420.3326.9925.6917.1618.5227.5922.4615.5019.2127.5013513.799.6916.8820811.5311.2418.9616.719.3715.3824.8715.4611.8714.2122.0510.318.5010.4116.9714.9010.089.7218.8716.939.6812.4616.6014.906.948.9616.9412.055.999.6916.5713.807.116.9915.28
24.5332.3925.5315.3820.9125.1822.9314.2318.9824.6222.9618.7420.3326.9925.6917.1618.5227.5922.4615.5019.2127.5013513.799.6916.8820811.5311.2418.9616.719.3715.3824.8715.4611.8714.2122.0510.318.5010.4116.9714.9010.089.7218.8716.939.6812.4616.6014.906.948.9616.9412.055.999.6916.5713.807.116.9915.28
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15.0925.5417.299.9416.3821.9919.5410.2016.6522.6319.5714.4117.0824.5121.2512.6013.0325.9617.349.2913.0023.951139.126.6615.381788.797.9817.1013.256.8412.8123.0313.289.2011.3420.6913.915.758.5215.8213.147.857.6117.6015.086.789.9714.8712.844.786.5515.4910.153.186.8015.1111.422.183.1713.74
10.9918.7913.677.1511.9016.6613.967.3712.2316.5714.1611.6212.4418.0316.319.1311.2918.9517.106.078.7817.8685.185.934.6711.222095.384.8310.348.364.087.8513.928.245.576.7912.418.393.475.119.497.884.484.6310.579.004.126.038.877.652.974.059.386.042.134.179.126.750.971.978.22
0.050.070.060.060.060.100.080.060.070.110.080.050.060.100.070.050.050.090.070.050.060.100.010.060.090.170.010.090.100.150.120.100.090.140.100.090.100.190.130.110.120.220.150.110.120.190.150.110.120.170.150.120.130.220.180.120.140.260.150.090.120.29
1.512.901.881.511.473.402.742.142.274.862.792.012.126.133.512.262.464.913.622.431.954.07-3.452.546.0912.39-2.973.734.4211.116.506.635.367.114.334.924.9010.315.794.475.2011.784.424.105.239.274.474.164.706.794.084.084.909.566.063.914.5110.494.902.093.5114.73
2.603.602.452.612.913.502.862.462.663.532.111.872.242.951.961.581.722.521.902.031.581.930.301.522.283.240.141.602.252.581.661.802.082.411.591.962.072.741.672.022.242.321.581.411.412.241.871.561.761.621.241.070.971.581.241.251.672.781.271.011.262.36
34.6625.0136.7234.4430.9825.7131.4436.5233.8725.5142.6248.0440.2530.5345.8256.9352.4235.6847.4744.3157.0146.6429859.1539.4127.7666456.3839.9534.8854.3650.0743.3137.3456.7745.8243.4932.8453.9144.5740.1738.7957.0563.7563.9940.2248.0757.6551.0955.5172.3684.3093.0756.9272.4772.0853.8832.4071.0389.0871.4038.08
1.423.602.031.091.874.233.141.192.094.592.931.661.864.743.111.501.804.973.051.151.645.303.401.201.265.325.821.471.314.152.661.012.125.442.411.451.796.643.361.071.736.033.471.441.625.553.841.292.024.323.311.011.485.803.140.731.506.322.950.240.626.60
2.386.103.511.172.014.573.401.282.254.943.171.771.995.073.331.621.935.343.291.201.745.633.581.261.325.616.131.561.364.312.761.052.225.702.521.531.896.803.451.101.786.193.571.481.675.713.951.322.084.453.411.211.776.943.800.891.817.653.600.240.626.64
0.541.390.770.420.731.651.180.450.811.751.070.620.701.761.120.490.591.620.960.360.531.711.040.400.441.882.000.510.481.550.970.390.731.880.810.510.652.311.120.380.632.101.160.490.562.011.340.460.741.551.120.360.532.091.060.270.572.341.010.090.232.39
0.741.871.040.621.072.401.850.691.222.631.720.991.112.791.800.821.042.841.710.681.093.472.110.810.853.694.141.030.913.202.030.761.533.901.701.011.244.442.200.691.114.312.441.031.164.032.750.901.412.992.270.680.994.212.250.511.044.362.010.140.373.97
57.4957.5256.0448.7048.5648.2646.9445.9145.9945.4643.8542.7042.2141.4639.9236.9436.0335.5534.2333.2133.1933.1631.6531.0331.0130.8829.7528.3828.2528.2227.3626.8924.7824.4523.4523.1523.0421.7220.5920.3220.3320.1819.2818.6818.6518.5717.8217.4117.4117.2716.7816.5616.5916.5515.8415.5915.6715.6214.8912.4912.6212.69
7.494.3611.0410.278.354.588.927.636.953.898.548.657.624.589.486.985.553.576.266.324.532.467.157.796.604.066.726.005.883.666.675.565.062.886.926.145.264.255.054.454.013.175.014.563.722.424.594.444.182.384.913.644.152.374.253.853.983.254.114.594.542.98
0.500.990.972.713.402.231.942.333.492.22-2.010.301.711.640.09-0.190.801.68-4.95-2.13-0.95-0.16-7.44-2.61-1.100.23-3.94-1.900.481.09-4.20-1.540.320.42-2.56-0.211.512.53-0.49-0.251.111.90-1.65-0.140.891.29-0.271.061.971.521.731.402.711.811.092.013.032.821.722.693.382.58