Capstone Copper Financial Ratios for Analysis 2009-2024 | CSFFF

Fifteen years of historical annual and quarterly financial ratios and margins for Capstone Copper (CSFFF).

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
1.131.391.571.682.232.014.172.963.491.661.9919.3016.932.541.93
0.240.16-0.170.190.200.230.280.250.130.16--0.050.09
0.340.200.000.210.240.250.300.400.340.210.24--0.060.10
24.2729.5857.5336.0828.4134.7337.1635.9218.9236.9039.6858.5063.5361.4557.84
2.4510.8233.208.223.3913.8016.819.09-61.827.686.5731.5430.9539.9534.17
2.4510.8233.208.223.3913.8016.819.09-61.827.686.5731.5430.9539.9534.17
18.6423.4242.8526.5323.2530.6734.6428.45-36.0027.7427.2246.2057.4856.0153.04
-6.7614.9542.005.68-1.039.7614.23-35.51-64.342.291.8629.0530.5039.68-13.47
-7.569.4328.542.77-3.83-5.4512.83-26.45-48.20-3.41-2.8219.5118.4326.50-8.35
0.230.240.460.330.310.310.310.380.270.360.170.200.230.430.40
6.816.485.374.986.264.083.034.393.914.751.402.762.471.572.08
9.136.7527.9017.0014.6618.6710.9810.9615.5633.3710.736.5922.7316.7131.60
39.9654.0413.0821.4724.8919.5533.2333.2923.4510.9434.0155.4016.0621.8411.55
-4.074.2824.881.391.250.875.02-24.11-24.93-1.751.555.724.0919.23-6.42
-4.074.2824.881.391.250.875.02-24.11-24.93-1.751.555.724.0919.23-6.42
-2.122.5314.630.890.820.553.18-14.15-16.05-1.211.065.153.6811.49-3.33
-3.093.6024.881.151.010.693.85-17.26-18.60-1.531.305.724.0918.18-5.82
4.404.602.462.172.182.132.232.112.643.34-----
0.170.141.340.370.240.330.290.330.070.500.210.290.290.000.00
-0.81-0.801.010.12-0.010.090.100.13-0.310.28-0.07-0.02-0.19--

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
0.941.031.131.241.421.301.391.651.491.261.571.511.741.281.682.092.081.832.232.412.642.222.012.552.942.944.173.173.162.692.964.143.913.473.493.854.073.421.661.932.061.911.9912.6621.1319.9619.3015.0415.8614.6816.9312.897.933.862.542.842.772.301.933.003.802.18
0.180.190.240.230.210.180.160.140.120.09----0.170.200.220.200.190.190.190.200.200.210.230.230.230.260.260.270.280.260.260.260.250.240.190.190.130.140.140.140.160.000.00---------0.050.070.080.090.090.120.120.27
0.260.260.340.310.270.230.200.170.150.120.00---0.210.250.290.260.240.240.230.250.250.260.300.310.300.350.350.370.400.350.350.340.340.310.240.240.210.230.230.240.240.000.00---------0.060.080.080.090.100.130.130.38
37.8126.6427.9823.3617.4528.0132.8011.6425.0951.9158.5251.2260.5458.5251.7938.8034.001.0924.0821.1024.1442.9533.2130.0440.0436.0745.7837.9234.2827.6948.1640.8321.1126.4217.588.3223.0827.2029.1340.0544.7736.3026.5448.7947.5950.3659.3553.6759.1359.3455.4661.5166.8865.5156.8360.5059.4166.9454.2260.2561.5455.22
15.141.392.951.00-1.877.6111.47-6.8211.5529.31-11.4534.4337.7374.7823.7212.898.27-33.15-2.25-7.780.0021.3111.438.9818.8316.3526.9715.1415.946.4926.7914.35-6.41-7.30-23.07-202.25-5.12-4.32-14.869.1722.205.343.315.7912.569.3636.3625.2233.1337.6430.7225.9136.4334.3836.5536.5539.9045.7330.4734.9839.5532.38
15.141.392.951.00-1.877.6111.47-6.8211.5529.31-11.4534.4337.7374.7823.7212.898.27-33.15-2.25-7.780.0021.3111.438.9818.8316.3526.9715.1415.946.4926.7914.35-6.41-7.30-23.07-202.25-5.12-4.32-14.869.1722.205.343.315.7912.569.3636.3625.2233.1337.6430.7225.9136.4334.3836.5536.5539.9045.7330.4734.9839.5532.38
--------------------------------------------------------------
12.080.29-6.310.99-9.79-11.67-16.3520.8337.2220.8126.4531.8435.1673.7021.608.927.39-36.42-6.72-13.38-3.2216.608.434.1214.9612.0834.2414.3116.02-13.37-110.7110.24-11.95-7.81-25.01-201.40-3.86-15.20-22.055.8118.482.09-10.84-4.5325.5616.8635.4919.6730.7031.0517.2437.0433.0630.1820.2210.4410530.63-36.85-20.1061.45-41.99
7.47-1.42-3.47-10.21-10.93-5.96-5.8011.0321.0612.6819.1821.1823.5949.4818.671.774.14-30.9211.82-12.75-24.047.66-39.631.377.556.7223.3817.1614.62-7.64-76.928.06-13.18-10.08-20.92-148.601.26-16.48-24.66-0.0710.55-2.55-15.28-5.5016.1412.0125.5214.0418.1720.917.4723.4021.1918.3317.546.2371.6417.29-34.17-14.6559.92-29.77
0.060.060.060.060.060.060.070.060.070.050.120.100.130.140.110.100.080.050.090.060.090.080.070.080.070.070.090.080.060.070.120.090.070.080.060.070.060.060.080.100.090.090.070.050.040.040.050.060.050.050.050.070.050.170.080.140.110.140.090.140.090.12
1.451.621.701.691.951.551.731.921.990.951.431.441.661.611.231.591.181.201.800.981.500.850.981.370.981.260.770.770.600.851.090.940.991.330.871.250.770.711.221.050.710.800.700.980.620.510.641.040.550.520.520.660.290.480.310.770.460.420.530.820.370.71
2.642.042.402.272.081.851.892.622.940.607.588.7921.007.615.555.304.225.193.985.475.975.094.402.684.132.773.232.461.872.573.384.203.316.373.416.454.073.877.105.653.497.224.423.621.111.471.561.831.901.834.554.652.894.822.925.325.976.137.433.491.931.85
34.1144.1137.4839.6243.2548.6047.6934.3230.6215011.8810.244.2911.8316.2216.9921.3517.3522.6216.4615.0717.6820.4633.5221.7732.5327.8836.6148.2335.0526.6621.4227.2014.1326.4213.9622.1223.2812.6815.9425.8012.4720.3624.8681.0561.4157.5649.0847.3149.1419.7819.3431.1818.6830.8116.9015.0914.6812.1225.8046.6348.57
0.82-0.17-0.64-1.37-1.08-0.92-0.891.172.871.124.073.605.2814.413.110.270.51-2.581.54-1.16-0.531.39-1.780.460.921.164.221.051.37-1.61-22.281.12-1.36-1.28-1.93-20.990.11-1.39-2.69-0.011.37-0.32-1.59-0.320.710.511.360.970.961.200.381.731.244.562.231.4513.434.35-6.17-3.549.32-8.19
0.82-0.17-0.64-1.37-1.08-0.92-0.891.172.871.124.073.605.2814.413.110.270.51-2.581.54-1.16-0.531.39-1.780.460.921.164.221.051.37-1.61-22.281.12-1.36-1.28-1.93-20.990.11-1.39-2.69-0.011.37-0.32-1.59-0.320.710.511.360.970.961.200.381.731.244.562.231.4513.434.35-6.17-3.549.32-8.19
0.45-0.10-0.33-0.73-0.60-0.53-0.530.711.740.642.402.143.128.791.990.170.31-1.671.01-0.77-0.360.89-1.130.300.580.742.670.640.84-0.96-13.070.72-0.87-0.82-1.24-13.390.07-0.94-1.86-0.010.95-0.22-1.10-0.290.640.461.220.870.871.070.351.551.073.121.330.888.112.42-3.20-1.995.44-3.56
0.67-0.14-0.48-1.06-0.86-0.75-0.751.012.531.024.073.605.2814.412.580.210.39-2.061.24-0.94-0.431.11-1.420.360.710.893.230.781.02-1.17-15.950.83-1.01-0.95-1.44-15.970.09-1.12-2.35-0.011.17-0.27-1.34-0.320.700.511.360.970.961.200.381.731.244.562.101.3412.413.97-5.59-3.128.22-5.95
4.444.414.404.454.514.564.604.654.644.552.462.352.272.152.172.132.132.122.182.142.172.162.132.232.232.222.232.162.152.092.112.582.552.592.642.69--3.34-----------------------
0.190.060.170.080.000.010.140.090.07-0.021.341.100.940.530.370.200.130.020.240.180.150.070.330.200.160.080.290.170.070.060.330.190.090.080.070.050.01-0.020.500.470.170.110.280.210.110.050.290.190.120.050.180.000.000.000.000.000.000.000.000.000.000.00
-0.09-0.07-0.81-0.68-0.45-0.24-0.80-0.52-0.25-0.121.010.870.780.480.120.030.02-0.05-0.01-0.010.020.020.090.020.030.020.100.04-0.020.010.130.05-0.010.03-0.31-0.23-0.19-0.140.280.280.110.05-0.09-0.04-0.04-0.01-0.02-0.01-0.010.00-0.12-----------