Catalent Financial Ratios for Analysis 2011-2024 | CTLT

Fifteen years of historical annual and quarterly financial ratios and margins for Catalent (CTLT).

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
20242023202220212020201920182017201620152014201320122011
2.521.762.662.442.572.082.152.262.021.851.521.661.60-
0.570.480.470.430.460.560.710.740.740.751.161.181.15-
1.361.050.880.760.861.292.502.872.932.97-7.29-6.56-7.65-
21.7524.4033.6133.8231.7731.9730.5531.5431.7933.6132.7531.5832.9632.78
-17.10-3.8215.2020.7112.7310.8810.9211.2811.7914.2013.1811.3511.6812.15
-17.10-3.8215.2020.7112.7310.8810.9211.2811.7914.2013.1811.3511.6812.15
-5.626.2623.2228.2121.3320.5318.8218.6719.6522.7621.7720.8620.2020.34
-23.44-8.0212.0617.888.406.356.176.537.846.143.69-1.331.10-0.35
-23.81-6.0110.0613.235.595.243.395.296.0311.590.89-2.76-1.44-3.53
0.450.400.460.440.400.410.540.600.600.580.590.610.54-
5.974.154.544.706.526.668.187.688.149.159.129.869.57-
4.764.254.573.953.693.634.434.254.464.924.535.035.01-
76.7385.7979.8992.3998.8610082.3585.9781.9274.2480.6272.5872.86-
-28.94-5.5510.4514.947.628.157.6915.1817.4933.15-4.8112.41-5.16-
-242.56-43.2470.3862.37151-15.87-9.77-18.49-16.99-26.40-0.982.82-1.01-
-10.69-2.384.756.422.842.221.853.183.606.700.58-1.730.58-
-12.33-2.875.587.863.432.652.243.954.508.440.77-2.270.79-
19.9125.6226.6824.9921.5415.708.155.795.105.10-4.97-5.49-4.69-
1.481.402.472.552.891.702.812.361.231.422.341.841.171.33
-0.32-1.73-1.24-1.49-0.170.211.501.270.140.250.750.240.100.22

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-06-302011-06-30
2.512.522.512.481.701.761.841.912.862.662.892.853.592.442.442.462.562.571.901.982.062.082.182.082.052.152.182.222.912.262.382.641.712.021.962.001.961.851.791.841.641.521.521.65-----
0.580.570.580.570.530.480.480.460.470.470.470.480.490.430.440.440.450.460.510.550.560.560.570.580.590.710.720.730.670.740.760.770.750.740.750.750.760.750.800.790.781.161.181.18-----
1.391.361.381.361.291.051.030.990.890.880.900.940.980.760.790.800.830.861.141.251.301.291.351.411.492.502.602.732.032.873.193.443.152.933.103.083.152.974.023.933.61-7.29-6.75-6.56-----
17.6929.5221.3216.7017.2120.3817.3633.6825.2435.9033.2333.2831.6136.9534.7632.7129.4335.2931.4032.1926.7335.3332.1832.3326.9134.0630.5330.9125.7634.8831.4330.5828.0635.2928.8133.4428.7235.6234.0834.2529.9536.6233.4831.1828.77----
-6.558.15-1.58-10.94-73.93-11.94-22.6612.015.8717.0916.5813.2313.4621.0435.0413.949.6917.9213.2512.345.1815.1010.6612.553.7014.1111.5511.275.7715.7112.139.905.6117.087.1512.888.7517.4914.7313.6910.1619.4613.2910.108.47----
-6.558.15-1.58-10.94-73.93-11.94-22.6612.015.8717.0916.5813.2313.4621.0435.0413.949.6917.9213.2512.345.1815.1010.6612.553.7014.1111.5511.275.7715.7112.139.905.6117.087.1512.888.7517.4914.7313.6910.1619.4613.2910.108.47----
-------------------------------------------------
-11.442.92-8.01-17.77-81.16-16.78-27.199.920.2914.3713.839.4510.0518.6930.1011.967.9218.853.908.11-1.0210.956.908.23-2.4313.055.214.620.3511.226.525.561.0914.583.158.753.2412.299.409.24-8.2010.243.221.00-1.16----
-12.611.77-9.40-20.12-77.29-10.43-21.897.05-12.8211.087.648.2013.9720.618.458.1614.241.554.75-1.209.055.137.87-2.6112.073.03-3.610.7010.024.883.601.0410.942.446.752.8130.137.0510.20-4.665.231.48-4.360.36----
0.110.130.110.100.100.100.100.100.100.120.120.120.100.130.120.110.110.120.110.120.110.120.140.140.120.150.140.140.140.180.160.150.140.170.140.150.140.160.150.150.140.170.150.14-----
1.521.601.141.101.021.081.150.931.041.181.261.181.131.331.301.331.551.891.761.961.941.821.701.791.712.161.951.972.082.171.881.981.792.221.861.902.002.472.072.082.062.441.942.43-----
1.351.411.231.211.181.050.991.251.031.221.371.401.231.171.261.181.211.131.091.061.031.051.061.131.101.231.241.421.331.261.321.321.181.281.271.371.371.371.351.351.261.291.321.23-----
66.8663.7173.3274.0976.0785.4891.0471.7587.0973.5065.8964.4172.9776.6771.3676.2274.5679.6282.6884.9687.7385.9685.0479.6482.0972.9972.6463.5267.9371.3168.0368.1676.5970.1570.6265.6865.5765.7066.8266.4271.4869.9368.3773.11-----
-3.640.64-2.80-5.59-19.76-2.39-4.831.65-3.523.042.162.314.676.252.552.675.330.962.650.014.201.963.14-0.947.611.78-2.180.378.544.052.960.759.151.775.041.9624.216.589.38-4.04-7.26-2.004.61-----
-35.345.35-25.44-48.47-130.19-18.58-33.9812.42-23.7026.9630.038.8119.5132.1217.6825.79106-3.72-5.90-0.01-8.19-9.24-11.152.78-9.67-2.022.22-1.27-10.41-3.88-2.47-0.62-8.89-1.46-4.07-1.48-19.28-3.26-4.702.22-1.48-0.431.05-----
-1.330.24-1.02-2.06-7.57-1.02-2.100.73-1.601.370.950.912.012.651.071.031.990.300.730.001.140.711.10-0.321.830.42-0.500.101.790.790.550.151.880.351.010.384.891.041.52-0.690.870.26-0.62-----
-1.530.27-1.18-2.38-9.30-1.23-2.530.89-1.881.601.121.082.463.211.291.232.400.370.880.001.370.851.33-0.392.210.50-0.600.122.220.970.670.192.360.441.250.486.161.321.93-0.891.170.35-0.84-----
19.5719.9119.9520.3721.2225.6226.1327.2926.1126.6825.8625.0325.6124.9923.9122.4322.3521.5418.0415.8715.4315.7011.1210.7310.538.158.017.547.825.795.144.714.935.104.844.884.805.103.773.984.06-4.97-5.35-5.49-----
0.341.480.300.23-0.391.400.320.67-0.512.472.041.310.952.551.741.330.902.891.750.990.171.701.090.580.292.812.011.320.662.361.570.760.381.230.970.570.361.420.750.00-0.382.341.230.540.330.000.000.000.00
0.02-0.32-1.08-0.74-0.85-1.73-2.15-1.04-1.30-1.24-0.30-0.250.05-1.49-1.15-0.68--0.17-0.23-0.04-0.330.210.210.020.021.501.150.710.321.270.880.340.160.140.11-0.090.090.25-0.11-0.56-0.670.750.420.020.09----