Caesars Entertainment Financial Ratios for Analysis 2011-2024 | CZR

Fifteen years of historical annual and quarterly financial ratios and margins for Caesars Entertainment (CZR).

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
2023202220212020201920182017201620152014201320122011
0.760.791.132.410.881.431.121.001.101.281.571.28-
0.720.770.750.740.680.800.700.730.760.840.690.74-
2.603.403.042.812.304.102.332.683.205.112.262.89-
56.9753.8955.3452.9850.8346.8947.2242.6940.0640.2643.8544.5937.42
21.4416.0715.26-10.5616.2215.086.409.8510.074.859.146.22-5.11
21.4416.0715.26-10.5616.2215.086.409.8510.074.859.146.22-5.11
35.3831.4532.1216.1225.8723.8316.5517.2917.3812.1416.3713.542.85
-0.52-5.22-13.26-44.274.946.57-2.934.186.20-3.477.64-0.39-11.33
6.82-8.31-10.65-48.433.204.624.962.7215.86-3.997.64-0.39-9.46
0.350.320.250.100.450.350.420.700.540.310.910.97-
10884.5810238.7769.0653.0246.3346.6836.7429.8844.6449.62-
18.9617.7120.2810.6146.8134.1732.3361.2872.1250.8876.2972.00-
19.2520.6118.0034.417.8010.6811.295.965.067.174.785.07-
17.54-13.97-21.71-34.537.259.237.798.2242.19-9.4525.00--
-7.674.388.6119.07-8.96-7.08-9.15-9.59-39.623.5234.36-2.45-
2.48-1.56-2.59-4.781.441.612.071.908.62-1.226.99-0.38-
4.89-3.19-5.40-9.102.351.812.342.2410.08-1.557.76-0.43-
21.8717.4721.2424.2014.4013.3312.266.345.783.271.63--
8.384.645.68-4.323.964.141.912.001.211.061.011.220.00
2.530.376.66-2.768.582.270.691.130.430.700.690.82-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-03-312012-12-312011-12-31
0.840.700.690.760.730.780.850.790.801.001.001.131.191.162.622.412.553.221.610.882.321.830.981.431.632.322.191.121.781.440.941.000.940.770.901.101.891.361.371.281.58-1.57-----
0.740.850.730.720.720.730.880.770.870.880.870.750.840.840.850.740.890.690.800.680.780.790.790.800.740.690.700.700.720.730.790.730.730.730.750.760.830.840.840.840.83-0.70-----
2.865.582.672.602.592.697.053.406.557.086.843.045.445.095.722.818.212.264.252.303.483.673.784.102.862.202.292.332.612.703.872.682.662.773.023.205.045.125.315.114.83-2.32-----
56.4756.8254.3454.5558.4857.6957.0357.8957.7457.4339.7547.4356.4261.3956.7053.0655.0952.7646.3041.7652.3454.8253.7140.8550.8650.0048.4747.5049.1047.0742.5542.1843.7942.9141.7340.0940.7140.6138.7137.3042.1343.9242.24-44.4837.87--
22.4117.8817.6918.9724.1821.1521.3117.3022.8321.34-0.444.7119.8123.5812.05-3.15-9.08-62.20-26.009.9418.8516.1019.4412.9018.8316.9512.316.9217.23-8.116.935.9211.6412.828.557.1313.1312.637.223.933.5210.972.72-11.159.69--
22.4117.8817.6918.9724.1821.1521.3117.3022.8321.34-0.444.7119.8123.5812.05-3.15-9.08-62.20-26.009.9418.8516.1019.4412.9018.8316.9512.316.9217.23-8.116.935.9211.6412.828.557.1313.1312.637.223.933.5210.972.72-11.159.69--
------------------------------------------------
1.81-3.25-4.63-1.424.640.90-6.54-5.532.113.12-24.35-21.50-11.814.04-27.68-30.22-54.05-105.51-45.03-1.358.304.617.651.2511.8410.075.21-0.408.94-22.710.670.066.427.252.4419.394.263.19-3.07-6.25-3.634.71-4.09-5.003.36--
-0.31-4.31-5.76-2.552.4731.96-4.81-5.251.80-4.36-29.67-16.75-8.682.84-23.60-35.02-64.17-78.74-37.21-2.225.582.976.01-0.057.748.064.7420.696.28-12.300.470.324.014.671.5859.172.942.63-3.68-6.67-5.154.71-4.09-5.003.36--
0.090.090.080.080.090.090.080.080.090.080.060.070.070.060.050.040.040.020.080.110.110.100.100.110.110.130.120.120.130.110.120.170.190.180.170.140.160.160.150.140.07-0.21-----
29.0927.1628.4527.9127.6222.9821.3320.1426.5225.5531.3932.4326.0023.5618.9316.9113.223.4514.8819.1517.8715.1414.1719.2915.6915.3814.9113.3814.5811.6510.2911.1911.8311.2910.999.5015.1915.6114.3614.226.21-10.28-----
6.135.184.984.655.395.475.214.625.715.715.095.496.136.335.534.633.752.8710.8310.9613.7710.619.6911.1611.6013.1213.059.3914.2717.1822.9214.5714.1615.9322.4018.6520.0721.4729.8623.078.77-15.92-----
14.6917.3618.0919.3716.6816.4417.2719.4915.7715.7617.6716.4014.6814.2116.2719.4224.0131.408.318.216.548.489.298.067.766.866.909.596.315.243.936.186.365.654.024.834.484.193.013.9010.27-5.65-----
0.21-2.27-3.10-1.191.9419.88-3.74-4.321.360.97-11.73-9.71-4.581.98-9.07-10.81-27.09-6.19-18.72-1.183.281.743.60-0.033.643.692.189.453.48-5.600.310.233.263.771.2340.703.443.17-4.22-7.15-2.48-------
-0.080.941.300.52-0.84-8.441.131.35-0.44-0.303.733.852.01-0.914.505.978.7239.9718.861.46-4.10-1.72-2.940.03-4.32-5.76-3.08-11.09-3.505.26-0.37-0.27-3.75-4.00-1.19-38.22-1.36-1.191.502.661.02--4.43-----
0.03-0.31-0.43-0.170.282.77-0.41-0.480.160.10-1.22-1.16-0.580.26-1.17-1.50-2.53-1.63-2.99-0.230.610.310.63-0.010.841.020.592.510.83-1.300.060.050.760.850.268.310.460.41-0.54-0.92-0.35--0.86-----
0.05-0.35-0.85-0.330.545.41-0.47-0.990.180.12-1.50-2.41-0.710.33-1.35-2.85-2.95-1.90-3.75-0.380.730.370.75-0.010.941.150.662.840.96-1.520.060.060.891.000.319.730.570.52-0.67-1.17-0.42--0.97-----
20.6320.8121.2421.8721.9521.7116.9117.4718.1417.3117.9421.2423.1424.2322.2624.2020.0516.4012.1214.4014.5314.0013.7313.3313.3912.8912.4112.2611.1210.776.396.346.306.085.865.783.383.253.153.273.53-------
3.562.470.378.386.024.410.814.642.180.54-1.155.684.553.180.29-4.32-1.34-1.010.383.963.291.620.834.143.371.901.001.910.920.050.112.001.511.020.231.210.440.41-0.181.060.780.290.270.001.150.000.000.00
-1.17-0.27-0.852.531.881.76-0.450.37-1.06-1.63-2.126.666.404.53--2.76-0.44-1.530.228.583.722.522.482.272.241.200.730.690.24-0.40-0.021.130.850.630.010.43-0.080.03-0.340.700.610.210.25-0.92---