Companhia Paranaense De Energia (COPEL) Financial Ratios for Analysis 2009-2024 | ELP

Fifteen years of historical annual and quarterly financial ratios and margins for Companhia Paranaense De Energia (COPEL) (ELP).

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
1.471.301.401.181.481.000.930.781.451.291.401.651.801.642.08
0.350.340.290.270.370.340.320.290.310.260.210.190.150.100.14
0.620.590.530.490.660.710.630.580.530.440.350.260.180.180.18
22.8022.8020.2828.3727.6022.9923.9521.8919.8919.7843.0828.8647.2149.5866.06
17.2013.3022.7122.8319.6416.0315.2715.6012.966.6112.1215.7416.7615.3223.98
17.2013.3022.7122.8319.6416.0315.2715.6012.966.6112.1215.7416.7615.3223.98
23.6419.2327.2228.2526.3821.0520.4921.0117.5511.1418.6922.1923.8823.1930.96
11.594.3321.3427.4816.6313.109.9311.2812.2113.3516.4111.4020.3720.0125.41
10.525.0720.6520.9512.259.427.377.328.109.6012.008.5215.1314.6418.27
0.380.440.480.400.420.420.420.430.510.540.400.400.410.390.41
94.9086.8896.6781.9990.1698.9196.4778.3490.0674.1337.5248.6439.5528.6620.24
3.543.673.473.103.943.983.414.453.834.605.425.735.685.945.28
10399.5810511892.5391.6510782.1195.2179.3567.3663.7064.2361.4969.12
8.835.4417.4018.9311.728.847.216.258.686.347.815.408.838.9412.29
16.4010.5929.7828.7818.3114.0112.3510.9015.007.539.266.3010.2910.5812.47
3.832.317.798.205.384.023.373.114.373.384.373.185.575.668.07
5.733.6012.3413.897.435.874.884.435.994.706.144.367.548.0310.51
8.127.487.517.188.158.178.887.948.14------
1.241.381.151.401.360.890.570.770.740.421.141.361.261.271.20
1.171.191.031.321.110.14-0.120.100.320.080.780.510.360.910.31

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
1.571.391.471.481.471.351.301.541.341.441.401.221.031.121.181.401.431.531.481.391.160.991.000.770.791.020.930.810.810.800.781.051.011.231.451.661.641.251.291.411.691.471.401.451.571.641.651.551.791.931.802.071.721.671.641.702.062.212.082.182.342.10
0.350.340.350.360.390.370.340.340.330.280.290.260.260.290.270.290.330.350.370.340.330.320.340.290.280.330.320.280.300.280.290.300.280.300.310.310.300.250.260.240.260.220.210.170.170.180.190.130.150.150.150.150.110.100.100.110.130.130.140.150.150.16
0.660.610.620.640.740.680.590.630.620.520.530.480.470.490.490.510.550.620.660.610.650.670.710.600.630.660.630.600.610.570.580.560.490.530.530.500.490.350.440.410.420.340.350.270.250.260.260.170.180.180.180.180.180.170.180.190.160.160.180.190.190.20
15.8417.6054.126.9212.6520.0738.8614.3618.8318.9320.3216.0926.6319.2432.7819.2232.3327.8446.7921.4718.9621.8948.1712.4616.8616.7941.6113.2814.9323.9431.046.1635.509.81-38.7427.9329.1543.00-31.2136.0833.9149.8226.0943.2354.8755.55-20.6648.5744.0256.4852.9545.8742.6347.2373.1730.2618.5044.9945.2752.2999.7058.01
17.3119.1125.718.1414.0121.95-5.0414.5322.7920.958.5535.9223.2120.9818.1620.5132.4220.8915.2722.2318.7222.3114.8513.8817.8417.648.3012.6616.4924.962.848.5437.0411.3629.841.8011.409.16-45.50-3.249.4125.99-2.7311.602.5019.7213.1014.8911.9812.04-5.0524.6619.2528.32-6.6452.7055.9415.7759.6523.25-15.4038.61
17.3119.1125.718.1414.0121.95-5.0414.5322.7920.958.5535.9223.2120.9818.1620.5132.4220.8915.2722.2318.7222.3114.8513.8817.8417.648.3012.6616.4924.962.848.5437.0411.3629.841.8011.409.16-45.50-3.249.4125.99-2.7311.602.5019.7213.1014.8911.9812.04-5.0524.6619.2528.32-6.6452.7055.9415.7759.6523.25-15.4038.61
--------------------------------------------------------------
12.0214.1619.632.329.4715.936.5110.79-16.9417.135.3334.3323.3820.6019.3621.6051.8018.6112.3619.0715.2419.7910.9610.9614.9315.563.508.738.2220.23-6.281.2340.506.2313.633.5111.4718.0410.5711.2711.7925.134.9517.9719.7325.25-9.5823.3110.9926.5010.1219.7121.0330.8420.2417.187.3222.0117.2724.6629.2227.55
8.629.8117.537.835.9311.3311.986.65-10.2011.895.0640.5417.5015.0821.6715.5234.4512.3312.9213.449.5312.7810.028.239.639.922.3510.524.4112.45-1.60-3.0026.884.3412.052.707.0410.245.316.696.8917.597.3212.1111.4516.76-4.3615.338.7415.528.6916.9413.8520.787.9212.2212.2514.9212.1221.3921.3720.04
0.100.100.090.100.100.100.110.110.110.110.130.140.110.110.110.100.110.110.110.120.100.110.100.120.100.100.120.110.100.110.120.100.120.110.100.110.140.150.130.110.120.130.100.100.090.110.110.100.100.090.100.110.100.100.110.180.210.110.120.100.120.11
28.7623.0813.3727.7621.6119.8017.3123.2620.6421.3725.4832.1121.2225.3121.2924.0820.9421.4317.2728.0624.8826.9215.5732.2826.9326.7120.2627.0822.3319.7618.6819.6316.7419.6328.5617.2120.5718.3534.6215.8114.9310.7812.419.637.977.9722.389.0510.039.259.038.767.957.488.007.097.417.822.087.627.846.75
0.930.920.840.940.880.890.920.930.880.810.911.060.840.820.860.910.991.021.031.121.001.060.931.090.980.920.930.860.931.021.200.991.190.820.740.871.171.371.061.311.341.611.321.641.141.381.571.381.361.221.411.331.301.521.682.282.761.311.521.341.591.42
96.7698.2910795.8210310197.5996.6610211198.4584.9610811010598.9891.2288.3587.5480.1990.4384.9996.6282.4891.5397.5596.4710496.7987.8474.9891.1875.7211012210476.7665.4984.9068.5966.9755.8068.0754.9179.1365.4457.4465.2466.0573.6363.9467.4569.4059.2953.4939.4932.5568.6459.2767.1456.7463.46
1.852.153.171.861.402.923.141.77-2.492.931.497.974.673.895.263.298.122.823.253.452.023.002.252.182.182.150.972.460.972.68-0.57-0.486.350.932.350.611.942.881.251.401.534.231.272.051.653.08-0.812.411.422.251.392.842.143.341.373.243.822.402.153.383.813.61
3.454.005.903.472.926.066.113.19-4.504.932.5513.277.096.018.004.8312.064.355.085.323.164.703.573.633.633.621.664.191.684.60-0.99-0.8210.601.604.060.682.253.361.481.671.825.021.512.451.933.60-0.952.801.662.611.623.342.503.921.623.313.902.452.193.433.863.67
0.820.961.380.780.571.201.330.76-1.061.330.673.502.021.612.281.483.601.331.491.670.961.401.021.031.021.010.451.160.471.34-0.28-0.253.350.471.180.310.981.480.670.760.832.340.711.210.981.83-0.481.550.911.440.881.811.372.140.872.162.591.631.412.202.462.28
1.191.432.061.180.851.832.071.18-1.672.121.065.873.442.773.862.345.471.842.062.271.352.061.491.561.571.440.661.760.691.92-0.40-0.344.590.641.620.421.362.160.921.061.133.311.001.711.362.54-0.662.081.221.921.182.431.903.011.232.893.322.081.842.873.233.05
--8.12---7.48---7.51---7.18---8.15---8.17---8.88---7.94-------------------------------
0.000.000.000.000.000.001.380.000.000.081.150.110.070.351.401.100.620.321.360.960.650.390.890.750.680.360.570.680.590.250.770.750.570.090.730.450.380.160.430.490.44-0.021.140.980.90-0.011.220.890.420.061.560.980.510.222.320.800.350.261.200.850.450.08
------1.19--0.071.030.100.070.321.321.010.560.281.110.790.520.330.140.190.250.08-0.120.250.270.130.100.210.25-0.010.310.090.04-0.040.080.230.44-0.180.780.780.78-0.020.460.280.00-0.170.440.380.100.081.660.10-0.130.050.320.210.06-0.06