Edgewell Personal Care Financial Ratios for Analysis 2009-2024 | EPC

Fifteen years of historical annual and quarterly financial ratios and margins for Edgewell Personal Care (EPC).

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
1.841.752.121.931.581.332.261.672.451.732.231.932.201.941.83
0.470.490.440.460.460.390.470.460.480.410.450.510.510.490.57
0.900.960.800.880.940.740.891.010.920.910.911.221.131.101.45
41.7840.5445.5745.1845.1546.2348.9949.1148.8949.3848.9846.8146.1947.5346.47
10.088.3911.499.03-15.249.63-0.0512.494.7410.1713.9014.9114.1516.3615.28
10.088.3911.499.03-15.249.63-0.0512.494.7410.1713.9014.9114.1516.3615.28
14.1412.5315.6713.58-10.8513.994.0616.419.5015.3819.8018.4618.0519.6418.54
6.565.717.054.48-18.237.33-2.309.31-18.955.588.3912.388.7412.7911.13
5.094.585.643.47-17.384.620.257.57-11.3713.6316.628.955.629.497.45
0.600.580.570.550.630.570.550.500.490.380.360.680.710.670.65
2.662.873.293.403.293.653.523.893.722.142.033.613.833.353.21
21.2015.8613.8512.2810.419.8610.269.068.655.285.106.756.555.154.94
17.2223.0126.3529.7335.0537.0035.5940.2942.1869.1771.6354.0855.7770.8673.92
7.456.787.444.72-28.555.920.339.77-15.884.676.3319.7612.4319.1916.90
-15.00-11.68-24.29-10.3257.96-12.83-0.73-18.3030.65-14.49-18.09-32.62-20.86-40.67-22.02
3.072.683.211.91-10.882.610.143.75-5.941.702.316.074.006.314.84
3.953.484.182.53-15.503.630.175.30-8.312.743.499.726.069.787.35
30.7428.4529.1426.3624.0532.2831.0931.5830.9840.8039.3733.6431.3329.8425.35
4.171.904.154.263.524.765.453.132.409.1411.929.615.879.257.75
3.220.853.123.392.533.714.571.961.067.9210.518.224.587.725.58

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
1.791.842.151.841.711.772.011.751.621.782.002.122.012.042.181.932.382.032.051.581.532.011.461.331.251.822.652.262.272.192.401.671.682.522.862.452.671.591.711.732.012.022.132.232.082.192.091.932.091.661.522.202.161.721.671.941.802.091.831.831.681.47
0.450.470.480.470.460.480.500.490.480.480.480.440.450.460.460.460.470.450.450.460.450.420.400.390.390.450.500.470.450.470.490.460.460.500.510.480.520.420.400.410.430.430.430.450.460.490.490.510.500.440.460.510.480.470.470.490.510.530.540.570.570.68
0.830.890.960.900.860.951.020.960.930.950.940.800.830.860.860.880.920.830.830.940.910.740.770.740.760.821.030.890.830.880.961.011.000.991.030.921.111.030.950.910.910.940.910.911.051.111.161.221.141.081.191.131.021.081.081.101.201.251.381.451.612.55
44.3243.0640.4442.8043.1240.4940.4240.9638.5742.0140.9945.2747.1246.5442.8545.4446.0246.4642.5343.5647.9645.8942.3342.9548.6149.5142.5647.1250.5350.6747.0150.7948.2450.9045.9548.0848.0651.3447.8152.2747.7047.8445.9547.0545.9248.4347.0946.1347.0446.9447.1245.5546.4245.5047.2046.6548.0747.8247.6143.8945.8946.98
12.7711.705.349.7513.269.496.8010.978.007.616.8611.8412.3912.119.228.458.9910.348.1710.59-79.5114.165.456.776.5116.777.75-43.0512.7816.4012.4513.729.3917.109.293.80-4.1012.928.886.3710.5615.5916.2517.0512.6614.2419.3015.9411.0813.2119.0613.2614.0812.3316.7210.0315.2017.0122.618.7813.9617.54
12.7711.705.349.7513.269.496.8010.978.007.616.8611.8412.3912.119.228.458.9910.348.1710.59-79.5114.165.456.776.5116.777.75-43.0512.7816.4012.4513.729.3917.109.293.80-4.1012.928.886.3710.5615.5916.2517.0512.6614.2419.3015.9411.0813.2119.0613.2614.0812.3316.7210.0315.2017.0122.618.7813.9617.54
--------------------------------------------------------------
9.657.841.236.2310.894.453.628.295.824.953.508.939.403.765.594.951.105.396.527.78-82.5211.651.664.373.4514.117.07-44.7510.2714.659.2610.455.2914.946.20-57.24-16.70-6.883.561.307.8012.7813.6314.999.5710.3115.8213.587.9010.2617.396.818.175.8913.816.9613.2613.7216.875.3611.2112.84
7.566.010.985.608.153.242.646.444.894.242.428.277.112.773.924.300.973.734.937.71-75.628.82-0.093.611.9510.711.43-26.278.6110.756.918.555.6910.814.79-39.19-10.77-13.5819.5713.015.719.279.699.867.857.7510.8810.236.257.0712.003.825.343.789.388.009.669.4610.683.447.298.75
0.170.160.130.140.170.160.120.140.170.140.120.150.160.150.130.140.140.160.140.150.180.140.120.140.160.150.110.130.140.130.110.130.130.120.100.110.100.100.080.090.160.150.160.160.160.160.180.170.170.170.180.180.180.160.180.170.170.150.190.180.160.16
0.790.690.560.620.740.660.520.710.930.740.670.860.840.780.770.850.810.820.710.830.850.760.720.930.930.830.770.900.920.820.760.971.000.780.750.870.560.480.440.510.950.890.980.920.950.850.990.920.890.850.991.000.930.760.910.850.890.771.040.910.770.65
4.184.594.355.035.353.723.813.924.022.983.003.603.832.662.703.082.722.492.482.572.522.182.792.372.752.352.562.522.041.962.122.342.092.102.062.001.331.451.181.322.222.322.402.221.941.751.741.691.631.601.251.691.271.231.231.281.281.211.281.331.191.20
21.5319.6120.7117.9016.8224.1823.6222.9522.3930.2029.9924.9723.4733.8133.3229.2433.1436.1036.3235.0535.6941.2932.2137.9332.7238.2335.1935.7044.1745.8142.3838.4343.0742.9243.6344.9667.8262.0576.4168.0540.4838.7737.4440.5746.3951.3251.6853.2755.1156.1771.7353.2970.9173.3673.4170.0570.2174.4670.5467.5475.6374.76
3.112.320.311.943.421.290.832.362.061.530.722.832.700.981.211.470.341.451.663.12-34.012.70-0.021.110.703.760.40-8.522.873.551.882.851.963.531.32-10.39-2.96-2.310.780.732.513.914.264.283.783.765.915.653.233.516.882.182.811.754.994.045.264.596.752.114.116.81
-6.91-4.85-0.63-3.91-6.89-2.38-1.47-4.06-3.53-2.73-1.36-9.26-7.16-2.32-2.81-3.21-0.96-3.80-4.26-6.3473.47-6.430.05-2.41-1.45-7.48-0.7819.13-5.98-6.79-3.22-5.35-3.90-6.94-2.3220.056.855.98-2.56-2.28-8.06-11.57-13.18-12.25-8.74-8.06-11.52-9.33-6.11-6.92-11.53-3.66-6.77-3.60-9.98-8.56-9.54-7.58-10.10-2.74-5.42-4.50
1.320.960.130.801.410.510.330.930.820.610.291.221.120.410.510.590.140.590.681.19-13.341.21-0.010.490.311.600.16-3.541.211.450.751.090.761.340.49-3.88-0.99-0.800.290.270.921.431.591.561.281.251.921.741.051.172.150.700.970.591.651.331.691.462.030.601.151.37
1.711.240.161.031.840.660.421.211.080.790.381.591.490.530.650.790.180.800.921.69-18.791.56-0.010.680.432.080.20-4.541.571.900.971.551.061.780.65-5.44-1.41-1.340.470.431.442.222.422.362.031.932.992.781.631.963.731.061.450.932.642.062.602.153.100.921.772.19
31.9231.2530.9030.7430.4829.4228.8528.4528.4528.6528.6429.1427.8126.9627.0026.3625.1824.8024.8324.0525.0232.9332.1432.2831.8132.0630.5831.0933.6232.2131.0331.5831.8031.5530.2930.9836.7638.0040.8740.8041.5440.8440.4639.3737.0236.2435.4033.6433.7333.9231.9831.3334.1532.0931.3529.8428.1827.5126.6625.3525.4919.36
3.141.12-1.444.173.250.04-1.661.901.36-0.73-1.444.152.81-0.34-1.514.262.170.32-0.863.521.82-0.59-0.864.763.351.14-0.435.452.350.26-0.893.130.07-1.21-0.982.420.381.28-0.519.156.073.660.8111.877.423.961.149.615.253.410.425.872.501.50-0.019.256.213.891.387.753.912.14
2.530.76-1.573.222.65-0.33-1.880.850.66-1.20-1.613.122.20-0.75-1.693.391.680.01-1.002.531.18-0.94-0.963.712.670.72-0.604.571.66-0.16-1.131.96-0.78-1.79-1.221.07-0.550.91-0.737.935.333.140.5410.466.513.370.908.224.392.920.404.581.660.98-0.277.725.183.211.055.582.260.86