Enterprise Products Partners Financial Ratios for Analysis 2009-2024 | EPD

Fifteen years of historical annual and quarterly financial ratios and margins for Enterprise Products Partners (EPD).

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
0.930.861.141.100.860.850.700.790.600.700.850.750.820.940.93
0.490.490.520.530.500.500.490.490.500.490.510.520.530.530.54
1.001.021.121.181.071.081.081.061.101.081.121.221.191.141.19
13.4711.4914.0417.7517.4714.0612.6014.6812.437.787.317.556.766.797.62
13.9411.8714.9618.5118.5414.8013.4415.5513.107.877.267.306.456.367.27
13.9411.8714.9618.5118.5414.8013.4415.5513.107.877.267.306.456.367.27
18.6515.7320.2027.2224.4819.7119.0622.2918.7110.719.829.908.729.2810.55
11.479.7911.8213.8314.4311.779.8511.199.465.965.585.664.774.184.57
11.129.4311.3613.8813.9211.369.5210.929.335.815.445.684.620.950.80
0.700.850.600.420.530.640.540.440.551.021.191.191.301.080.92
12.8320.1713.086.7712.9420.6315.8811.0922.8043.6040.4736.1737.1727.7333.10
6.408.345.845.666.729.976.716.9110.5112.538.719.789.758.798.13
57.0643.7562.5064.5254.2836.5954.4352.8034.7229.1241.9337.3237.4441.5144.89
19.6720.2717.9815.3118.1517.4512.5411.4712.4814.3916.8818.2617.0911.6310.89
29.1930.9726.6623.3828.1828.3721.4120.1723.8725.5521.9125.1824.6517.4015.43
7.978.247.046.067.597.445.254.895.246.006.506.766.124.414.12
10.0610.358.717.219.118.666.425.886.217.298.238.697.965.494.98
13.2612.7612.1511.6311.8011.1210.5410.5110.1910.168.257.366.897.0525.08
3.453.663.862.682.962.802.171.952.002.202.101.621.944.135.83
1.982.822.881.190.910.940.740.540.890.670.40-0.41-0.310.662.01

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
0.910.930.930.920.910.930.860.860.870.841.141.080.981.001.101.120.951.120.860.911.000.770.850.700.740.770.700.710.610.800.790.760.850.760.600.681.110.750.700.930.880.960.850.890.960.980.750.810.670.790.820.830.810.840.941.011.050.930.931.171.021.00
0.500.500.490.490.490.500.490.490.500.500.520.520.510.510.530.520.510.520.500.500.510.500.500.490.500.500.490.490.470.480.490.490.500.510.500.510.510.500.490.530.520.530.510.530.530.540.520.530.520.520.530.550.530.530.530.540.530.510.540.560.580.58
1.051.031.001.021.021.031.021.061.071.111.121.141.101.101.181.141.141.131.071.091.081.101.081.101.111.111.081.101.021.031.061.091.041.071.101.101.091.081.081.231.161.171.121.191.181.251.221.221.211.181.191.311.221.191.141.171.161.071.191.261.381.39
12.7612.1012.7513.6014.2113.5612.4410.7110.7012.3811.6213.1414.6317.509.5919.5124.0119.0116.7117.4617.8317.8417.0116.5210.8111.5712.0111.7213.2813.4913.4314.4414.1617.1514.8313.5610.3611.468.877.427.047.977.056.787.018.467.597.737.976.988.136.386.096.355.647.537.556.707.525.807.5410.44
13.0912.3413.1414.1314.8213.9312.9311.0710.9812.8112.3413.9715.7918.5110.0519.9724.9920.1517.7118.5118.8519.0317.8617.1411.6512.2412.8112.7714.2114.0914.2515.2914.9018.2915.1814.4211.2811.999.047.607.068.006.996.786.948.417.437.537.656.667.856.015.746.145.276.737.156.547.655.256.879.88
13.0912.3413.1414.1314.8213.9312.9311.0710.9812.8112.3413.9715.7918.5110.0519.9724.9920.1517.7118.5118.8519.0317.8617.1411.6512.2412.8112.7714.2114.0914.2515.2914.9018.2915.1814.4211.2811.999.047.607.068.006.996.786.948.417.437.537.656.667.856.015.746.145.276.737.156.547.655.256.879.88
--------------------------------------------------------------
10.6610.1910.9511.4412.1711.5110.849.129.0710.389.4711.0612.4615.005.4115.3819.4815.9814.1613.3115.0615.1314.5014.048.339.869.539.1010.2110.6110.5010.9410.1413.5611.1610.517.748.806.695.735.246.295.475.065.156.695.635.645.885.526.274.344.064.343.084.374.784.695.042.883.976.78
10.329.8610.8810.8911.6611.1710.578.728.719.969.2210.5611.7714.534.9315.2117.9917.9113.4512.8014.6814.6613.8813.637.969.649.048.879.8910.3410.2210.669.9413.2111.1610.297.778.486.475.605.096.195.334.904.966.625.565.615.785.796.224.163.874.131.670.460.720.82-5.013.143.434.61
0.180.210.210.170.160.180.200.230.230.190.170.160.150.140.110.110.090.120.130.130.140.150.160.170.150.170.150.130.130.140.120.120.110.100.130.130.150.160.220.290.300.310.330.300.290.300.310.300.290.330.340.340.340.320.310.280.270.320.300.350.290.27
3.503.983.813.103.664.904.684.354.434.303.753.042.412.041.931.752.163.943.194.004.294.185.013.434.374.844.613.073.573.303.172.872.813.375.055.026.367.739.167.188.8312.1511.146.057.358.999.409.0310.0911.219.577.6310.6011.917.976.176.808.0510.915.575.208.42
1.561.941.881.731.741.871.962.301.901.441.631.771.801.581.471.831.982.271.641.872.181.992.512.271.962.091.932.032.492.321.952.011.842.042.392.252.122.502.662.322.302.592.392.212.392.532.542.382.632.482.552.802.602.602.502.632.562.772.684.504.254.29
57.7746.3347.8451.9751.8348.0045.9939.1847.3562.3955.3150.8750.1156.8961.4349.1545.5439.6454.8248.1841.3445.2335.9039.6645.9243.0146.5744.3736.2138.7846.2744.7848.9844.0637.6040.0042.4935.9933.7938.8639.1734.8137.6640.8037.7135.6235.3937.8334.2736.3135.3132.1534.6034.5836.0334.2235.1232.4733.6120.0121.1920.98
4.945.215.574.784.585.105.245.075.344.994.024.554.435.231.444.154.095.274.364.094.955.225.375.682.983.973.502.762.913.383.012.922.603.143.383.232.733.243.464.374.095.154.574.043.865.404.644.504.555.295.944.153.813.682.433.213.243.774.052.573.124.71
7.297.748.277.186.927.768.017.818.327.855.966.816.687.852.206.376.318.116.776.417.888.428.749.465.036.765.984.764.995.835.295.194.655.776.476.254.655.616.145.595.256.645.935.335.147.296.406.276.477.588.576.175.675.503.645.025.085.335.743.244.016.12
1.932.082.261.931.892.112.132.032.051.891.581.761.772.100.571.701.712.211.821.712.112.192.292.311.221.641.471.171.301.501.281.251.111.351.421.361.161.401.441.631.561.971.761.481.461.981.721.671.681.932.131.421.361.370.921.221.251.481.530.971.121.71
2.492.612.852.432.312.572.682.582.672.491.952.182.162.560.681.981.992.552.192.042.412.632.672.901.491.981.791.401.551.761.541.491.301.551.681.601.351.621.752.081.972.442.231.901.802.492.212.112.202.532.771.871.771.731.151.481.521.841.851.141.321.97
13.2713.1113.2612.9912.9012.8112.7612.6112.3812.2312.1511.9111.8311.9311.6311.9611.8711.9511.8011.6611.4111.2011.1210.7710.6110.5810.5410.4710.6510.6710.5110.4810.4910.3810.1910.1510.1710.0410.168.508.418.368.257.947.807.647.367.257.026.976.896.606.926.947.058.428.528.3225.087.637.417.35
1.680.963.452.371.590.723.662.421.940.983.862.901.840.922.681.951.450.912.962.191.450.532.801.951.230.572.171.311.080.411.951.260.880.442.001.290.950.492.201.441.000.752.101.280.830.551.620.910.750.341.941.301.030.474.133.462.201.675.830.960.690.41
0.630.491.981.350.940.422.821.881.610.822.882.101.270.611.190.740.560.420.910.700.430.010.940.590.360.130.740.330.570.210.540.120.00-0.050.890.750.130.070.670.440.360.430.400.110.050.27-0.410.040.380.35-0.31-0.070.170.100.660.310.470.892.01-0.22-0.22-0.16