Evergy Financial Ratios for Analysis 2009-2024 | EVRG

Fifteen years of historical annual and quarterly financial ratios and margins for Evergy (EVRG).

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
0.510.530.550.690.630.590.880.730.860.790.740.760.770.770.92
0.530.510.500.510.510.400.490.480.470.500.510.510.490.530.53
1.361.271.211.181.160.851.061.050.981.101.171.171.091.261.25
67.3763.4066.9372.2870.5468.6969.3071.0367.8764.4765.6966.5564.8671.6371.22
23.2821.6324.2523.2823.0421.8326.4027.4225.2524.3324.4324.8623.6023.0019.10
23.2821.6324.2523.2823.0421.8326.4027.4225.2524.3324.4324.8623.6023.0019.10
44.7439.2442.1043.3141.6538.3543.5442.8839.5636.9137.2938.9238.6538.1834.40
13.6513.7417.9214.7315.0114.0218.7121.0518.4518.2017.9118.0715.6414.2810.77
13.2812.8515.7512.5813.0112.5312.6013.5311.8712.0112.3112.0610.539.879.37
0.180.200.200.180.200.170.220.220.230.250.250.240.250.250.25
2.323.193.262.703.152.622.692.472.623.743.403.043.332.822.76
9.028.579.837.057.886.828.848.509.529.739.4810.089.378.417.11
40.4542.5937.1551.7646.3053.5041.2742.9638.3437.5038.5036.2238.9743.3851.34
7.688.069.657.238.025.478.729.428.229.769.809.718.508.736.29
10.1210.6912.929.8711.047.148.729.428.229.769.809.718.438.666.23
2.402.593.132.322.642.132.893.142.823.133.133.052.722.581.88
3.593.944.813.523.963.274.414.934.334.844.834.754.264.032.90
42.1641.3640.3038.4437.7039.1327.1727.0325.9825.0723.9323.0122.2821.5020.78
8.597.825.897.717.297.006.405.645.196.355.484.723.915.444.37
-1.53-1.58-2.700.852.252.001.04-1.990.11-0.21-0.60-1.66-1.980.61-0.70

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
0.590.570.510.390.460.520.530.520.500.510.550.670.640.620.690.910.860.720.630.730.440.580.590.870.950.820.881.070.960.940.730.830.900.630.860.860.890.650.790.940.870.700.740.810.750.860.760.920.840.720.770.680.680.670.770.920.870.860.921.001.010.77
0.550.550.530.490.510.520.510.490.500.500.500.500.510.510.510.510.520.510.510.510.450.430.400.390.380.490.490.490.490.500.480.480.490.460.470.460.470.490.500.510.520.500.510.510.520.530.510.510.520.510.490.510.530.530.530.540.550.550.530.530.540.51
1.451.411.361.311.351.301.271.211.281.251.211.161.231.281.181.171.221.221.161.141.101.020.850.780.811.051.061.031.071.051.051.001.030.980.980.930.991.111.101.101.201.161.171.151.231.171.171.141.231.161.091.211.311.271.261.231.321.321.251.211.261.22
68.2966.2667.3466.8268.9766.4358.1062.0465.7268.3268.3173.4471.0556.2969.6774.8172.3371.3369.1973.4070.9967.6667.0572.0666.6366.1668.2568.2271.5169.5268.0172.0672.0271.7670.8969.7866.5164.0762.8166.4364.0464.0864.8767.7965.3664.2042.0274.4973.9273.1643.1870.5870.8672.1472.7370.8572.3170.9069.9573.2374.2466.65
24.7419.5515.2029.1124.8621.547.8330.3023.1920.6812.5837.1623.8919.7113.9834.3822.9317.6914.6534.1522.2417.2212.5133.6914.2020.5820.5633.3526.2922.9522.4935.3924.7224.9019.8534.8822.3021.2517.6533.4320.0323.7918.4932.2623.0921.9620.5835.9223.5115.0014.9335.5520.5018.9210.5632.8424.4320.0114.0428.4419.2512.51
24.7419.5515.2029.1124.8621.547.8330.3023.1920.6812.5837.1623.8919.7113.9834.3822.9317.6914.6534.1522.2417.2212.5133.6914.2020.5820.5633.3526.2922.9522.4935.3924.7224.9019.8534.8822.3021.2517.6533.4320.0323.7918.4932.2623.0921.9620.5835.9223.5115.0014.9335.5520.5018.9210.5632.8424.4320.0114.0428.4419.2512.51
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14.899.863.5921.6714.1212.05-2.0925.0715.0911.036.4231.4116.6513.385.5027.3914.187.175.5327.4313.669.084.2726.526.4911.7811.9927.0618.1214.7412.4331.3618.7818.8512.0928.2316.9813.6810.8028.9613.3816.8510.7626.9817.3414.2912.7329.8116.398.766.1429.2112.419.651.0526.0215.289.904.8020.7011.563.70
14.309.224.8821.0613.2311.000.5922.4313.4510.014.7627.8014.9911.894.6624.0211.266.215.6523.2511.438.181.5422.4311.3910.085.6919.9311.8310.428.9020.2311.6411.527.2618.7910.818.617.2719.248.7010.947.2819.1011.809.348.5720.0210.845.723.9419.808.366.481.2117.6710.726.622.5315.318.1510.41
0.050.040.040.050.040.040.040.070.050.040.040.060.040.060.040.060.050.040.040.060.050.050.050.060.030.050.050.070.050.050.050.070.060.050.050.070.060.060.060.080.060.060.060.070.060.060.060.080.060.050.060.080.060.060.060.080.060.060.060.070.060.06
0.570.560.500.750.580.600.801.180.780.630.630.790.671.430.660.750.630.640.720.920.730.840.770.850.550.710.640.890.570.560.650.740.580.530.530.800.710.800.901.050.860.900.820.940.820.831.220.710.580.501.210.950.680.610.600.930.670.680.680.710.580.68
1.912.481.952.262.032.271.872.431.972.271.972.041.582.401.571.981.471.801.732.161.972.101.912.221.312.462.052.582.222.422.012.372.082.532.112.542.212.502.232.552.362.712.242.612.382.412.332.602.042.402.102.691.872.121.872.471.821.851.681.901.531.73
47.1536.3346.2539.9044.4039.7248.0837.0645.6439.7245.6144.1756.9437.5457.3045.5161.2150.1151.9441.5945.7342.9347.0140.5168.8836.6543.9834.9340.5437.2644.7537.9443.2835.5742.5835.4640.6635.9940.3435.3538.0833.1940.1934.5237.8137.2838.5734.5744.1037.4342.9033.4548.2042.3948.1636.3749.5748.7753.4547.4958.8352.12
2.161.300.633.631.911.530.114.482.121.360.614.862.102.210.624.181.600.850.784.321.631.100.213.360.961.630.944.141.971.661.514.152.051.861.143.821.851.601.394.571.782.291.404.452.361.821.644.872.311.060.775.251.841.360.274.862.371.390.473.591.740.51
2.841.720.834.772.532.030.155.922.831.820.826.492.843.010.855.702.201.171.075.932.221.470.284.301.221.630.944.141.971.661.514.152.051.861.143.821.851.601.394.571.782.291.404.452.361.821.644.872.311.050.765.211.831.350.274.812.351.380.473.551.720.50
0.660.400.201.160.600.490.041.470.680.440.201.610.670.690.201.370.520.280.261.430.560.400.081.370.390.540.311.380.660.550.501.410.690.640.391.330.630.510.441.490.570.730.451.410.730.570.511.540.710.330.251.630.550.400.081.470.700.410.141.070.510.15
0.970.590.291.860.930.740.052.291.070.680.302.431.031.090.302.030.770.410.392.140.900.630.132.060.590.830.482.101.000.840.792.161.061.000.602.080.970.810.692.250.861.140.692.181.140.860.802.371.100.510.382.550.870.630.132.231.070.620.221.660.790.25
42.3242.0342.1642.5241.5841.3741.3641.8940.5740.2540.3040.6139.1538.7438.4438.7337.5937.5137.7037.6937.6138.3639.1340.2140.1027.1727.1727.3027.1326.9727.0326.9826.2226.0325.9826.0225.3925.0825.0725.0824.2224.1123.9323.9023.1623.0623.0122.9422.1422.1222.2822.3621.5221.4521.5021.7220.9720.8120.7820.9720.5320.51
2.751.388.596.733.101.587.826.412.561.155.894.500.98-0.137.716.252.301.417.296.162.601.437.004.432.191.826.405.212.551.665.644.862.311.685.194.121.701.586.354.892.151.825.484.321.811.524.723.570.810.513.912.860.620.845.444.482.081.374.373.721.970.94
-2.87-1.31-1.53-0.46-1.69-0.72-1.58-0.59-2.29-1.13-2.70-1.56-2.90-2.180.851.60-0.50-0.152.252.550.250.212.001.84-0.210.591.041.25-0.140.43-1.99-0.91-1.230.130.110.69-0.740.19-0.210.01-1.090.15-0.60-0.04-1.310.09-1.66-1.14-2.48-1.00-1.98-1.48-2.39-0.530.611.170.010.44-0.70-0.48-1.12-0.45