Fresh Del Monte Produce Financial Ratios for Analysis 2009-2024 | FDP

Fifteen years of historical annual and quarterly financial ratios and margins for Fresh Del Monte Produce (FDP).

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
2.122.051.741.821.871.942.592.602.582.542.652.552.412.402.54
0.180.220.220.240.250.280.170.110.130.130.120.060.110.150.16
0.210.280.290.310.340.390.200.130.150.150.140.070.130.180.19
8.127.667.145.976.836.368.1211.508.449.297.889.998.907.678.89
1.353.522.611.822.540.863.746.092.244.42-0.764.723.232.184.24
1.353.522.611.822.540.863.746.092.244.42-0.764.723.232.184.24
3.335.614.904.094.743.115.718.064.046.291.156.805.374.466.73
0.382.651.931.222.020.003.535.921.974.05-0.454.592.801.693.77
-0.262.221.881.171.48-0.492.965.611.543.63-0.934.192.581.754.12
1.361.281.251.291.341.381.481.511.561.471.421.351.431.411.35
6.626.136.557.787.587.446.937.207.716.906.376.387.627.997.29
8.969.569.729.6610.239.499.459.739.729.509.259.6510.129.429.32
40.7338.1737.5437.8035.7038.4638.6337.5137.5638.4439.4537.8236.0638.7539.15
-0.085.074.382.653.97-0.936.6512.423.798.09-1.947.925.533.738.53
-0.117.146.353.945.96-1.418.0414.504.469.92-2.3910.177.224.9611.24
-0.052.822.351.422.07-0.494.318.502.565.41-1.315.723.792.415.57
-0.073.953.402.022.97-0.675.5511.023.317.04-1.707.424.923.167.17
40.1640.2538.3636.9436.3235.4636.7435.4433.3234.0331.1531.7429.6927.7826.65
3.711.292.693.793.495.073.846.634.464.091.932.973.313.254.04
5.000.471.001.472.402.331.194.052.111.48-0.721.772.052.352.99

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
2.082.162.122.021.972.072.051.881.731.801.741.781.831.841.821.801.821.841.871.950.911.921.941.952.202.522.592.642.542.672.602.492.592.682.582.492.492.682.542.532.462.672.652.492.552.662.552.192.051.702.412.081.952.232.402.102.262.422.542.302.191.33
0.130.170.180.170.170.200.220.210.200.230.220.210.200.230.240.230.240.260.250.250.000.290.280.260.280.300.170.130.110.130.110.070.100.140.130.100.100.160.130.070.090.140.120.050.060.070.060.000.000.000.110.060.040.110.150.110.110.150.160.160.170.09
0.150.210.210.200.200.240.280.260.250.300.290.260.260.300.310.290.310.350.340.330.360.400.390.360.380.440.200.150.120.150.130.070.110.160.150.120.110.190.150.070.100.160.140.050.070.080.070.020.020.100.130.070.050.130.180.120.130.180.190.190.210.32
9.937.436.207.429.898.607.868.356.667.903.924.879.649.653.636.807.216.133.667.127.878.244.644.926.159.635.356.1210.749.605.9212.5013.3613.824.568.9010.059.966.758.3510.7410.863.746.1510.3410.734.969.4312.1612.523.967.919.9012.614.856.568.3010.377.689.019.309.53
5.983.98-11.252.536.116.603.004.842.833.50-0.910.135.195.49-0.102.693.031.59-1.122.534.623.58-1.95-1.061.085.110.271.756.935.220.304.649.808.89-7.503.676.495.580.403.316.666.64-15.930.865.005.82-0.273.587.297.29-2.682.144.327.69-1.621.952.015.843.922.365.045.30
5.983.98-11.252.536.116.603.004.842.833.50-0.910.135.195.49-0.102.693.031.59-1.122.534.623.58-1.95-1.061.085.110.271.756.935.220.304.649.808.89-7.503.676.495.580.403.316.666.64-15.930.865.005.82-0.273.587.297.29-2.682.144.327.69-1.621.952.015.843.922.365.045.30
--------------------------------------------------------------
5.762.83-11.231.295.055.082.443.412.152.68-1.76-0.514.604.81-0.542.132.041.19-2.311.973.833.97-2.83-1.920.064.48-0.071.546.765.09-0.324.409.779.07-7.843.776.384.88-0.162.796.266.61-16.250.816.645.580.173.186.887.23-3.521.874.167.18-1.972.091.674.553.212.145.044.33
4.702.36-10.560.844.043.461.763.161.752.27-1.100.134.133.920.091.761.641.16-2.521.693.073.13-3.25-2.01-0.623.75-0.661.216.034.491.263.708.848.02-7.483.045.694.21-0.042.255.685.97-16.350.746.064.470.002.985.976.96-1.291.533.395.67-1.181.832.113.843.233.735.343.97
0.370.350.320.300.350.330.300.310.360.320.300.300.340.320.310.300.330.330.310.320.360.330.320.330.390.330.340.350.430.380.360.370.420.390.380.350.420.370.350.340.430.370.340.330.400.350.310.320.390.350.310.330.420.380.320.320.400.360.340.300.380.33
1.911.781.581.581.821.591.431.551.991.691.621.772.081.921.901.842.041.871.791.852.151.841.761.862.331.761.671.762.241.861.821.792.221.791.941.772.251.711.681.632.181.641.591.631.951.611.531.682.141.771.751.822.612.101.891.872.401.831.841.582.171.69
2.312.092.092.162.272.192.242.382.452.182.332.292.472.172.302.392.462.322.342.402.502.222.212.372.582.062.212.342.602.372.322.322.632.342.342.342.462.182.252.262.442.212.212.282.472.262.192.362.542.202.202.432.592.272.172.402.572.262.332.222.512.28
39.0342.9943.0241.6539.6641.0940.2037.7636.7941.2438.6939.2836.3841.5639.0837.5936.6638.7538.5437.5336.0340.4940.7438.0134.8943.7040.8138.4534.6038.0338.8638.7234.2238.4238.4238.4436.5141.2840.0639.8236.8640.6440.7239.4136.4539.8241.0738.2035.3840.8940.8736.9834.7139.5941.5737.5734.9639.7738.7040.4835.8539.41
2.711.35-5.570.432.362.431.001.711.121.32-0.590.082.582.29-0.060.931.050.76-1.441.032.212.13-1.88-1.20-0.312.37-0.370.573.762.480.581.955.404.61-4.201.633.592.49-0.021.093.553.30-8.170.293.332.24-0.071.343.183.52-0.640.752.103.29-0.660.801.242.151.591.763.252.28
3.471.75-7.210.593.243.381.412.421.601.89-0.850.123.743.35-0.091.391.581.15-2.161.543.303.20-2.86-1.81-0.463.50-0.450.664.382.880.682.266.325.42-4.951.984.383.05-0.031.334.334.05-10.080.364.242.85-0.081.714.084.55-0.830.982.744.33-0.871.061.632.812.102.344.353.06
1.710.82-3.340.261.431.390.560.960.620.71-0.310.041.411.21-0.030.490.550.38-0.750.541.141.06-0.99-0.66-0.171.29-0.240.392.601.680.401.393.783.08-2.841.122.471.61-0.020.792.472.20-5.530.212.411.61-0.051.012.372.47-0.440.531.482.20-0.430.540.841.391.041.142.061.34
2.361.12-4.590.361.971.950.781.360.901.01-0.460.072.061.77-0.040.720.800.56-1.080.772.201.52-1.36-0.88-0.221.65-0.310.493.352.160.511.814.883.98-3.671.463.232.09-0.021.023.232.85-7.160.273.132.07-0.061.343.183.51-0.570.702.012.91-0.560.721.111.831.341.482.712.08
41.1040.2640.1642.5342.5441.0440.2539.9039.3739.2038.3638.5338.8438.0836.9436.7636.3335.7736.3236.7636.6235.9735.4636.5737.1037.4436.7437.0637.0636.0535.4435.9135.3134.4733.3234.9434.8333.8134.0333.5533.2032.1031.1533.6433.7532.6331.7432.0131.6930.8629.6929.7229.2328.7927.7827.8427.8327.3426.6526.0625.5824.52
3.000.393.713.732.750.321.292.201.99-0.012.693.182.920.983.793.672.320.053.492.701.34-0.155.075.573.330.033.843.673.410.646.636.565.211.794.464.483.380.254.094.313.440.711.932.802.220.132.973.943.340.643.314.184.071.153.253.942.560.424.043.983.320.96
3.000.545.005.284.372.000.471.621.63-0.201.001.691.680.341.471.911.61-0.292.401.760.47-0.752.333.311.82-0.831.191.702.06-0.034.054.884.051.142.112.902.50-0.161.482.221.99-0.18-0.721.361.23-0.421.773.022.860.472.053.193.380.802.353.352.190.222.993.182.740.56