Gap Financial Ratios for Analysis 2009-2024 | GAP

Fifteen years of historical annual and quarterly financial ratios and margins for Gap (GAP).

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
2024202320222021202020192018201720162015201420132012201120102009
1.421.421.271.551.411.961.861.761.571.931.811.762.021.872.191.86
0.360.450.350.460.270.260.280.300.340.310.310.300.37---
0.570.820.550.850.380.350.400.450.680.450.460.430.600.00-0.01
38.7934.3239.8134.0937.4438.1338.2636.3536.2138.2738.9739.4336.2540.1640.3237.50
3.76-0.444.86-6.253.508.219.337.689.6512.6713.3112.419.8813.4212.7810.66
3.76-0.444.86-6.253.508.219.337.689.6512.6713.3112.419.8813.4212.7810.66
7.293.057.97-2.266.9211.3512.4811.5612.9815.7216.2215.4913.3617.2516.8214.57
3.73-0.891.94-7.993.227.978.987.249.3112.2512.9611.899.4113.5212.7910.90
3.37-1.291.54-4.822.146.055.354.365.827.687.937.255.738.217.766.66
1.351.371.311.001.202.061.982.042.112.142.062.101.962.081.781.92
4.574.293.323.714.754.814.905.405.385.375.115.395.745.425.746.03
----------------
----------------
19.34-9.059.40-25.4410.5928.2326.9723.2836.1542.3141.8039.2230.2429.5122.5322.04
19.34-9.059.40-25.4410.5928.2326.9723.2836.1542.3141.8039.2230.2429.5122.5322.04
4.55-1.772.01-4.832.5712.4610.618.8812.3116.4116.3115.1911.2217.0413.8012.78
12.29-4.966.09-13.777.6920.8919.3016.2823.8729.2528.8927.4219.1029.5122.5322.04
6.986.107.346.998.949.408.087.286.417.096.876.255.686.947.246.32
4.071.652.110.633.733.563.484.303.864.843.653.972.562.722.761.96
3.161.040.30-0.411.551.741.642.992.103.492.222.621.531.852.281.37

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.491.501.421.391.411.471.421.491.371.441.271.361.701.651.551.441.461.231.411.431.461.491.961.971.962.031.861.731.771.791.761.601.551.541.571.581.811.891.931.711.881.961.811.672.011.971.761.842.032.162.021.832.172.331.871.862.002.232.192.042.172.241.86
0.340.350.360.380.420.460.450.420.440.430.350.350.420.440.460.480.500.350.270.260.260.260.260.270.270.280.280.290.300.300.300.330.340.340.340.340.330.320.310.320.320.310.310.300.270.280.300.280.350.340.370.380.340.25---------
0.510.550.570.600.720.840.820.710.800.750.550.530.740.790.850.930.980.760.380.340.340.350.350.360.370.390.400.410.420.460.450.640.680.690.680.670.500.470.450.480.470.460.460.420.360.390.430.390.560.540.600.620.530.330.000.00------0.01
42.5541.2338.9041.3137.5737.0633.5637.3634.4831.5233.6642.1343.2940.8437.7040.5635.0812.7235.8238.9938.8536.2735.5839.6939.8337.7236.8139.7338.9337.8833.8939.3137.3235.1732.8437.3337.4037.7935.2240.1839.4138.8434.8239.9640.5141.4137.5941.2339.9239.4332.8036.6536.9539.5838.2441.1939.6142.0839.4942.4639.6939.6234.03
7.886.054.986.642.99-0.31-0.714.61-0.73-5.670.183.889.716.013.034.382.23-59.04-5.245.537.048.538.058.889.746.058.299.8511.877.386.8010.247.246.468.1010.739.4710.5611.0213.9514.2411.7411.4114.4913.4714.2112.7413.4611.8911.338.699.659.8611.7113.5913.7911.9714.2413.8613.9311.5611.299.75
7.886.054.986.642.99-0.31-0.714.61-0.73-5.670.183.889.716.013.034.382.23-59.04-5.245.537.048.538.058.889.746.058.299.8511.877.386.8010.247.246.468.1010.739.4710.5611.0213.9514.2411.7411.4114.4913.4714.2112.7413.4611.8911.338.699.659.8611.7113.5913.7911.9714.2413.8613.9311.5611.299.75
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7.966.145.076.643.04-0.61-1.014.16-1.24-6.21-0.18-5.458.534.691.743.03-1.25-59.75-5.435.236.778.157.908.569.505.798.029.4811.566.926.439.796.835.937.7510.279.0610.4510.6613.4913.7911.2911.0213.9813.0014.2112.3612.9111.3310.708.179.079.2411.5613.6813.7412.0014.5713.8613.9311.5911.299.82
5.544.664.305.793.30-0.55-6.436.98-1.27-4.66-0.35-3.856.134.165.292.38-1.89-44.23-3.943.504.196.135.976.517.274.344.295.977.134.164.975.373.253.694.886.435.626.546.788.848.346.896.718.487.838.937.437.976.806.685.095.385.587.078.368.297.059.078.318.557.036.885.95
0.320.310.390.340.330.300.370.340.320.280.350.310.310.290.320.280.240.170.340.280.290.270.570.500.510.500.600.490.500.460.580.470.500.460.590.490.530.490.610.510.520.490.580.510.490.500.630.480.470.460.580.470.430.410.620.470.450.420.530.430.420.430.54
1.011.021.320.931.000.901.180.830.810.750.990.841.051.001.120.860.950.831.390.901.051.051.400.921.121.161.510.931.131.091.600.961.241.141.570.971.221.131.610.931.241.211.550.971.251.271.681.001.291.331.780.981.221.161.660.991.231.261.741.031.331.361.79
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7.105.847.138.865.17-0.82-12.2310.97-2.13-6.60-0.59-5.458.545.928.954.01-2.75-40.22-5.553.854.636.367.777.738.895.136.527.579.205.007.587.484.885.048.419.518.208.3010.6912.2911.278.5610.0311.408.7610.5312.139.748.397.727.917.266.056.188.956.985.416.157.206.164.814.745.54
7.105.847.138.865.17-0.82-12.2310.97-2.13-6.60-0.59-5.458.545.928.954.01-2.75-40.22-5.553.854.636.367.777.738.895.136.527.579.205.007.587.484.885.048.419.518.208.3010.6912.2911.278.5610.0311.408.7610.5312.139.748.397.727.917.266.056.188.956.985.416.157.206.164.814.745.54
1.791.451.681.971.08-0.16-2.402.35-0.40-1.32-0.13-1.191.881.221.700.66-0.45-7.33-1.350.991.201.673.433.253.712.162.572.903.561.932.892.551.621.692.863.183.013.194.154.494.323.383.914.333.834.484.703.853.173.082.942.522.422.905.173.923.203.804.413.642.962.983.21
4.693.774.535.523.00-0.45-6.716.40-1.18-3.78-0.38-3.564.923.304.842.07-1.39-26.13-4.032.873.454.715.755.676.473.694.675.366.463.485.305.043.223.315.556.295.485.687.398.337.695.906.938.026.447.558.486.995.445.085.004.534.004.648.956.985.416.157.206.164.814.745.54
7.727.226.986.636.135.946.107.046.336.657.347.458.037.446.996.346.026.218.949.749.649.459.409.018.688.268.087.777.517.237.286.836.436.346.416.466.516.877.096.736.796.856.876.587.396.786.256.596.056.145.685.445.936.636.947.056.877.367.247.176.816.526.32
1.510.084.072.221.420.041.65-0.31-0.56-0.982.111.812.050.880.631.05-0.23-2.533.731.401.540.083.561.471.40-0.173.481.531.230.234.302.001.840.423.861.801.540.504.842.552.251.143.652.041.810.763.972.511.980.742.561.261.030.392.721.500.830.492.761.641.030.291.96
1.04-0.163.161.651.09-0.071.04-0.63-0.76-0.690.300.521.350.56-0.410.29-0.79-2.851.55-0.310.36-0.681.740.150.56-0.521.640.350.53-0.052.991.041.160.072.100.560.820.143.491.661.780.782.221.001.150.442.621.591.370.441.530.440.550.181.850.840.450.332.281.320.840.201.37