Greif Bros Financial Ratios for Analysis 2009-2024 | GEF.B

Fifteen years of historical annual and quarterly financial ratios and margins for Greif Bros (GEF.B).

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
1.461.431.271.301.511.461.451.381.561.341.361.221.381.471.50
0.520.510.570.660.690.430.470.500.510.470.470.470.510.420.39
1.131.071.412.072.310.790.921.071.120.940.930.971.130.770.69
21.9620.2419.6720.2620.8920.3719.6420.6118.5219.1319.7218.8818.7920.2617.89
11.609.7810.536.758.699.568.236.795.335.888.106.807.779.277.16
11.609.7810.536.758.699.568.236.795.335.888.106.807.779.277.16
16.0213.1914.7512.1213.1712.8411.5410.639.059.5611.8310.5711.1712.6210.83
9.488.288.614.125.707.745.514.253.173.735.774.445.657.184.95
4.654.185.130.101.462.820.55-0.72-0.74-0.171.100.491.813.170.81
0.881.160.960.820.851.211.131.051.091.161.091.071.010.990.99
12.0312.568.9412.2610.1510.6610.469.519.929.009.058.978.046.969.60
7.918.486.257.096.928.488.148.338.968.468.769.107.577.218.28
46.1243.0658.4351.4652.7643.0344.8543.8440.7443.1641.6840.1148.2350.6344.06
19.0921.9626.2210.3516.3019.8812.907.886.343.6710.699.4313.2315.6110.29
-75.99-159.90-70.25-12.03-17.6077.1282.3312455.9525.4475.1490.8216046.0329.71
6.367.207.102.263.587.184.182.392.031.223.803.214.245.964.03
9.1710.8411.383.525.0411.266.813.913.091.945.704.976.559.116.23
42.4437.8232.4524.7824.6824.0721.8920.0422.1725.6329.0027.6528.5028.3223.58
13.6813.538.149.398.085.276.386.284.325.505.2710.013.643.765.66
9.3610.325.587.375.312.434.364.211.702.453.086.710.790.644.06

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
1.701.571.571.461.521.581.671.431.481.441.331.271.261.251.361.301.431.481.591.511.601.671.831.461.581.631.651.451.561.611.671.381.041.021.621.561.551.511.471.341.421.451.531.361.391.431.421.221.381.481.621.381.581.611.721.471.591.581.841.501.621.861.55
0.570.580.520.520.510.540.540.510.530.540.580.570.580.600.650.660.680.700.690.690.700.720.480.430.470.470.470.470.500.510.530.500.430.440.540.510.510.510.500.470.470.480.490.470.480.490.490.470.470.480.500.510.460.430.440.420.450.480.440.390.430.450.42
1.401.441.141.131.111.211.201.071.191.221.471.411.501.622.012.072.212.362.302.312.452.590.930.790.900.920.920.921.021.101.151.071.121.151.231.121.131.101.050.940.960.981.060.930.991.001.060.970.981.001.091.130.940.850.870.770.870.970.850.690.810.890.84
19.9719.7018.3821.0723.0823.8219.8020.7321.3920.3118.5218.7621.3819.8318.5119.9520.2920.7820.0121.0222.3120.5019.2620.7421.4520.1718.9618.8419.4520.5019.8921.1420.8920.6919.6119.3417.9419.7717.0619.3619.3719.1718.5822.7319.2418.6118.5120.7818.3318.7117.8718.0118.8219.7318.6620.5320.7420.1419.4022.1619.4314.9514.23
11.767.165.718.5911.7013.8412.3110.2612.6811.404.608.9711.6114.966.117.905.726.227.129.3910.037.477.4910.4611.269.067.236.399.419.187.996.188.479.862.283.704.755.587.253.585.457.427.139.778.567.716.356.567.697.135.695.539.598.697.2810.2510.388.707.1414.239.342.021.73
11.767.165.718.5911.7013.8412.3110.2612.6811.404.608.9711.6114.966.117.905.726.227.129.3910.037.477.4910.4611.269.067.236.399.419.187.996.188.479.862.283.704.755.587.253.585.457.427.139.778.567.716.356.567.697.135.695.539.598.697.2810.2510.388.707.1414.239.342.021.73
---------------------------------------------------------------
8.864.982.956.329.5411.8310.258.8611.379.353.387.7210.0212.763.175.702.863.594.256.637.352.686.218.759.557.464.914.467.747.092.414.015.817.29-0.511.302.953.325.061.363.475.304.817.076.515.673.773.485.874.763.403.207.556.225.708.178.586.594.6511.747.060.14-0.37
3.923.245.57-1.524.628.507.074.697.055.86-1.084.895.829.21-0.221.58-0.51-1.270.583.162.92-1.030.451.444.242.103.530.892.001.27-2.33-1.872.530.79-4.62-1.42-1.74-0.430.62-1.54-0.981.290.630.961.961.43-0.08-0.521.181.36-0.26-0.793.772.511.81-2.397.165.103.50-1.915.270.24-0.34
0.210.200.200.220.230.220.220.270.290.300.270.270.260.240.210.210.190.210.190.230.230.220.270.310.310.290.270.300.290.280.260.280.270.260.240.260.270.270.260.290.280.270.250.260.290.280.260.240.280.270.240.270.280.280.270.280.290.280.250.270.270.250.25
2.772.672.673.052.642.492.312.942.672.802.612.572.572.892.783.172.472.712.402.722.352.292.222.702.382.192.182.812.302.132.162.472.322.292.102.362.282.021.962.222.212.122.052.052.282.262.111.982.262.312.072.161.881.851.851.992.072.212.252.482.622.261.93
1.851.781.891.981.951.801.892.001.871.891.921.771.791.781.691.821.731.811.731.861.741.721.602.162.162.092.022.172.122.072.102.172.022.072.072.152.011.991.952.092.132.182.152.062.312.312.282.062.242.181.822.021.912.021.982.071.982.002.102.262.202.092.11
48.6350.6847.7145.3646.1949.9947.7445.0748.2047.5246.9550.7350.3950.4253.3649.3451.9049.7751.9248.5251.7552.2856.3341.6141.7243.0744.5941.5642.4543.4942.9041.4144.5343.3943.5241.8344.7045.1846.1543.0542.1741.3241.8343.6938.9739.0039.5343.6540.2141.3049.5744.6447.2444.6645.3743.4745.4045.0742.7639.8940.9242.9642.68
4.462.543.653.694.866.064.955.728.417.371.196.987.8510.772.454.002.051.392.955.865.741.863.063.946.224.605.343.794.564.040.830.684.673.25-1.030.870.851.862.46-2.900.832.632.312.283.663.161.861.722.892.781.641.274.683.543.055.225.794.252.386.743.870.16-0.18
-11.52-5.77-16.84-14.69-23.95-23.31-26.26-41.64-43.87-33.71-3.26-18.68-17.41-19.63-3.19-4.65-2.34-1.46-3.41-6.33-5.72-1.8111.3315.2925.1221.6027.0024.1925.9026.816.2410.6755.6442.76-20.007.666.4413.9517.74-20.114.6719.2020.1016.0529.2624.9916.9716.6119.6317.3310.7315.3615.779.658.5815.3818.9515.667.4819.4610.600.43-0.47
1.370.761.241.231.651.961.641.882.602.250.321.892.072.760.560.870.440.290.631.291.220.381.081.422.181.551.811.231.421.240.250.211.461.01-0.310.280.270.600.80-0.970.290.930.810.811.251.090.630.591.000.970.560.411.721.361.171.992.111.480.922.641.480.06-0.07
1.901.071.751.772.362.792.302.823.923.420.503.033.294.300.851.360.650.420.921.811.700.531.602.233.312.412.812.002.291.970.390.342.651.83-0.480.420.410.921.24-1.540.441.371.171.221.891.620.940.911.531.450.820.632.522.011.703.043.202.231.324.082.190.08-0.10
44.5043.4343.2242.4442.4940.8639.5937.8236.4735.3332.0432.4531.0429.4426.0224.7824.5823.4325.3324.6824.3623.5424.2824.0724.1423.5523.5121.8921.7920.6320.1820.0420.8020.9420.0222.1722.8523.0924.0325.6328.9929.5728.8629.0028.0728.1328.1927.6528.5229.8629.4628.5031.1330.2528.5228.3224.8022.3823.4623.5821.8221.2421.55
3.561.950.1013.689.435.110.6913.537.633.310.468.145.313.360.249.395.252.460.408.084.021.09-0.205.271.160.09-1.126.382.200.32-0.926.283.311.20-0.554.321.54-0.55-1.265.502.450.87-1.325.272.490.82-1.4510.017.053.780.303.640.48-0.26-1.443.760.37-1.18-1.755.661.89-1.12-2.49
0.72-0.04-1.029.366.623.28-0.3810.325.581.84-0.285.583.452.13-0.337.373.291.06-0.415.312.07-0.06-0.732.43-0.65-1.01-1.644.360.88-0.47-1.384.211.850.20-1.151.70-0.55-1.73-1.852.450.15-0.37-1.903.081.00-0.23-2.036.714.522.18-0.720.79-1.70-1.72-2.240.64-1.89-2.81-2.404.060.47-2.16-3.03