Global Partners LP Financial Ratios for Analysis 2009-2024 | GLP

Fifteen years of historical annual and quarterly financial ratios and margins for Global Partners LP (GLP).

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
1.121.201.271.571.331.501.311.351.461.361.411.441.821.591.52
0.620.570.680.710.730.710.750.760.640.500.670.650.710.690.67
1.691.532.532.513.082.713.283.811.930.992.062.042.612.973.43
5.905.815.438.675.075.136.546.635.793.152.071.891.412.142.58
1.482.441.072.311.061.561.34-1.851.110.960.440.510.370.630.87
1.482.441.072.311.061.561.34-1.851.110.960.440.510.370.630.87
2.183.021.883.581.932.442.611.422.301.490.860.800.610.931.15
0.972.010.471.220.280.850.38-2.900.400.680.210.270.130.350.61
0.781.810.341.130.210.790.65-2.400.350.630.200.260.130.340.57
4.795.974.683.284.665.233.843.213.878.508.077.577.914.675.53
39.0631.3724.5919.7727.5731.1123.7714.7424.9849.6633.4927.2522.0213.0112.17
29.4639.2332.1336.2231.0737.2521.1919.4132.8637.4128.4825.2523.8014.0717.24
12.399.3011.3610.0811.759.8017.2318.8011.119.7612.8214.4615.3425.9321.17
23.0855.8215.6623.748.9723.7114.49-59.986.2318.398.8610.716.149.7721.68
43.4810935.0274.7639.9890.42225-626.9623.6527.0117.0113.626.9511.4226.49
4.4311.462.154.001.254.222.46-9.311.625.761.692.011.031.623.24
7.1519.753.685.982.055.883.67-14.602.249.252.913.771.803.017.24
23.6323.2315.5414.5913.5614.7911.7211.8620.7120.7916.9915.9814.6220.9221.33
15.0514.101.479.112.754.9710.36-3.581.9312.549.268.75-0.81-5.25-4.60
12.8214.74-1.327.120.833.489.85-3.38-0.819.237.167.33-1.43-6.14-5.29

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
1.101.171.121.141.191.231.201.211.151.321.271.361.331.371.571.801.801.841.331.401.331.291.501.281.441.411.311.521.591.481.351.481.401.471.461.511.481.511.361.291.311.251.411.271.141.121.441.401.641.871.821.682.141.861.591.731.931.971.521.841.801.76
0.690.650.620.570.580.580.570.580.620.720.680.680.680.670.710.710.710.750.730.720.720.720.710.720.730.730.750.750.760.750.760.720.660.650.640.630.630.630.500.610.630.600.670.640.620.620.650.630.630.690.710.650.690.650.690.730.540.480.670.640.600.54
2.672.121.691.421.491.711.531.401.712.922.532.312.472.432.512.442.563.063.082.802.972.992.713.283.143.233.283.073.373.453.812.882.262.131.931.881.851.920.991.782.101.862.062.071.881.882.042.091.972.512.612.532.522.392.973.511.621.403.432.532.411.71
6.535.196.365.416.335.516.367.105.294.584.726.115.435.687.578.2116.335.624.515.794.775.266.783.894.775.156.566.956.486.176.686.536.037.436.116.135.385.664.043.841.923.112.792.661.971.062.051.792.321.391.451.311.311.581.882.272.082.432.482.282.313.11
1.900.621.851.141.641.281.793.053.511.180.971.621.010.621.491.956.840.720.621.571.081.002.510.230.882.830.621.591.192.01-2.00-6.510.560.810.761.190.871.521.161.390.001.340.930.870.33-0.250.670.390.730.230.550.260.200.460.490.420.491.110.990.470.381.43
1.900.621.851.141.641.281.793.053.511.180.971.621.010.621.491.956.840.720.621.571.081.002.510.230.882.830.621.591.192.01-2.00-6.510.560.810.761.190.871.521.161.390.001.340.930.870.33-0.250.670.390.730.230.550.260.200.460.490.420.491.110.990.470.381.43
--------------------------------------------------------------
1.09-0.131.380.671.100.731.342.643.110.700.491.020.39-0.170.210.995.41-0.11-0.030.480.420.231.79-0.420.192.06-0.230.640.140.98-2.91-7.56-0.42-0.50-0.260.360.261.050.811.08-0.271.120.690.630.11-0.430.470.160.46-0.040.250.05-0.020.230.200.040.210.900.740.180.091.20
0.85-0.311.090.490.930.591.182.292.950.570.360.880.24-0.270.100.795.040.06-0.080.400.350.171.54-0.430.202.090.770.680.111.00-2.81-5.85-0.34-0.40-0.100.220.170.950.741.01-0.301.080.680.560.09-0.400.430.140.46-0.040.240.05-0.030.230.210.030.200.870.700.150.081.13
1.151.201.281.381.301.381.401.561.771.431.451.241.210.950.860.830.581.051.191.211.271.051.351.351.371.191.031.010.950.980.900.850.790.660.810.920.961.161.741.862.072.221.982.012.332.302.202.092.091.842.192.332.092.171.651.111.492.041.611.501.452.16
7.279.7310.3910.2210.449.887.3110.0511.708.397.657.556.325.145.285.763.5711.427.107.777.846.077.906.928.806.776.397.165.284.914.144.334.544.025.246.085.917.5610.078.559.1410.778.1410.8613.7412.907.907.647.595.836.096.215.305.654.612.843.394.323.562.993.186.94
7.207.307.878.038.689.119.2010.6710.308.529.929.159.318.019.568.426.1112.977.959.469.267.299.628.407.326.655.706.427.897.205.457.175.935.616.916.517.047.187.657.618.347.926.977.078.146.627.336.778.697.326.598.578.187.394.975.076.007.215.036.426.277.12
12.5012.3211.4311.2010.379.889.788.438.7410.579.079.849.6711.239.4210.6814.726.9411.319.529.7212.349.3510.7112.3013.5315.7914.0311.4012.5016.5212.5615.1816.0313.0213.8212.7912.5311.7611.8310.7911.3612.9112.7311.0513.5912.2813.2910.3612.3013.6610.5111.0012.1818.1117.7615.0012.4917.8814.0214.3612.64
7.29-0.908.364.226.514.688.8618.2730.977.764.988.533.10-1.061.044.1217.220.82-0.223.593.431.6112.08-3.621.4013.384.613.690.515.55-16.50-32.79-1.32-1.17-0.421.131.034.734.488.77-2.6011.357.135.621.21-5.075.211.604.24-0.323.190.59-0.252.392.150.241.367.007.771.400.6412.00
17.90-1.7615.768.2612.739.4617.2235.9972.5733.8811.1319.027.11-2.363.2712.4153.034.29-1.0013.8513.246.3046.06-27.978.9081.3071.5833.914.8744.93-172.52-141.27-6.00-4.79-1.594.123.5511.656.5815.10-4.7319.9713.699.852.69-11.306.622.055.30-0.383.610.67-0.292.702.510.301.597.899.491.740.7914.91
1.21-0.161.600.881.410.991.823.755.410.970.681.260.45-0.160.170.733.010.12-0.030.560.520.242.15-0.560.262.490.780.670.090.97-2.56-6.57-0.32-0.30-0.110.300.271.181.402.00-0.562.481.361.140.25-0.920.980.310.99-0.060.540.11-0.050.510.360.040.311.811.160.240.122.49
2.00-0.262.591.482.251.613.136.219.421.601.172.030.74-0.260.261.054.310.18-0.050.860.840.393.00-0.860.383.671.170.930.121.39-4.02-9.32-0.45-0.41-0.150.420.381.742.253.44-0.964.552.342.010.46-1.941.830.591.55-0.100.940.21-0.080.840.660.070.623.612.590.510.255.49
20.8722.4923.6322.8022.8222.3423.2322.0819.6515.6915.5415.7415.6916.0414.5914.9915.0312.9913.5614.2314.4014.5014.7913.8212.7813.0311.7211.6411.7012.0811.8614.2419.3320.0420.7121.4521.9921.0520.7918.3117.3618.4716.9916.4015.7416.0715.9815.7315.9815.8414.6214.7215.4216.0620.9220.2520.6222.0321.3320.1220.8321.17
-4.62-5.3815.0510.077.23-0.5714.1016.9611.310.661.472.91-1.56-3.099.117.324.744.022.753.20-0.98-2.544.97-1.35-0.48-3.0710.3610.686.243.50-3.580.42-1.79-1.601.93-0.16-1.83-3.7112.547.101.821.959.269.3011.9210.358.756.907.85-1.76-0.81-0.31-2.72-2.90-5.25-1.922.953.29-4.601.941.518.42
-5.02-5.4612.828.826.35-0.8114.7418.7413.720.90-1.321.09-2.59-3.507.126.334.283.720.832.01-1.56-2.723.48-2.18-1.07-3.339.8510.626.503.97-3.380.55-2.60-1.83-0.81-1.76-2.86-4.139.234.530.321.537.167.7910.919.927.336.027.14-1.98-1.43-0.61-2.88-3.01-6.14-2.352.673.15-5.291.331.048.24