Genuine Parts Financial Ratios for Analysis 2009-2024 | GPC

Fifteen years of historical annual and quarterly financial ratios and margins for Genuine Parts (GPC).

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
1.231.151.181.211.241.281.341.401.411.561.641.942.362.242.86
0.450.450.410.440.430.410.420.150.070.130.130.080.150.080.16
0.880.880.690.830.930.910.940.270.200.230.230.170.180.180.19
35.9135.0335.1634.1933.4432.7930.0829.9929.8229.9429.9829.0328.9429.0229.93
7.577.316.162.515.206.156.126.847.367.337.457.807.307.026.67
7.577.316.162.515.206.156.126.847.367.337.457.807.307.026.67
9.088.887.707.226.677.507.157.808.298.298.408.568.017.817.57
7.557.126.362.294.905.916.197.007.357.297.427.837.156.806.40
5.705.354.76-0.183.544.823.784.484.624.644.874.984.544.243.97
1.291.341.311.231.201.331.311.731.881.861.831.912.012.052.01
3.163.233.153.103.393.133.023.353.573.533.353.553.633.583.18
10.3910.0910.5010.627.186.756.737.918.388.198.468.738.538.218.47
35.1536.1634.7834.3650.8354.0854.2046.1343.5344.5543.1641.7942.8044.4343.08
29.8131.0925.665.0817.4921.5917.8021.4322.3421.4720.3921.5420.5216.9715.20
-1,190.29-198.38495-82.64-717.37-1,095.38-683.5942.0939.2636.9433.1025.8122.8418.3416.26
7.337.176.261.224.415.914.977.768.668.638.929.529.118.707.98
16.5217.1915.202.859.9512.7010.2618.2920.7018.6617.7519.8917.3715.5812.77
31.6526.9924.6422.2925.4223.7923.6221.6121.0521.6321.8419.4317.6917.7816.55
10.1810.318.7213.885.697.185.526.327.605.126.795.793.964.285.29
6.728.947.0612.953.955.744.605.446.944.486.065.203.363.774.48

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.171.121.141.231.161.151.161.151.181.171.161.181.191.181.211.211.231.221.211.241.261.261.201.281.331.331.321.341.321.311.351.401.341.331.371.411.491.491.501.561.541.571.561.641.531.541.771.942.222.242.382.362.072.202.242.242.552.672.742.862.792.773.04
0.450.400.410.450.410.420.440.450.470.470.480.410.430.430.420.440.470.490.440.430.430.440.400.410.400.410.420.420.140.140.150.150.080.070.070.070.140.130.140.130.120.120.130.130.070.070.080.080.140.150.150.150.080.080.080.080.150.160.160.160.160.170.17
0.980.850.880.880.790.830.860.880.880.910.970.690.760.780.780.830.961.121.060.930.931.050.960.910.800.890.930.940.340.340.320.270.230.240.220.200.200.260.280.230.240.230.260.230.260.290.300.170.160.170.170.180.170.170.170.180.180.190.190.190.190.200.21
36.8236.5735.8736.4036.2136.0934.9235.7334.8835.0034.4935.2635.5035.3134.5134.0634.9733.7533.9235.8633.2633.2631.8439.9331.4331.5531.3130.5229.9530.2429.5929.9230.4129.8929.7029.7529.8129.9029.7929.9929.6930.1729.9231.0529.8730.0628.8229.2028.9129.1328.8929.6128.8728.7628.5429.1028.9128.8829.2331.0629.3629.3829.95
5.396.685.537.507.997.677.106.297.559.076.237.046.135.456.015.536.92-7.614.123.235.806.445.036.816.336.455.255.206.147.106.075.577.397.696.637.137.667.876.737.117.487.946.736.847.378.566.947.968.048.017.177.597.527.586.457.517.207.056.237.676.556.555.92
5.396.685.537.507.997.677.106.297.559.076.237.046.135.456.015.536.92-7.614.123.235.806.445.036.816.336.455.255.206.147.106.075.577.397.696.637.137.667.876.737.117.487.946.736.847.378.566.947.968.048.017.177.597.527.586.457.517.207.056.237.676.556.555.92
---------------------------------------------------------------
4.986.485.627.507.987.687.016.117.368.776.157.206.205.646.405.316.81-7.963.922.156.276.334.476.426.186.235.005.286.017.256.246.257.397.696.637.117.667.876.736.947.487.946.736.707.378.566.948.088.048.017.176.977.527.586.456.647.207.056.236.596.556.555.92
3.804.964.305.676.035.825.274.565.506.654.645.334.744.114.884.035.21-14.763.340.235.035.033.386.914.664.713.852.573.874.634.104.034.704.914.254.384.794.964.314.334.785.064.344.284.715.894.515.145.125.054.604.484.624.774.254.234.474.373.874.014.134.093.65
0.290.320.320.310.340.350.340.330.350.350.330.330.340.340.320.320.320.290.280.260.310.300.340.210.370.380.360.340.430.440.430.430.450.450.440.450.480.470.450.460.480.470.450.460.460.480.440.460.520.540.520.490.570.560.530.510.550.550.500.490.520.520.52
0.680.740.780.760.830.840.820.800.860.850.820.800.830.840.810.800.830.760.730.710.810.790.880.450.920.950.840.780.860.860.840.830.870.890.850.860.930.910.870.880.930.910.850.820.910.920.890.851.021.011.000.871.041.010.950.890.960.940.830.770.840.810.76
2.512.362.392.512.432.322.382.522.562.512.482.672.552.522.472.732.242.101.511.561.651.571.731.081.781.811.741.741.901.891.871.951.941.921.882.022.001.961.892.042.022.051.982.112.092.091.972.092.102.081.982.062.152.032.002.062.122.101.972.082.082.052.02
35.8938.1337.7435.8237.0038.8637.7935.6635.1335.9136.3433.6935.2735.7536.4832.9640.2142.9259.4957.7654.4957.2752.1083.1150.6149.8351.8351.8047.3747.6348.0446.1646.4146.8847.9744.5545.0545.8747.6544.0944.6243.9745.3942.5942.9743.0745.7243.0042.8243.3045.4243.6241.9444.2545.1143.7442.5542.8045.7943.2343.1844.0044.60
4.816.495.637.178.368.437.726.628.4910.206.817.317.156.066.535.337.68-12.663.571.745.795.684.493.626.016.374.963.124.675.754.954.765.565.894.875.105.936.005.055.005.435.594.624.485.517.014.705.335.645.755.054.905.255.184.394.234.744.663.753.774.124.123.70
-94.40-243.25-270.47-286.48-184.02-107.78-67.51-42.27-58.83-50.49-28.53141-219.48-141.08-4,664.16-86.80-95.22112-48.44-71.52-154.95-131.61-231.70-183.79152358-309.54-119.919.4511.709.869.3410.3810.808.638.9710.2010.438.738.609.239.397.877.279.2811.925.596.386.756.935.625.465.815.624.774.585.135.044.064.034.414.413.96
1.121.571.361.762.062.031.801.531.912.291.511.781.641.401.561.281.73-2.740.850.441.461.431.140.991.741.811.380.871.672.021.751.722.122.221.871.982.292.321.952.012.282.401.971.962.192.821.972.352.682.732.402.182.622.662.272.172.432.381.951.982.162.131.89
2.663.903.343.984.904.874.323.664.525.353.514.334.063.443.762.994.06-6.491.990.993.293.192.692.133.593.752.881.804.024.934.234.065.105.474.524.735.125.204.364.344.754.904.033.905.116.494.344.924.854.914.314.154.834.774.043.894.023.923.163.173.463.443.07
33.8732.7031.7031.6529.9629.0928.0326.9926.0925.8625.4724.6422.4322.6523.0922.2921.0319.9023.7325.4225.2225.2524.4623.7924.9624.2724.2723.6223.1222.4821.9321.6122.4221.8321.6821.0521.0321.4620.9521.6322.9523.0722.2121.8420.4319.9319.8419.4319.7718.9018.5617.6918.5818.7018.2717.7817.6316.9616.9116.5516.3915.7715.11
7.854.382.2710.187.683.241.3910.318.765.562.798.727.024.862.0713.889.846.380.195.694.641.690.427.186.283.090.945.523.682.340.686.324.953.540.907.605.892.970.805.123.822.380.396.795.382.990.755.794.902.691.103.963.171.580.344.283.602.220.885.294.793.061.26
5.623.051.936.725.251.820.798.948.035.472.297.066.234.391.8512.959.195.91-0.053.953.501.050.135.745.652.650.724.603.021.970.525.444.373.200.826.945.482.720.694.483.352.120.276.064.842.670.665.204.442.360.993.362.761.320.253.773.232.050.824.484.032.831.17