Group 1 Automotive Financial Ratios for Analysis 2009-2024 | GPI

Fifteen years of historical annual and quarterly financial ratios and margins for Group 1 Automotive (GPI).

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
1.111.031.081.091.041.011.061.051.071.061.061.121.131.141.14
0.430.470.500.470.530.540.540.570.570.510.390.390.370.340.38
1.371.381.411.672.472.782.602.943.022.532.061.921.571.441.39
16.9018.2818.1016.3615.2014.8714.7914.6514.4314.5714.4914.9415.8015.9217.14
5.426.736.564.683.092.943.073.132.623.043.063.083.182.652.39
5.426.736.564.683.092.943.073.132.623.043.063.083.182.652.39
5.957.307.165.423.743.553.633.633.103.573.623.673.833.323.11
4.486.075.943.591.921.771.972.091.711.652.152.152.171.471.21
3.374.634.102.611.451.311.851.300.850.901.221.271.280.860.73
2.302.412.342.082.082.322.282.442.422.402.342.472.462.502.30
7.579.7710.296.135.175.365.385.635.245.454.945.325.905.966.28
29.4233.9633.9826.3224.2225.2422.4724.5825.9225.5624.7623.6923.3629.0830.37
12.4110.7510.7413.8715.0714.4616.2414.8514.0814.2814.7415.4115.6312.5512.02
22.5133.7134.2620.4713.4614.4018.9815.8110.249.5111.0111.6510.216.414.84
1871,2704,924135-2,770.56-123.47-286.89-63.54-38.48-59.50-3,137.7412278.5042.7356.32
7.7411.2310.885.833.033.164.383.302.142.252.983.313.332.281.77
12.9118.0017.1810.876.296.648.746.864.444.686.717.086.394.202.99
19515710680.1367.4159.8053.8043.4639.2240.1842.5837.8535.5432.9729.42
13.8837.8071.1645.2520.7213.859.6318.146.097.972.07-3.328.89-3.0015.48
14.5036.8964.4541.1212.4312.15-0.4210.752.697.742.04-5.496.46-4.0115.86

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
1.001.021.041.111.091.111.021.031.031.001.021.081.501.331.121.091.061.030.911.041.001.011.001.011.031.071.061.061.051.081.071.051.041.041.071.071.031.041.091.061.071.121.051.061.081.051.051.121.141.091.121.131.171.161.131.141.201.171.151.141.151.131.13
0.480.440.470.430.440.460.450.470.450.480.490.500.400.430.450.470.490.540.500.530.520.530.570.540.530.540.540.540.560.570.560.570.580.590.580.570.530.510.530.510.490.490.390.390.350.350.360.390.390.380.400.370.380.360.340.340.360.360.360.380.380.410.43
1.731.591.521.371.291.351.331.381.211.371.381.410.861.071.451.671.812.072.712.472.522.512.812.782.492.422.512.602.752.972.802.943.063.313.113.022.702.582.582.532.322.401.972.061.771.821.891.921.821.781.751.571.341.361.431.441.501.431.391.391.191.421.65
16.3316.3216.6116.3116.7117.0117.6217.6818.0818.5418.8519.2318.7117.9116.2916.3116.8416.8415.4815.4214.9315.1115.3614.8515.0614.8914.6814.5814.3215.1515.2314.5614.4014.7414.9214.2214.2314.3614.9614.4114.2714.7014.9614.1014.0814.6115.3014.4514.7315.0515.6415.1215.8416.5715.7415.0915.6615.9817.1716.5217.0117.2417.91
4.435.145.434.325.565.945.885.956.726.867.426.587.087.245.105.846.153.712.593.432.663.233.092.572.713.712.763.122.613.453.182.882.973.503.150.113.453.603.322.223.443.373.122.683.123.452.992.373.393.333.243.063.193.692.782.223.182.542.661.003.382.842.25
4.435.145.434.325.565.945.885.956.726.867.426.587.087.245.105.846.153.712.593.432.663.233.092.572.713.712.763.122.613.453.182.882.973.503.150.113.453.603.322.223.443.373.122.683.123.452.992.373.393.333.243.063.193.692.782.223.182.542.661.003.382.842.25
---------------------------------------------------------------
3.063.904.323.254.695.005.005.066.186.276.825.926.576.634.405.065.301.981.452.191.572.101.861.361.542.551.612.021.572.312.031.811.972.482.07-0.832.612.712.361.301.671.522.181.762.232.582.001.442.502.432.242.062.202.691.741.122.091.491.10-0.332.241.471.41
2.202.883.232.703.403.653.744.274.574.605.122.944.885.093.333.524.011.371.071.621.181.641.371.021.161.851.213.650.961.411.301.111.201.611.26-1.201.551.631.420.720.960.641.330.901.341.531.080.841.501.431.321.281.291.581.030.741.300.900.67-0.341.470.910.82
0.520.530.530.580.630.610.600.610.670.680.640.610.720.750.580.540.610.440.490.480.590.580.530.580.590.600.570.600.640.580.560.600.640.620.580.610.650.630.590.610.660.630.590.600.690.680.570.640.690.680.640.660.720.660.620.650.660.680.580.580.690.570.50
1.591.671.771.912.282.202.212.472.883.002.852.633.262.891.871.581.841.341.141.191.481.421.281.341.421.461.351.411.561.261.231.381.431.331.221.321.471.411.341.401.511.411.251.271.491.471.231.391.521.501.451.591.841.581.511.571.631.711.511.612.201.701.31
8.177.717.437.378.999.379.318.5210.2410.229.308.799.688.656.386.807.376.549.205.576.526.826.296.337.136.885.745.906.337.116.876.047.797.657.176.527.947.216.716.537.977.116.656.338.247.346.096.147.967.147.076.259.148.317.587.599.197.916.977.7210.418.017.21
11.0111.6812.1112.2110.019.609.6710.578.798.819.6710.239.2910.4114.1013.2412.2113.769.7916.1713.8113.2114.3114.2212.6113.0915.6715.2614.2212.6613.1014.9111.5611.7712.5513.8111.3412.4813.4113.7811.2912.6513.5314.2210.9212.2614.7814.6511.3012.6012.7214.419.8410.8311.8811.869.8011.3812.9111.668.6411.2312.48
3.934.815.324.076.286.766.757.008.909.9410.328.948.9910.766.407.629.312.482.543.423.214.233.432.803.034.823.049.822.964.033.503.313.995.373.76-3.644.674.613.731.912.661.742.962.103.203.772.301.993.723.382.892.582.733.031.911.352.461.701.06-0.272.561.451.25
-391.64176-932.9433.8683.85193165264165-300.15-198.721,28526.6637.8431.4150.25104-210.49-38.75-704.93-83.55-83.42-39.24-24.04-35.98-93.19-46.12-148.48-15.15-20.30-17.55-13.32-11.64-13.81-11.6913.67-15.99-21.55-18.50-11.95-14.92-12.62356-597.8961.51108-443.4320.9337.6632.8833.1019.8722.5220.5011.428.9818.4214.958.75-3.1530.8725.9150.90
1.171.561.731.402.212.292.292.333.153.273.332.843.633.891.992.172.540.620.550.770.720.940.740.610.711.160.712.270.630.840.760.690.801.030.76-0.761.051.080.870.450.660.420.820.570.961.100.650.571.091.020.890.840.981.100.680.480.860.610.39-0.101.010.520.41
2.062.682.842.333.533.633.733.744.915.175.224.485.406.143.534.044.741.151.271.601.532.001.491.291.422.231.404.521.301.751.551.441.672.201.58-1.582.202.261.760.941.360.881.821.282.072.441.461.212.262.101.741.621.701.951.260.881.581.090.67-0.171.590.860.71
22321420519518917916615714512711710610697.0486.8080.1374.0866.5864.6267.4163.7162.6460.8959.8058.6557.5956.2953.8048.4746.5745.1343.4641.5040.1539.6739.2240.9041.6339.5440.1840.4939.8643.6642.5841.9740.5839.4537.8537.0737.1934.8535.5434.7134.4433.4632.9732.4731.5630.6529.4229.5428.7927.88
28.319.7618.9513.8828.6517.3210.3237.8035.0922.5113.6671.1662.7842.2513.4445.2540.0438.662.4820.7217.2714.137.1913.8518.5213.137.339.6315.192.543.3418.1418.798.205.176.099.983.462.487.9711.134.995.242.074.903.502.57-3.32-0.32-2.03-0.428.5513.558.852.40-2.88-2.28-2.37-0.8515.4819.7814.019.49
33.3017.1423.5714.5029.8516.898.4036.8937.6824.5916.4164.4558.9339.7811.9341.1235.6935.300.7312.4311.9110.156.8112.1517.9712.515.11-0.428.31-0.611.2110.7513.805.534.292.697.011.691.547.7413.072.744.182.046.344.722.47-5.49-3.34-3.73-1.206.2111.788.041.91-3.85-1.48-1.33-0.8515.8620.1714.209.78