Graphic Packaging Holding Financial Ratios for Analysis 2009-2024 | GPK

Fifteen years of historical annual and quarterly financial ratios and margins for Graphic Packaging Holding (GPK).

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
1.101.401.221.091.511.501.371.431.461.551.731.602.031.701.61
0.620.710.740.630.580.590.630.660.630.660.670.700.670.770.79
1.932.443.061.981.391.471.762.041.701.932.122.402.033.453.84
22.4519.3914.9716.7717.7315.8016.1018.6418.9718.5616.2016.5915.1614.4912.91
12.459.605.697.998.677.607.449.4810.275.377.637.434.525.366.90
12.459.605.697.998.677.607.449.4810.275.377.637.434.525.366.90
19.0815.5512.6515.3416.0114.8115.0616.5517.1111.8513.9813.7313.6012.6114.57
9.897.584.043.725.755.765.747.438.643.134.754.621.030.891.93
7.675.532.852.553.363.676.815.305.532.123.272.836.580.261.38
0.840.910.680.840.850.850.910.930.981.020.980.940.900.910.87
4.174.744.394.844.625.005.836.006.056.626.746.797.538.398.17
11.2910.748.3310.0312.2110.5213.7210.079.8110.2510.859.4010.4710.7110.71
32.3333.9943.8136.3929.8934.6826.6036.2437.1935.6033.6538.8234.8734.0734.07
25.9924.2811.4111.0313.5114.5723.2421.5820.898.7913.8112.3523.591.437.74
-512.77-95.60-21.82-270.67270862-64.20-35.13-50.82-18.11-27.67-17.84-54.51-1.03-5.15
6.475.052.072.603.814.166.174.955.412.153.222.595.920.241.20
9.787.102.924.075.715.978.567.257.823.034.533.727.860.321.61
9.097.006.166.877.096.734.173.373.393.103.272.823.002.172.12
3.703.522.042.952.26-1.21-0.620.231.781.591.311.181.020.971.46
1.101.75-0.650.641.06-2.32-1.43-0.691.041.500.920.720.600.621.11

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
1.451.241.101.171.361.621.401.301.341.371.221.311.291.451.091.171.271.861.511.621.701.801.501.671.771.821.371.501.501.511.431.611.611.771.461.951.971.941.551.842.081.881.731.721.751.761.601.581.681.712.031.881.911.831.701.861.801.731.611.791.711.81
0.640.630.620.650.670.700.710.730.740.740.740.690.670.690.630.640.600.630.580.590.590.610.590.560.570.590.630.660.660.670.660.660.670.670.630.640.650.670.660.650.680.660.670.660.680.700.700.600.620.640.670.700.700.760.770.790.800.790.790.830.850.87
1.871.991.932.202.252.392.442.813.063.043.062.242.072.211.982.011.721.731.391.471.491.591.471.301.371.441.762.012.022.082.042.042.092.091.701.811.882.081.931.892.182.022.122.042.252.372.401.541.681.812.032.392.323.263.453.733.943.843.845.075.586.60
21.5023.2822.2823.4121.1522.9720.5820.8518.7017.2414.4415.7114.6815.1015.8015.0816.2620.0817.8816.8418.5317.6715.4216.8615.7215.1615.7816.5615.8816.1918.6517.3318.5620.0919.4818.8718.7318.8118.4519.2819.0817.4316.1315.5416.5516.6215.6417.1017.6615.8915.2014.3515.3015.8114.1914.8714.3614.5211.6313.8913.6112.39
14.4812.3112.8912.2211.1613.5411.2311.956.458.604.186.795.476.557.877.017.1410.018.757.769.308.907.1210.867.305.017.298.037.666.758.479.529.5710.379.9110.2810.4210.448.8610.70-4.747.435.869.097.707.746.018.278.706.656.00-1.657.066.865.797.532.205.946.559.258.433.25
14.4812.3112.8912.2211.1613.5411.2311.956.458.604.186.795.476.557.877.017.1410.018.757.769.308.907.1210.867.305.017.298.037.666.758.479.529.5710.379.9110.2810.4210.448.8610.70-4.747.435.869.097.707.746.018.278.706.656.00-1.657.066.865.797.532.205.946.559.258.433.25
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11.809.6510.239.548.6511.129.059.874.456.822.465.223.864.855.875.125.28-1.563.915.497.016.575.069.115.573.225.486.405.955.115.357.717.928.738.298.748.748.775.558.75-6.645.533.866.962.825.273.395.916.232.812.75-5.013.602.931.692.69-2.231.452.634.102.82-1.87
8.497.308.727.246.278.496.547.872.804.771.964.102.193.273.873.773.23-0.812.183.294.113.843.156.163.272.0215.644.163.843.493.305.247.055.565.585.635.455.474.155.05-3.583.284.283.831.863.172.173.633.811.6125.25-4.432.972.671.941.69-3.160.633.253.151.88-2.77
0.210.200.200.220.220.230.230.240.230.210.190.220.220.210.210.220.210.210.210.220.210.210.210.210.210.210.230.240.230.230.230.230.230.220.240.240.230.220.240.240.250.240.240.250.250.240.230.250.250.240.230.240.230.220.230.230.220.210.210.220.210.21
1.031.021.001.031.091.101.181.241.251.241.231.271.341.241.231.251.131.121.141.221.151.161.261.241.291.301.481.531.531.481.481.541.521.381.481.521.511.451.561.591.731.531.621.681.601.591.671.821.791.741.881.861.861.722.082.002.011.861.981.951.911.71
2.562.572.692.672.562.662.712.762.482.382.312.772.932.812.532.282.332.563.012.672.432.322.631.882.151.993.462.112.222.342.482.202.202.182.422.212.182.092.422.112.282.282.602.352.292.212.282.392.492.372.622.442.452.452.652.422.552.342.562.552.572.63
35.2034.9833.4133.7535.1033.7833.1632.6136.2637.8838.8932.4730.7331.9835.6339.4038.6835.1729.8833.6837.0938.7234.1647.9441.7745.2425.9942.6440.5838.4136.3340.8540.8941.2637.2240.6441.2743.1337.1842.6639.5039.5134.5638.2939.3840.6939.4237.6636.1737.9134.3936.9436.7836.8134.0037.1935.3238.5135.1635.3335.0834.27
6.755.777.056.696.128.967.269.863.495.482.063.942.323.574.184.313.29-0.992.133.444.193.893.145.393.041.9813.464.173.833.423.305.227.165.235.195.455.295.434.104.83-3.793.184.264.172.043.462.313.023.351.4622.62-4.813.063.372.622.41-4.670.864.365.543.57-5.77
247162-139.01-48.57-51.55-45.70-28.57-26.73-7.59-12.08-3.94-55.73-57.53-37.80-102.67-94.2760.96-23.3442.6182.1682.3926518682.2764.08120-37.19-7.57-7.08-5.97-5.38-9.33-11.63-8.68-12.63-13.87-12.26-10.18-8.45-12.498.37-8.21-8.55-8.99-3.61-5.30-3.34-11.38-10.34-3.65-52.276.99-4.40-2.72-1.89-1.662.98-0.58-2.90-2.67-1.512.05
1.751.451.751.561.401.951.511.900.631.010.370.880.540.800.991.030.87-0.270.600.971.181.070.901.670.930.603.580.980.900.790.761.221.651.231.341.341.281.231.001.20-0.890.770.990.990.460.750.490.890.940.395.68-1.060.690.590.440.38-0.710.130.680.680.40-0.57
2.452.122.652.312.002.662.122.700.891.410.531.220.761.121.541.571.32-0.370.901.411.701.521.292.371.300.824.961.411.291.131.111.752.361.711.951.961.861.791.411.70-1.221.081.401.410.651.050.701.221.280.537.53-1.430.930.800.590.51-0.950.180.910.920.55-0.76
9.379.309.098.287.987.527.006.376.146.336.166.045.916.116.876.737.307.137.097.017.006.796.737.296.996.954.173.663.543.473.373.483.403.413.393.373.313.083.103.363.253.343.273.142.962.882.823.273.143.023.002.542.702.302.172.122.042.132.121.751.601.43
0.530.013.702.270.940.193.522.000.930.062.041.491.030.192.951.400.51-0.272.261.020.20-0.58-1.21-0.96-0.96-0.61-0.62-0.38-0.33-0.290.231.230.770.181.781.060.540.081.591.000.470.091.310.770.31-0.031.180.720.360.081.020.510.310.020.970.490.28-0.071.460.940.510.01
-1.36-1.061.100.36-0.30-0.441.750.57-0.24-0.66-0.65-0.42-0.14-0.340.64-0.13-0.58-0.811.060.24-0.33-0.85-2.32-1.83-1.52-0.91-1.43-1.02-0.80-0.53-0.690.420.19-0.141.040.510.15-0.101.501.050.650.130.920.510.07-0.130.720.440.19-0.020.600.230.12-0.090.620.270.16-0.131.110.680.34-0.10