Global Payments Financial Ratios for Analysis 2009-2024 | GPN

Fifteen years of historical annual and quarterly financial ratios and margins for Global Payments (GPN).

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
2023202220212020201920182017201620162015201420132012201120102009
0.990.921.061.011.221.031.131.091.171.091.361.721.491.281.441.77
0.400.350.310.240.240.550.530.610.600.660.550.410.150.170.240.20
0.740.630.460.350.341.391.341.741.702.701.620.890.410.470.570.31
61.3957.9055.7350.8257.7867.4751.5060.4060.4063.1562.7263.7264.3964.2464.4165.48
17.787.1315.9412.0416.1121.8914.0614.6614.6616.4615.8815.0313.9517.8319.6820.01
17.787.1315.9412.0416.1121.8914.0614.6614.6616.4615.8815.0313.9517.8319.6820.01
37.4626.8836.8834.8435.3438.9626.5421.2121.2121.4220.6519.7418.4422.2523.8624.54
12.122.5012.258.0010.5416.709.8812.4512.4515.0414.7714.0713.6317.4318.9019.99
10.221.2411.337.878.7713.4311.789.379.3710.029.609.108.5411.2512.382.55
0.190.200.190.170.110.250.310.270.280.480.640.760.820.560.810.87
----------14377.9779.5687.0460.0285.37
8.628.999.019.355.499.6613.1710.5410.0513.6711.8612.4711.9811.1112.4011.85
42.3540.6040.5239.0566.5237.7827.7234.6436.3226.7130.7829.2830.4732.8629.4430.81
4.420.643.822.201.6711.5812.4610.4410.0935.8023.8318.5516.7217.1325.5930.52
-7.55-1.37-9.34-7.20-5.30-10.44-12.60-7.06-6.88-26.01-36.50-150.6476.06106229-101.00
2.030.322.181.371.063.663.802.722.765.356.727.648.096.8410.9412.35
2.640.412.651.681.265.275.804.124.0012.1610.7610.9614.1514.2719.4924.47
89.4185.6890.8592.1493.4526.5024.9118.2618.636.618.238.538.288.335.474.22
8.598.149.477.706.996.943.294.454.453.191.341.54-1.094.412.842.36
6.085.917.796.255.445.612.373.763.762.580.780.91-1.783.802.492.11

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-11-302016-09-302016-08-312016-06-302016-05-312016-03-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
0.930.920.920.991.091.080.920.920.960.871.061.061.151.121.191.011.131.031.341.221.171.011.031.031.031.091.061.131.141.201.151.091.17-1.16---1.181.171.15-1.281.211.27-2.231.311.52-1.701.441.28-1.501.471.54-1.271.531.59-1.661.321.22-2.00
0.390.400.410.400.420.430.430.350.350.310.320.310.290.280.260.240.230.230.260.240.240.550.560.550.530.510.500.530.560.580.590.610.61-0.60---0.650.670.68-0.620.600.56-0.500.430.45-0.410.360.18-0.120.140.18-0.200.170.20-0.250.270.31-0.15
0.750.790.800.740.770.780.820.630.610.530.490.460.430.400.380.350.350.350.370.340.341.411.441.391.311.211.141.341.421.521.631.741.77-1.65---2.172.812.50-2.182.091.94-1.201.171.16-0.870.790.42-0.350.400.53-0.460.530.49-0.480.490.58-0.21
63.6063.4761.8962.1163.0261.5958.6658.8159.2557.8155.6155.8857.1356.1953.5152.2253.0246.5550.9447.7561.3367.6865.4364.4569.1068.2568.2551.7152.4651.2450.4395.5550.2750.6350.7651.71-60.3761.9562.5463.59-62.3763.0363.14-62.2162.9163.36-62.4264.2765.37-63.6064.9564.71-63.1265.2365.68-63.3264.5765.55-65.51
18.2822.2918.6920.4922.5524.582.4718.0916.91-23.2317.4414.6318.1716.9613.8313.0515.146.4312.829.8715.7423.7122.5918.9626.0222.8919.6414.1916.6013.7011.4133.9411.1812.6512.897.26-15.1015.8617.0518.40-15.7317.7817.65-15.7817.6517.05-15.6819.8113.64-17.3118.2120.01-17.1318.7518.65-18.5321.6921.77-17.35
18.2822.2918.6920.4922.5524.582.4718.0916.91-23.2317.4414.6318.1716.9613.8313.0515.146.4312.829.8715.7423.7122.5918.9626.0222.8919.6414.1916.6013.7011.4131.6811.1812.6512.897.26-15.1015.8617.0518.40-15.7317.7817.65-15.7817.6517.05-15.6819.8113.64-17.3118.2120.01-17.1318.7518.65-18.5321.6921.77-17.35
-------------------------------------------------------------------
14.4217.4713.4715.1216.8817.91-2.4013.0711.89-27.4513.1910.7814.7213.459.879.0812.381.658.086.208.0617.3516.2312.9920.9817.4715.3810.2512.908.877.1017.815.758.0112.837.97-13.2214.0615.2716.78-13.8916.4816.25-13.5917.2216.33-14.9017.7013.37-17.0617.7119.72-16.5518.6917.90-17.8220.7820.93-17.03
12.1114.5912.9514.8414.6211.18-0.4811.0712.71-29.5111.359.5013.4712.339.889.4611.522.237.545.178.5912.8812.728.5420.5613.0911.5022.9510.666.955.3112.685.255.839.067.39-9.5710.1610.9011.57-9.4110.7210.69-8.9411.6510.27-10.1011.937.91-10.8611.5311.79-10.4712.0611.22-12.1615.3614.11--29.70
0.050.050.050.050.050.050.050.050.050.050.050.050.050.050.050.040.040.040.040.040.020.060.060.070.060.070.060.080.080.100.090.040.09-0.09---0.140.140.14-0.170.150.16-0.180.160.18-0.190.170.21-0.200.200.20-0.150.220.23-0.200.160.17-0.25
------------------------------------------44.7932.2245.91-31.8426.4734.56-19.1614.8615.92-15.6915.7718.32-17.1219.9322.44-12.0411.2710.63-19.47
2.262.262.302.172.302.122.152.262.292.312.222.322.442.432.412.432.332.122.382.221.272.372.312.532.672.632.763.493.513.343.381.593.42-3.19---3.773.433.48-3.883.533.40-3.513.233.32-3.463.193.26-3.393.243.04-3.292.952.90-3.253.093.24-3.40
39.8139.7439.2041.4239.1942.5441.9039.8839.3139.0340.6138.8236.9536.9937.3037.0338.5842.4637.8140.5370.6537.9838.8935.6133.7534.2732.6225.7725.6726.9526.6256.7626.28-28.22---23.8826.2625.86-23.2125.5126.48-25.6627.8827.12-26.0028.1727.59-26.5227.7729.59-27.3230.4931.02-27.7029.1727.79-26.48
1.421.691.411.601.661.27-0.021.151.31-2.770.980.841.160.990.740.670.820.140.550.410.383.112.881.994.462.932.366.313.202.411.843.161.88-3.18---7.658.9710.15-7.368.347.89-4.766.485.95-4.895.484.22-4.805.275.49-4.405.855.77-5.376.587.25-4.67
-2.60-2.89-2.36-2.73-2.67-1.920.03-2.48-2.876.79-2.34-2.05-3.21-2.84-2.28-2.20-2.87-0.46-1.68-1.29-1.18-2.90-2.59-1.79-4.39-3.22-2.66-6.38-2.78-1.90-1.33-2.14-1.27--2.22----5.83-6.31-6.78--6.95-8.49-11.04--36.29-37.85-31.16--35.02-74.7121.03-22.8526.9334.12-43.3027.9536.61-32.1857.34-129.30-27.75
0.670.770.620.740.770.59-0.010.580.68-1.510.550.480.670.590.450.420.520.090.340.260.230.890.810.631.340.960.761.930.960.720.530.820.52-0.90---1.551.561.70-1.731.881.95-1.742.012.05-2.042.201.93-2.512.612.65-1.792.842.82-2.562.442.48-2.96
0.861.010.840.960.960.72-0.010.740.85-1.910.670.580.820.720.540.510.630.110.410.310.291.421.280.912.091.421.172.941.411.010.751.250.74-1.29---2.662.923.27-2.793.313.43-2.393.713.25-2.903.503.45-4.254.554.51-3.544.864.60-4.054.815.00-3.95
92.2390.4889.5389.4187.1386.2385.2985.6884.6286.5590.2390.8590.8591.4290.9492.1493.4392.3492.0493.4593.0226.6526.3626.5026.4025.4125.9524.9123.2719.7018.8618.2618.40-18.90---7.377.167.06-7.087.637.91-8.828.568.26-8.378.738.14-8.708.268.34-7.746.095.85-5.795.725.13-5.69
11.304.521.628.596.104.462.288.145.574.312.239.476.933.752.017.705.143.201.456.997.601.571.456.944.173.171.783.292.321.751.924.451.262.381.011.670.001.606.753.483.910.002.581.68-0.460.002.172.83-0.160.001.310.790.430.00-1.43-1.99-3.750.004.54-0.38-0.650.001.934.784.280.001.66
9.373.251.056.084.183.191.665.913.893.141.687.795.733.011.726.254.042.501.105.446.470.731.115.613.182.531.502.371.681.401.623.760.721.710.741.25-1.416.303.213.79-2.161.43-0.59-1.752.55-0.29-0.830.440.25--1.88-2.21-3.82-4.06-0.70-0.80-1.704.654.22-1.50