Green Plains Financial Ratios for Analysis 2009-2024 | GPRE

Fifteen years of historical annual and quarterly financial ratios and margins for Green Plains (GPRE).

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
1.901.912.371.421.231.451.361.682.081.771.551.311.601.771.45
0.330.320.320.270.220.220.420.440.310.330.470.430.490.510.56
0.620.640.700.700.660.491.301.140.700.841.351.351.261.341.48
5.003.086.334.440.274.907.148.236.9713.177.052.784.857.156.44
-1.87-2.700.90-6.38-5.903.010.722.692.068.853.551.872.794.313.00
-1.87-2.700.90-6.38-5.903.010.722.692.068.853.551.872.794.313.00
1.19-0.064.450.11-2.076.754.305.494.5511.045.383.484.266.135.25
-2.50-2.69-1.52-8.38-7.150.19-1.681.120.727.742.380.721.743.101.55
-2.83-3.47-2.33-5.65-6.900.531.860.310.244.931.430.341.082.251.52
1.701.731.311.221.421.351.181.361.551.781.982.582.501.531.49
14.5112.739.896.829.539.384.297.417.7911.0217.8519.6514.7610.7214.98
34.5933.3323.3934.2121.3229.5720.8821.6128.1823.4328.4743.1733.4623.9329.25
10.5510.9515.6110.6717.1212.3417.4816.8912.9515.5812.828.4510.9115.2512.48
-7.71-9.74-4.01-11.54-17.202.377.243.111.5920.007.962.407.569.686.49
-7.71-9.74-4.01-11.54-17.202.378.753.831.6621.088.602.628.2310.156.81
-3.93-4.87-2.04-5.68-8.761.142.751.220.798.762.830.872.693.452.30
-5.15-6.64-2.73-8.43-13.421.854.201.731.0913.334.231.383.834.702.88
16.6317.8920.5621.7824.0125.8625.7825.5225.3121.2017.8816.5115.3513.9012.45
0.961.260.092.86-0.250.94-3.632.610.365.442.80-0.452.601.082.13
-0.45-2.57-2.050.82-2.1416.24-4.511.10-1.274.202.292.531.590.461.58

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
1.681.751.901.881.591.731.912.221.792.002.372.762.782.401.421.531.591.231.231.291.521.411.451.371.511.471.361.571.601.751.682.152.132.102.082.482.331.931.772.122.011.431.552.101.681.541.311.401.411.441.601.581.751.671.771.702.352.081.451.511.591.78
0.350.350.330.340.350.340.320.310.310.350.320.320.350.370.270.300.280.220.220.220.270.230.220.430.430.420.420.450.430.450.440.410.340.340.310.310.350.330.330.370.400.390.470.480.450.450.430.490.500.510.490.510.510.520.510.460.490.480.560.580.510.52
0.710.700.620.690.890.800.640.650.880.930.700.670.730.880.700.680.610.640.660.600.910.880.491.411.271.321.301.291.101.171.140.980.810.820.700.670.810.880.840.800.891.081.351.241.151.311.351.461.471.611.261.391.351.541.341.171.121.111.481.631.221.23
6.111.4010.368.371.800.083.56-0.868.390.436.251.5310.876.986.675.545.291.503.47-0.95-1.53-0.60-11.956.176.924.646.918.565.417.5812.948.847.852.126.927.508.175.2716.4213.299.3513.7315.925.414.053.564.752.942.081.135.644.944.094.636.926.446.778.7910.475.925.230.85
-2.86-7.522.282.37-4.95-6.79-2.52-6.483.34-6.130.97-5.984.285.66-7.27-3.35-4.99-8.58-2.09-6.70-7.40-8.8152.78-0.481.19-0.38-1.722.30-0.431.966.023.673.09-3.021.722.673.280.568.919.007.0410.687.163.372.311.667.740.91-0.12-1.433.493.042.062.464.423.413.775.757.162.971.47-3.25
-2.86-7.522.282.37-4.95-6.79-2.52-6.483.34-6.130.97-5.984.285.66-7.27-3.35-4.99-8.58-2.09-6.70-7.40-8.8152.78-0.481.19-0.38-1.722.30-0.431.966.023.673.09-3.021.722.673.280.568.919.007.0410.687.163.372.311.667.740.91-0.12-1.433.493.042.062.464.423.413.775.757.162.971.47-3.25
--------------------------------------------------------------
-3.78-8.321.662.06-5.78-7.55-3.02-7.325.43-7.200.09-7.311.54-0.05-9.44-5.74-7.47-9.89-2.40-8.23-9.10-10.5537.32-2.87-0.71-2.44-3.83-1.04-2.43-0.083.932.132.08-4.630.651.271.75-0.787.797.915.989.505.732.251.270.546.69-0.17-1.34-2.672.472.030.911.463.202.122.524.665.381.480.20-4.20
-3.93-8.611.022.50-6.13-8.44-4.22-7.704.58-7.87-1.19-7.981.34-1.18-10.37-8.13-2.12-2.60-5.55-6.16-7.19-9.7632.87-1.58-0.10-2.317.593.82-1.85-0.412.000.940.92-3.22-0.490.831.05-0.455.095.013.865.893.571.240.740.333.74-0.11-0.87-1.641.441.300.580.952.161.481.923.655.261.510.22-4.23
0.350.330.370.460.420.410.430.450.440.350.370.350.360.280.300.280.250.390.420.370.290.200.070.290.380.390.220.340.370.370.370.390.470.390.390.390.430.420.460.490.520.490.470.550.640.590.650.670.660.550.650.680.630.570.540.470.460.440.500.440.410.33
3.093.082.963.933.272.983.163.722.942.482.813.022.351.991.662.172.122.912.732.550.970.620.600.971.471.510.801.351.881.761.922.372.912.021.952.613.172.602.723.845.623.523.796.187.264.464.893.814.583.063.804.985.193.583.823.645.744.474.816.654.174.18
6.186.777.486.206.427.768.328.006.355.486.648.128.908.798.513.773.118.246.318.195.195.561.615.335.775.663.906.986.058.285.906.136.096.717.035.085.797.266.017.676.936.536.679.857.599.7010.979.247.578.368.697.909.639.098.507.926.969.939.826.305.855.91
14.5613.3012.0414.5114.0211.6010.8211.2614.1716.4313.5611.0910.1110.2410.5723.8628.9710.9214.2611.0017.3516.1755.8016.9015.5915.9023.0812.8914.8810.8715.2414.6914.7813.4212.8017.7215.5512.4014.9711.7412.9913.7913.489.1411.859.288.209.7411.8910.7610.3611.399.359.9010.5911.3712.949.069.1714.2915.3915.23
-2.73-5.681.212.70-5.22-6.81-3.05-6.104.87-5.36-0.35-4.871.60-0.22-5.55-3.82-0.64-1.18-3.98-4.29-4.23-3.264.59-0.780.36-1.864.473.89-1.190.172.501.331.40-2.130.071.030.97-0.425.305.404.577.254.671.801.200.526.73-0.21-1.63-2.772.622.540.991.503.291.752.143.817.501.940.20-3.33
-2.73-5.681.212.70-5.22-6.81-3.05-6.104.87-5.36-0.35-4.871.60-0.22-5.55-3.82-0.64-1.18-3.98-4.46-4.39-3.384.59-0.950.44-2.265.404.74-1.460.213.071.391.46-2.230.081.081.02-0.445.585.704.857.795.051.961.310.577.34-0.23-1.79-3.042.862.781.081.583.451.812.213.957.871.980.20-3.33
-1.36-2.840.621.35-2.39-3.26-1.52-3.232.30-2.48-0.18-2.570.81-0.10-2.73-2.00-0.35-0.63-2.03-2.30-1.97-1.562.20-0.290.15-0.731.701.50-0.490.070.980.590.68-1.030.040.530.45-0.192.322.451.992.861.660.680.470.202.45-0.07-0.57-0.900.930.880.370.531.170.700.901.592.660.670.08-1.37
-1.76-3.680.811.79-3.40-4.51-2.08-4.223.34-3.49-0.24-3.331.04-0.14-4.05-2.68-0.46-0.92-3.10-3.37-3.08-2.523.58-0.440.21-1.072.592.14-0.680.091.390.780.92-1.400.050.710.62-0.283.533.402.764.432.480.930.660.293.87-0.11-0.81-1.341.331.240.490.721.600.941.091.983.330.810.10-1.60
13.6213.9416.6316.3715.5516.3517.8918.7820.0919.3720.5620.8520.8620.6221.7822.5424.0424.8024.0124.8226.0524.7425.8624.4825.0325.2725.7824.6423.8925.0525.5225.1924.3124.1725.3125.6321.2020.9021.2020.5618.8315.9317.8817.2816.4816.2216.5115.9315.6115.5115.3514.8113.9213.7913.9013.5413.2712.9812.4511.4411.2111.18
-1.03-0.800.96-0.82-2.86-2.001.26-0.60-1.59-3.070.09-0.55-0.52-0.982.862.211.910.51-0.25-0.01-0.80-0.520.942.101.14-1.02-3.63-2.26-0.94-1.572.611.610.13-2.090.36-0.190.58-1.215.445.563.84-1.162.803.231.90-0.39-0.45-0.59-1.36-2.882.600.38-0.46-2.131.080.651.030.732.130.48-0.16-0.43
-1.65-1.14-0.45-1.60-3.69-2.55-2.57-3.77-3.51-4.25-2.05-1.27-0.280.140.82-0.260.06-0.61-2.14-1.09-1.22-0.6716.241.350.78-1.21-4.51-2.98-1.63-1.951.100.70-0.63-2.58-1.27-1.35-0.14-1.594.204.473.10-1.502.292.891.76-0.462.53-1.39-1.85-3.061.59-0.46-1.09-2.400.460.280.870.641.580.17-0.29-0.48