Hormel Foods Financial Ratios for Analysis 2009-2024 | HRL

Fifteen years of historical annual and quarterly financial ratios and margins for Hormel Foods (HRL).

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
1.432.472.082.382.141.801.921.931.702.232.612.952.571.692.30
0.230.300.320.140.040.100.050.050.060.060.070.080.09-0.14
0.430.440.480.200.040.110.050.060.110.070.080.090.090.150.16
16.5117.3716.9319.0019.8420.7421.7822.6619.5216.8016.1416.1816.9017.1616.82
8.8510.549.8611.4512.6012.3613.9313.9011.5210.009.219.299.408.958.21
9.2110.7510.2811.8213.0112.9814.3614.3111.7810.199.449.769.749.148.29
11.5312.6512.1213.9614.7514.8615.7915.7013.4511.5810.8711.2111.3110.8810.23
8.3710.269.8911.6012.7412.3813.9513.8311.419.909.129.219.108.658.08
6.558.037.989.4510.3110.609.249.357.416.476.016.086.015.485.25
0.900.940.900.971.171.171.311.501.511.711.781.801.861.781.77
6.026.006.917.257.307.857.797.477.517.357.587.267.417.547.52
14.6914.2412.6012.9215.9815.7914.3115.6215.1414.6715.8715.7216.2616.4317.55
24.8525.6328.9828.2622.8423.1125.5123.3624.1124.8923.0023.2222.4522.2120.80
10.2513.2713.0314.1316.5218.0717.1520.0117.1816.7815.9817.8818.0216.6116.29
75.2812340133.1440.6360.1547.2551.9746.6033.1026.4524.3825.2624.4325.38
5.907.527.169.1712.0712.4412.1413.9811.1911.1110.7811.0611.299.869.37
7.859.248.8312.1515.8616.2516.3218.9416.1715.6914.8616.4216.4716.6113.98
14.1613.8012.8711.9111.0910.499.358.427.576.856.295.375.044.523.98
1.912.071.832.061.692.281.921.921.831.381.180.960.900.901.03
1.431.561.411.391.221.581.511.461.601.111.000.730.730.740.86

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
2.291.731.491.431.402.422.332.472.402.282.192.082.152.992.542.382.391.702.342.142.092.141.461.801.691.611.471.922.532.582.301.931.782.111.911.701.612.652.402.232.862.892.632.612.472.593.252.953.132.942.792.572.822.271.911.691.682.512.472.302.182.141.95
0.270.270.230.230.230.300.300.300.310.310.320.320.330.130.140.140.140.010.050.040.040.040.040.100.100.110.110.050.050.050.050.050.050.050.060.060.060.060.060.060.070.070.070.070.080.080.080.080.080.080.080.090.090.09---0.130.140.140.140.140.15
0.360.480.420.430.430.430.430.440.450.450.470.480.490.160.200.200.210.050.050.040.040.040.110.110.130.150.170.050.050.050.050.060.090.060.060.110.150.070.070.070.070.070.070.080.080.080.090.090.090.090.090.090.090.230.140.150.150.150.160.160.190.210.22
16.8517.4516.9816.0916.8116.5016.6917.2516.6817.8717.7016.7314.7818.2718.2918.9217.7419.7119.6519.7418.9220.0120.6921.1219.2921.1521.3720.2620.5022.2624.2222.7820.6422.8824.3420.6218.7120.1618.5616.6515.9316.8717.7816.5915.3016.3916.2616.2115.2916.6716.5415.9715.5916.6519.4617.2116.4616.5018.4318.1616.5316.4316.12
8.178.749.498.447.319.939.7411.189.5910.8110.5010.357.2511.1010.8911.4310.4812.1111.7612.8311.2013.3212.9712.6610.8812.9512.9513.0612.6714.4515.5813.9211.9414.0815.6812.1810.5612.1811.1010.359.399.6510.5810.348.378.689.379.318.569.679.618.897.688.8212.279.348.138.1010.179.727.597.757.73
8.449.2610.038.467.6510.5010.2711.409.8311.0010.7310.647.6111.6011.4711.8410.8312.5312.0813.2711.3513.8913.4613.0111.4413.5313.9613.5512.8514.9116.1714.3512.2114.4916.1812.5110.8512.5311.1710.589.549.8110.7910.438.439.029.839.789.0510.0610.159.257.989.1612.639.548.258.3310.339.817.677.857.77
---------------------------------------------------------------
7.798.469.537.697.019.369.4610.899.5510.3910.1510.207.1311.2311.2611.5210.8911.8312.1712.9411.3913.5613.0112.7310.9212.7413.0913.2412.6014.4415.5613.8811.9114.0915.4512.0410.4312.1011.0210.259.329.5010.4910.318.208.599.319.258.449.639.538.577.408.5511.959.127.777.799.829.467.567.867.43
6.106.567.306.135.497.307.338.527.218.457.878.166.188.749.039.688.539.4010.1910.218.7112.0510.2310.358.9110.1913.008.758.279.6410.319.288.509.3610.257.806.717.917.176.736.046.246.846.775.265.836.136.115.546.356.305.585.155.597.755.874.934.586.446.204.905.044.82
0.220.200.220.240.220.220.220.250.230.240.240.270.230.260.250.240.250.290.290.310.290.300.290.310.300.300.300.360.340.340.360.410.360.380.380.390.360.410.430.470.440.440.440.470.450.460.460.480.460.470.480.500.460.440.470.510.450.450.460.450.430.440.47
1.461.421.581.601.421.421.431.581.511.591.812.101.711.731.851.831.991.851.811.931.681.821.882.071.901.821.882.161.731.721.802.061.771.731.741.921.811.891.922.011.781.771.992.001.821.801.861.911.841.841.932.001.862.011.972.151.831.851.931.901.761.781.91
3.993.943.993.913.733.873.743.753.743.863.713.823.143.563.443.253.674.524.244.214.334.364.184.184.184.204.103.894.023.864.304.314.034.194.133.923.883.754.144.004.214.244.444.214.174.494.544.154.074.414.834.334.304.784.734.694.434.674.954.504.344.624.56
22.5822.8222.5523.0024.1123.2524.0623.9824.0423.3424.2523.5528.6825.2626.1727.6624.5519.9321.2421.3820.7920.6421.5521.5521.5121.4121.9823.1322.3823.3420.9520.8822.3621.4621.7822.9423.2123.9921.7322.4721.3921.2420.2721.3621.5620.0419.8421.7122.1020.3918.6520.7720.9518.8319.0519.1720.3019.2618.1720.0020.7219.4619.72
2.242.402.792.532.112.822.863.712.973.563.374.042.613.403.393.653.243.693.994.313.394.794.234.673.904.495.884.423.844.505.145.494.465.005.654.683.734.694.624.763.884.014.514.783.734.204.474.753.884.604.724.463.754.195.885.093.743.475.074.923.603.854.01
14.6115.5318.7918.5616.3322.4624.3934.5134.7743.9966.401247727.547.768.567.899.259.4210.608.4311.9013.5415.5314.7718.1525.8112.188.9110.6612.6114.2511.8212.0514.3512.7110.448.748.829.396.206.477.417.916.557.446.016.485.256.306.546.255.265.908.427.495.635.277.637.675.576.056.42
1.351.341.621.451.211.631.642.101.671.991.872.221.442.302.232.372.122.712.933.152.513.562.963.212.663.033.863.132.813.303.703.833.063.523.893.052.413.213.103.152.682.773.053.222.392.712.832.942.562.993.032.792.412.493.643.022.252.083.012.832.122.232.26
1.651.762.141.941.611.981.992.592.052.462.302.741.752.942.933.142.783.663.794.143.254.594.064.203.494.015.254.213.654.274.885.194.224.725.334.413.514.414.334.453.633.744.204.443.453.884.124.373.574.224.334.073.433.835.885.093.743.004.384.233.103.303.43
14.3714.4114.3314.1614.1214.0813.9413.8013.4913.4513.0912.8712.5212.4112.1411.9111.6311.4411.3411.0911.0411.0110.6810.4910.169.989.739.359.018.878.658.428.308.137.877.577.457.287.076.856.786.666.496.295.785.705.545.375.505.335.195.045.014.944.784.524.344.244.143.984.043.923.81
1.561.170.741.911.330.750.372.071.391.050.701.830.800.660.382.061.601.000.351.691.050.670.342.281.370.820.561.920.990.520.361.921.150.750.511.831.280.820.461.380.730.510.581.180.790.480.260.960.530.400.280.900.590.510.300.900.500.330.211.030.610.490.33
1.250.970.651.431.030.590.311.561.050.820.611.410.550.510.301.391.190.750.241.220.840.570.331.580.930.570.461.510.770.380.301.460.850.570.451.601.120.740.421.110.540.380.521.000.680.400.230.730.360.290.230.730.490.440.280.740.390.260.180.860.490.410.28