Hershey Financial Ratios for Analysis 2009-2024 | HSY

Fifteen years of historical annual and quarterly financial ratios and margins for Hershey (HSY).

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
0.970.800.901.571.050.930.960.950.831.161.771.441.741.541.52
0.480.500.600.650.670.700.690.740.600.500.530.590.670.620.66
1.171.451.822.062.453.173.143.602.311.431.211.822.141.952.03
44.7643.1845.1345.4245.3645.8945.9842.6045.7944.9545.9143.0441.6442.5938.75
22.9421.7022.7821.8719.9820.8417.4816.8714.0518.7618.7216.7217.3515.9614.37
22.9421.7022.7821.8719.9820.8417.4816.8714.0518.7618.7216.7217.3515.9614.37
26.7025.3426.2925.4923.6324.6323.7420.9821.1721.8221.5419.8820.9019.4417.82
19.4518.4020.0318.3417.2918.1014.7814.7812.2117.6017.5115.2915.8314.2612.67
16.6815.7916.4715.6914.4015.1110.429.686.9411.4111.489.9510.348.998.23
0.940.950.860.890.981.011.351.351.381.321.331.401.381.331.44
4.605.054.984.615.355.375.395.735.335.105.865.985.476.106.24
13.5614.6513.3613.2514.0513.1112.7812.8012.3312.4314.9514.4015.2214.5412.91
26.9324.9127.3227.5525.9827.8328.5728.5229.6029.3624.4125.3523.9825.1128.27
45.4249.8553.7856.9965.7283.2181.2186.9948.9755.7450.7763.0471.4054.3757.34
-390.97-129.14-77.49-121.99-72.48-70.03-292.49-150.83-3,187.0019697.18269249176689
15.6415.0214.2413.9714.0915.2013.6213.039.6015.0615.3113.9014.2711.9311.86
23.6024.7621.6720.1621.7425.1225.2822.6819.6927.6624.0525.6223.9220.5619.27
20.0516.1013.3810.758.366.724.423.904.836.877.224.683.914.133.33
11.3011.2710.038.128.377.585.854.715.693.765.244.792.563.914.65
7.558.757.646.016.866.264.683.474.082.113.773.581.053.054.06

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
0.850.860.970.971.091.060.830.800.790.740.960.901.441.401.611.571.441.310.991.050.800.880.920.931.010.940.610.960.951.101.100.951.060.680.760.830.990.990.971.161.161.791.761.771.881.841.461.441.381.451.521.741.541.631.511.541.311.621.571.521.321.181.09
0.430.470.480.480.510.530.490.500.520.540.580.600.620.640.640.650.660.700.670.670.620.630.690.700.720.750.680.690.710.730.740.740.710.670.640.600.660.560.540.500.490.530.520.530.570.620.580.590.600.580.660.670.610.600.630.620.590.670.660.660.700.770.80
1.261.351.311.171.241.341.361.451.591.731.701.821.781.891.992.062.382.893.032.452.572.453.103.173.774.334.663.143.783.423.363.603.423.962.952.312.952.011.871.431.531.241.181.211.411.691.701.821.981.832.252.141.721.762.011.951.772.111.972.032.743.864.86
41.2640.1951.5342.2744.8945.4646.2743.1640.6342.1546.7143.5444.9746.5245.6944.0348.6546.4242.5444.0944.2049.5044.2647.5141.5245.3049.4043.1646.3846.0548.3838.2742.4745.6444.6944.7545.5046.5846.4944.1343.8545.4646.5643.8346.1547.6346.4843.1342.5243.7342.9240.2841.8842.5841.9541.7842.3544.3242.1940.5439.6938.7035.62
20.5213.8732.5317.4824.2922.5126.7719.8620.4019.2427.0419.7424.3622.9624.0918.5427.5422.4518.7913.8421.5923.2021.7621.1919.5418.0224.3717.2322.7019.2710.4914.1518.6716.0418.5617.9715.450.4819.8217.5518.2817.5721.5615.6819.9917.8321.4414.4317.2715.7119.3114.6119.7717.2317.6815.3719.3710.0917.9915.0918.849.9612.37
20.5213.8732.5317.4824.2922.5126.7719.8620.4019.2427.0419.7424.3622.9624.0918.5427.5422.4518.7913.8421.5923.2021.7621.1919.5418.0224.3717.2322.7019.2710.4914.1518.6716.0418.5617.9715.450.4819.8217.5518.2817.5721.5615.6819.9917.8321.4414.4317.2715.7119.3114.6119.7717.2317.6815.3719.3710.0917.9915.0918.849.9612.37
---------------------------------------------------------------
17.3611.8530.3212.0321.5617.6525.4113.6917.3417.0125.4114.7422.1121.0322.4012.0525.3419.5716.4410.3619.0920.5519.6317.3017.1614.8422.7813.4219.7116.908.9610.0816.3614.2518.5815.5312.58-1.0219.3416.0017.6116.2720.4314.6418.8216.4320.1513.1315.8713.9917.9313.2518.3515.4716.1113.5017.938.2416.3113.5617.348.0210.44
14.948.7224.5213.1417.1116.3419.6514.9414.6413.3020.0114.4318.8515.1417.2413.3320.1515.7513.3110.0215.2417.7015.0916.9412.6812.9517.769.3413.4412.246.655.9311.358.9112.5711.187.89-6.3312.6310.0711.4110.6513.499.5112.5710.5713.248.5610.129.5911.479.0712.119.8110.249.1411.653.7910.479.0110.926.096.14
0.240.170.260.220.250.220.270.240.250.220.250.220.250.220.250.240.240.190.230.250.250.230.260.260.270.240.270.350.360.310.350.360.340.290.340.360.350.290.340.360.330.300.340.370.370.320.380.370.370.300.380.360.390.310.370.350.400.340.380.380.390.340.35
1.350.851.391.141.240.981.361.291.371.141.381.331.261.001.371.271.190.921.411.421.230.931.421.331.381.051.281.461.160.961.221.631.371.021.311.401.310.971.391.401.221.011.471.671.311.011.561.571.381.011.521.441.441.151.701.621.501.141.691.611.601.121.39
2.612.452.703.232.693.263.493.732.943.633.073.462.813.743.623.552.683.162.893.642.513.282.913.352.553.493.213.302.743.983.163.392.643.393.363.192.583.563.193.372.493.733.024.092.814.123.543.802.694.003.453.922.624.463.613.802.553.843.423.432.614.303.73
34.4236.7233.3627.9033.5027.6225.8124.1330.6624.8229.3125.9832.0824.0924.8925.3433.6328.4931.1724.7435.8127.4430.9826.9035.2725.7928.0427.3032.8822.5928.5326.5634.1226.5726.7728.2434.9225.2828.1826.7336.0824.1629.8321.9932.0321.8525.4423.7133.4622.4826.1122.9434.4020.1724.9423.6835.2423.4326.2926.2434.4220.9424.10
10.614.5119.418.5213.0711.0216.9812.0112.9610.9118.3012.3217.5413.2517.5213.0221.6215.2616.0511.7118.4618.6021.3523.5621.2520.9935.4419.4932.6623.3011.6214.1224.1418.8426.1420.3716.52-8.3218.6013.3313.9210.4515.1311.5117.2514.2221.7414.3017.7312.4922.4316.1320.6012.4317.6114.4520.886.3818.6816.6725.4115.6019.63
-145.75-34.77-179.33-73.30-81.94-43.79-53.52-31.11-26.51-18.21-30.76-17.76-39.67-21.49-39.34-27.86-36.77-17.44-16.52-12.92-19.43-22.71-18.44-19.83-18.48-13.72-20.77-70.19-76.36-62.12-27.98-24.48-59.17-25.84-123.16-1,325.77-109.53-114.90-954.9246.9144.9419.9927.8322.0440.9246.8776.3761.0197.1648.9030656.3460.7632.8461.7646.6783.0450.77171200-294.63-30.76-25.99
3.541.466.442.934.343.535.283.623.692.985.013.264.713.394.393.194.833.013.042.513.844.023.874.303.393.024.783.274.853.771.842.123.892.624.333.992.75-1.834.253.603.783.244.653.474.593.404.993.153.732.914.323.234.763.013.783.174.641.293.993.454.292.042.16
6.042.4110.104.426.445.238.645.976.225.067.624.966.714.736.244.607.264.585.243.876.996.856.527.115.895.1811.506.079.476.303.073.686.886.229.388.195.59-3.648.516.617.064.947.295.457.405.479.125.817.035.257.545.418.025.036.545.478.522.096.435.607.573.634.01
20.7819.8220.3220.0519.4018.0716.9216.1015.2614.1114.1813.3812.3211.0410.9410.759.948.448.048.368.428.036.826.725.965.084.734.423.984.103.973.904.413.644.114.834.325.476.016.877.287.257.477.226.045.034.984.684.474.803.973.914.244.604.034.133.803.233.473.332.802.011.70
7.834.412.7811.307.625.113.6711.277.565.393.1710.036.774.902.928.125.242.941.178.374.703.221.577.584.242.871.665.852.931.561.094.712.101.721.245.692.702.211.163.761.730.760.905.242.751.541.294.792.651.371.212.561.121.240.693.911.681.150.794.652.771.951.21
5.512.721.747.554.953.502.818.755.824.232.497.645.093.802.376.013.842.050.706.863.582.391.136.263.312.301.384.682.241.170.943.471.331.241.064.081.631.530.882.110.700.100.553.771.810.910.883.581.720.730.811.05-0.040.460.343.051.160.830.644.062.321.641.05