International Paper Financial Ratios for Analysis 2009-2024 | IP

Fifteen years of historical annual and quarterly financial ratios and margins for International Paper (IP).

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
1.671.351.711.360.771.491.621.641.651.621.761.782.211.781.88
0.400.360.370.510.550.580.620.720.690.620.520.590.570.540.58
0.670.660.611.031.271.441.712.602.371.781.151.531.421.221.44
27.9528.4428.5629.7530.8333.2631.9231.1730.7731.1830.6630.0427.1726.6034.86
4.868.998.298.5110.2513.4411.7011.5811.6511.199.768.919.477.9214.84
4.868.998.298.5110.2513.4411.7011.5811.6511.199.768.919.477.9214.84
12.4313.9014.5415.8417.3819.1418.2417.8717.9117.1816.3415.7114.5813.7021.14
2.027.145.161.875.037.643.904.085.483.695.234.435.603.265.13
1.527.119.052.746.698.639.864.644.542.355.943.635.082.742.84
0.810.880.770.550.550.690.640.590.680.820.740.680.960.990.91
7.217.807.637.595.746.946.406.016.426.715.765.608.177.876.98
6.186.445.996.675.586.626.616.847.737.666.256.137.478.298.67
59.0356.6460.9254.6965.3655.1455.1853.4047.2247.6558.3859.5048.8744.0542.10
3.6120.498.952.318.9922.6532.2618.3521.2810.4320.3610.8818.4310.0510.89
5.6831.9113.663.8315.8841.7167.4180.4014536.8539.2631.1127.7414.9117.18
1.307.273.220.572.074.986.222.422.731.915.352.254.762.812.67
2.1913.085.621.144.019.6112.145.186.523.959.864.427.964.614.54
24.1524.2623.9920.0219.6818.4315.8410.609.4912.5318.9915.0915.9816.1814.44
5.255.925.177.749.057.794.215.966.137.126.766.746.123.7610.88
1.993.424.035.865.904.050.942.762.694.104.233.603.471.979.63

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
1.591.681.671.751.591.551.351.381.621.731.712.111.421.451.361.330.790.770.771.491.461.431.491.591.571.631.621.481.451.581.642.291.681.661.651.341.511.601.621.671.621.741.761.761.631.711.781.801.781.832.212.091.951.891.781.731.861.851.881.741.911.64
0.380.400.400.380.400.390.360.330.370.380.370.460.460.510.510.550.570.580.550.570.570.570.580.600.610.600.620.700.690.700.720.720.690.670.690.670.640.630.620.560.540.530.520.540.560.570.590.580.600.590.570.500.500.520.540.560.590.590.580.610.670.71
0.650.680.670.640.690.700.660.570.620.640.610.880.861.031.031.231.341.491.271.391.431.441.441.591.671.561.712.502.462.452.602.582.332.202.372.161.971.821.781.391.291.221.151.281.441.431.531.421.601.551.421.101.061.131.221.321.501.481.441.642.152.63
29.0225.8728.6727.4928.2427.4528.5429.1029.3726.6928.0630.3428.6827.1126.9330.8829.5730.0125.8532.2631.1630.3736.1834.1332.7629.7635.1832.7030.3529.1145.3831.2222.7429.3330.4631.6330.5630.3230.9332.9931.1729.5227.2232.2526.1926.3826.6026.8425.5325.1126.7827.7326.5927.5926.9629.2026.6523.1333.9136.5134.8334.17
5.943.64-2.657.417.826.658.839.3110.657.107.9410.247.517.403.6910.258.848.56-4.5912.3411.6310.5816.2714.8612.469.9815.1112.6710.188.4425.2011.343.4610.1612.0712.6511.3410.6410.8712.8411.379.598.6610.967.657.087.298.167.336.759.5210.188.839.358.2111.267.614.0313.8716.1714.9414.38
5.943.64-2.657.417.826.658.839.3110.657.107.9410.247.517.403.6910.258.848.56-4.5912.3411.6310.5816.2714.8612.469.9815.1112.6710.188.4425.2011.343.4610.1612.0712.6511.3410.6410.8712.8411.379.598.6610.967.657.087.298.167.336.759.5210.188.839.358.2111.267.614.0313.8716.1714.9414.38
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4.351.84-7.095.035.454.406.275.799.546.910.878.085.286.66-8.905.505.36-0.30-19.678.125.897.416.429.378.406.333.458.28-0.434.233.137.08-0.266.203.495.784.667.365.179.122.58-2.43-2.146.744.953.244.064.552.883.206.535.744.415.765.088.141.93-3.01-7.169.958.969.14
10.521.21-6.173.585.023.43-6.2017.609.486.872.1017.589.067.606.883.985.47-2.6311.476.185.157.515.319.526.9412.9725.567.161.494.075.745.920.756.544.743.873.975.672.255.872.73-1.666.016.393.534.493.323.371.892.824.417.063.295.545.565.911.52-2.79-1.696.272.344.53
0.210.200.200.190.200.210.210.220.210.210.200.170.150.150.070.160.150.160.040.160.170.170.180.170.170.170.170.160.160.150.110.160.170.160.120.180.200.200.210.210.190.190.230.180.230.220.220.220.210.200.240.260.260.250.260.270.240.230.230.220.220.22
1.941.931.741.731.761.881.891.942.012.202.021.671.861.831.001.761.711.870.481.721.751.711.691.821.911.921.601.511.591.520.931.631.901.631.171.661.641.581.691.631.451.441.871.421.971.871.901.931.991.812.012.062.031.942.032.042.032.081.811.651.711.59
1.481.521.501.501.491.571.561.561.561.561.571.381.321.370.851.691.591.660.441.681.631.621.691.651.651.651.741.651.641.671.331.881.881.931.402.011.821.791.931.841.491.461.931.481.861.831.991.901.971.751.831.731.681.862.152.032.022.032.221.921.751.64
60.7859.3959.8460.0560.3657.3057.5857.5357.8257.7957.1965.0068.0865.4910753.3056.6054.2520553.4255.2255.7153.2554.6054.4054.6951.8054.5454.8953.9867.6047.9747.9846.5164.1544.7949.4650.1546.6948.9860.5561.8446.6360.6148.4249.1145.3147.3845.7951.4249.2851.9853.6248.3041.8844.3344.6044.4340.5846.8351.3854.86
5.790.68-3.402.162.642.052.019.354.603.00-2.164.493.713.44-1.872.873.77-2.06-4.664.593.815.704.317.966.264.9822.447.421.844.182.577.310.997.962.384.704.346.222.604.772.22-1.195.135.053.324.053.353.051.712.504.086.072.854.095.176.011.68-2.53-1.556.412.765.96
8.961.07-5.343.294.143.223.1313.927.034.64-3.296.806.155.90-3.095.387.08-3.96-8.248.467.0510.457.9315.2412.349.4046.9024.197.2716.1111.2635.645.8937.4216.2021.0416.2423.459.1910.934.64-2.459.8912.499.0011.099.567.624.225.716.148.584.045.907.669.172.71-4.04-2.4510.484.9311.53
2.160.24-1.220.800.940.720.713.571.651.06-0.781.470.990.85-0.460.640.82-0.42-1.081.010.831.250.951.661.271.064.331.080.250.580.340.950.131.090.300.660.771.110.481.130.56-0.301.351.170.720.880.690.690.370.551.051.800.871.211.441.590.40-0.61-0.381.410.531.00
3.580.41-2.061.331.591.241.286.222.911.86-1.362.422.011.70-0.921.311.61-0.86-2.081.961.632.441.833.162.432.018.442.240.561.250.732.050.312.590.731.571.552.310.992.091.02-0.552.482.321.451.741.361.290.691.021.763.011.431.972.372.650.69-1.04-0.652.490.901.70
24.7523.7724.1525.6724.2924.1824.2626.6824.9823.9823.9924.8521.3819.8420.0218.0517.9617.4719.6819.0219.0418.7218.4317.4316.7917.5415.8411.9511.0611.1310.6010.289.8410.369.4910.7812.0411.8612.5316.4718.0017.8818.9916.9115.7816.0715.0916.7516.2217.1315.9817.5318.2317.3216.1815.1813.6013.8714.4413.5911.7410.13
2.151.135.253.852.520.985.923.922.641.555.174.903.221.307.745.763.921.659.056.784.521.827.795.853.501.594.211.363.071.525.963.772.951.506.133.811.781.517.124.512.311.086.804.432.851.196.725.133.141.326.124.682.701.183.761.351.850.3710.888.335.151.88
0.890.421.991.460.770.023.422.261.671.084.034.252.661.075.864.112.550.935.904.512.951.104.052.751.290.420.94-0.821.520.632.761.631.440.772.691.490.230.774.102.380.910.454.262.911.760.713.592.851.530.673.473.021.750.771.970.301.220.099.637.474.541.57