Interpublic Group Of Financial Ratios for Analysis 2009-2024 | IPG

Fifteen years of historical annual and quarterly financial ratios and margins for Interpublic Group Of (IPG).

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
1.061.031.030.980.931.010.970.971.011.050.991.131.041.091.11
0.420.440.450.500.500.600.360.380.450.430.330.460.330.380.39
0.800.790.821.181.181.530.610.820.870.800.741.000.710.680.77
16.6616.8818.0914.9214.6014.1913.4113.6411.4910.469.259.739.818.435.76
13.6212.6414.026.4910.6210.3810.3710.3411.4910.468.409.759.808.435.68
13.6212.6414.026.4910.6210.3810.3710.3411.4910.468.409.759.808.435.68
16.4915.6317.5410.5714.2313.3913.0813.1214.5513.4111.3412.5412.5611.419.53
12.9311.6111.933.998.598.639.299.1210.019.566.579.7010.536.923.87
10.098.589.303.876.426.376.136.685.976.333.646.257.424.171.56
0.570.580.510.500.580.620.710.730.610.590.550.520.540.500.49
---------------
1.361.491.361.401.431.381.431.531.281.301.171.201.241.181.24
268245268261255264255238285281313305295310295
27.9326.0327.1012.0323.8526.2125.3930.5824.0023.4912.8420.7924.2311.997.13
-61.41-43.54-44.89-12.07-21.86-18.03-33.26-38.88-29.91-33.29-20.96-41.33-58.24-35.08-18.27
5.805.084.891.963.804.084.495.043.823.972.243.444.272.151.17
16.1514.6114.976.0412.0410.4716.1518.8513.3013.438.5510.2814.876.783.44
10.579.509.107.537.306.345.865.254.995.205.305.885.565.255.22
1.441.635.214.703.911.452.221.261.661.641.380.740.511.511.06
0.971.174.724.273.401.001.830.771.271.290.980.390.251.330.93

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
1.091.071.061.061.041.031.031.031.041.041.041.031.011.000.970.981.010.980.970.930.950.970.961.011.240.940.950.970.930.930.940.970.990.990.991.011.011.031.031.051.041.040.960.991.051.051.161.131.011.031.021.041.021.011.021.091.061.071.101.111.121.111.08
0.440.430.430.420.440.440.440.440.460.450.450.450.470.480.500.500.550.580.570.500.570.590.610.600.600.380.380.360.390.390.390.380.440.440.450.450.460.450.450.430.430.420.340.330.390.380.450.460.340.340.340.330.330.320.320.380.410.420.400.390.440.460.45
0.780.750.820.800.860.850.800.790.860.850.840.821.071.111.181.181.441.591.641.181.441.531.671.531.540.980.980.611.030.910.960.820.880.900.880.870.930.890.900.800.830.790.760.740.720.950.901.000.690.670.670.710.710.710.680.680.830.870.790.770.830.900.98
17.1815.1711.5423.0317.1414.6010.6821.7115.9815.9213.2119.7117.6919.2715.1422.4917.7311.377.2520.0314.7314.188.2421.3214.2513.465.5319.4814.0713.145.3722.4510.8211.701.3220.9110.2911.500.4719.629.3010.58-0.7118.148.329.95-2.7519.817.8710.28-2.6118.6010.0310.00-3.0216.386.5411.03-4.4215.354.056.57-6.19
5.0611.747.3820.0714.0711.657.4714.8912.9612.769.5715.6013.8315.3210.778.7611.702.003.2216.9311.5010.482.1316.0711.3910.421.7916.3311.5510.331.6813.8510.8211.701.3220.9110.2911.500.4719.629.3010.58-0.7115.288.329.95-2.7519.877.8710.28-2.6118.5910.0310.00-3.0716.496.4510.99-4.4415.054.096.57-6.18
5.0611.747.3820.0714.0711.657.4714.8912.9612.769.5715.6013.8315.3210.778.7611.702.003.2216.9311.5010.482.1316.0711.3910.421.7916.3311.5510.331.6813.8510.8211.701.3220.9110.2911.500.4719.629.3010.58-0.7115.288.329.95-2.7519.877.8710.28-2.6118.5910.0310.00-3.0716.496.4510.99-4.4415.054.096.57-6.18
---------------------------------------------------------------
4.1710.916.4320.6412.6810.456.5813.8312.5611.518.1714.7812.5214.115.166.819.06-1.230.8514.749.548.590.0614.149.758.84-0.0715.5810.338.660.9612.5610.2110.73-0.7519.487.4510.71-0.3318.978.559.11-1.4714.804.538.42-4.6023.116.489.04-4.3317.8716.638.96-5.0915.974.459.07-6.3614.952.042.48-7.51
0.767.924.4215.329.109.965.009.959.558.396.2112.219.4410.494.064.4013.16-2.250.2011.336.796.73-0.3411.427.016.10-0.659.747.694.931.209.046.698.180.3111.854.026.46-0.1114.004.875.37-1.289.102.674.55-3.8415.184.115.77-3.0512.5012.055.84-3.269.722.736.53-5.357.271.211.42-5.58
0.150.160.140.160.160.160.150.160.160.160.140.150.140.140.140.140.130.140.140.160.150.150.150.180.170.190.180.200.190.190.180.280.160.160.150.170.160.160.150.170.160.150.140.160.150.140.130.150.140.140.130.160.150.140.120.150.130.140.120.150.130.130.12
---------------------------------------------------------------
0.380.410.390.380.410.420.420.410.420.440.410.390.410.420.430.390.420.440.420.410.400.400.390.410.380.390.370.410.410.400.380.590.350.340.320.370.340.350.320.380.330.310.290.350.320.310.290.350.310.330.290.370.330.320.280.360.300.330.290.370.340.350.31
237222233238217216212221214206222231219213211228217205213222224227233221235233246220222226235153260265284244262260283237274295314259285287315254288275309246270285327248297277306245265258287
0.645.642.9311.786.587.173.658.337.456.644.5310.257.598.613.163.9710.09-1.760.1012.116.737.03-0.4014.087.537.07-0.7511.988.455.351.0716.216.727.900.1414.134.126.15-0.2215.404.394.67-1.039.422.334.00-2.5915.083.074.73-2.0712.239.924.79-2.309.502.164.18-3.627.941.421.81-4.53
-1.48-11.77-5.97-25.90-11.80-12.68-5.90-13.93-12.14-10.70-7.40-16.98-9.54-9.83-3.16-3.99-9.091.32-0.08-11.10-4.99-4.970.26-9.68-10.13-8.710.95-15.70-9.79-6.18-1.25-20.61-7.63-9.80-0.16-17.61-4.59-7.670.25-21.82-5.91-6.951.50-15.39-3.86-7.155.29-29.99-5.90-10.454.42-29.39-21.93-11.696.08-27.79-4.48-7.768.35-20.35-2.71-3.036.72
0.141.290.662.451.441.570.791.631.531.340.901.851.371.550.570.651.73-0.290.021.931.051.05-0.062.191.211.20-0.132.121.470.920.182.671.121.380.022.250.681.08-0.042.600.790.84-0.191.640.430.70-0.482.500.580.89-0.392.161.840.89-0.441.700.380.71-0.621.300.240.28-0.67
0.363.221.676.813.694.032.044.674.053.622.495.663.994.451.592.004.51-0.740.046.112.872.87-0.165.623.014.38-0.477.625.183.270.659.993.734.440.087.832.223.40-0.128.802.482.69-0.686.271.292.23-1.287.461.832.86-1.257.516.082.97-1.445.371.162.17-1.723.830.610.75-1.87
9.8610.1510.1310.459.539.569.249.508.728.808.969.108.187.917.437.537.086.396.617.306.476.366.106.345.655.455.555.865.255.125.055.254.814.954.824.994.664.914.715.205.065.275.135.305.615.635.795.884.934.995.485.56---5.25---5.22---
0.50-0.10-0.411.44-0.88-1.50-1.411.63-1.67-1.83-1.595.211.520.55-0.634.700.83-0.94-0.713.911.080.51-0.241.45-0.84-1.43-1.902.22-0.35-0.38-0.931.26-0.07-1.35-1.601.66-0.57-1.25-1.901.64-0.89-1.30-1.721.38-1.01-1.32-1.870.74-0.98-0.71-1.140.51-0.83-1.10-1.681.51-0.30-0.37-1.181.06-0.39-0.64-1.20
0.21-0.28-0.510.97-1.21-1.71-1.501.17-1.97-2.01-1.674.721.210.39-0.704.270.54-1.12-0.823.400.740.30-0.331.00-1.11-1.59-1.961.83-0.62-0.55-0.990.77-0.35-1.51-1.661.27-0.77-1.36-1.951.29-1.11-1.44-1.780.98-1.23-1.42-1.910.39-1.19-0.83-1.190.25-0.98-1.20-1.721.33-0.40-0.42-1.200.93-0.47-0.69-1.23