Kellanova Financial Ratios for Analysis 2009-2024 | K

Fifteen years of historical annual and quarterly financial ratios and margins for Kellanova (K).

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
0.660.660.640.660.720.700.670.660.560.770.850.750.930.921.12
0.600.550.600.650.680.720.780.780.710.680.640.710.740.700.68
1.741.501.692.062.392.823.934.033.622.592.043.213.352.742.15
32.6430.1232.5034.3332.2734.8936.5637.2934.6134.7341.2638.2839.0443.0942.87
11.479.5711.7712.7910.3212.5910.7911.448.077.0219.1811.0010.8116.4315.91
11.479.5711.7712.7910.3212.5910.7911.448.077.0219.1811.0010.8116.4315.91
14.6613.3515.7516.2713.8816.4014.5315.4312.0110.4722.7814.1613.6119.5918.97
7.937.1312.3611.639.619.8112.897.205.725.6617.629.338.9714.4413.39
7.257.5912.679.097.079.869.765.394.544.3312.226.776.5610.389.64
0.840.680.650.770.770.760.790.860.890.960.960.941.111.051.12
7.116.605.677.047.506.636.706.577.087.446.966.426.856.687.89
8.378.267.898.968.629.859.2510.5310.0611.4310.399.7611.1110.4211.51
43.6244.1946.2740.7442.3737.0539.4434.6636.2731.9435.1437.3832.8635.0431.73
23.3916.7126.1734.7629.4842.5557.1636.3428.7222.2050.1238.9948.0559.4253.10
-21.18-22.53-27.82-27.16-19.07-21.50-21.08-12.48-12.04-14.34-47.44-19.49-26.35-43.69-42.75
5.043.956.077.025.567.567.674.634.034.1811.686.347.2310.8010.79
9.327.5410.5312.179.3011.8212.508.128.287.2018.1911.2412.6418.1316.99
9.8812.7912.3510.579.709.196.355.496.118.019.946.825.035.895.97
4.774.804.945.763.434.411.153.594.754.984.954.884.382.674.28
2.813.383.344.291.722.75-0.282.163.203.363.213.402.751.413.30

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
0.770.730.620.660.760.660.720.660.740.700.650.640.760.760.680.660.790.770.770.720.800.700.680.700.840.820.740.670.680.680.660.660.660.650.620.560.660.740.860.770.770.810.690.850.900.860.970.750.730.700.800.931.021.040.890.920.800.860.851.121.061.050.74
0.570.590.570.600.560.550.560.550.550.560.580.600.640.640.650.650.660.670.690.680.700.720.730.720.710.720.760.780.790.790.770.780.740.760.750.710.690.680.710.680.630.610.600.640.690.710.700.710.710.740.670.740.700.680.680.700.640.620.610.680.700.710.71
1.561.711.811.741.651.601.521.501.411.541.701.691.881.962.102.062.382.482.632.392.392.913.002.822.472.663.433.934.224.463.944.033.594.104.043.622.972.802.912.592.221.972.152.042.562.972.663.213.263.852.833.352.642.452.602.742.472.112.042.152.612.703.36
36.3736.3732.2234.5034.1032.6529.4430.4029.2229.5831.5626.6732.1634.4332.5334.2135.0234.5533.5333.7629.6634.2731.4332.8333.9035.9836.8135.8636.1138.5835.7134.6138.8438.8636.6730.6237.0435.4835.0124.3635.5038.2940.1950.9339.0239.7736.0833.0139.4141.4239.3331.1140.7642.6240.7743.4643.3642.6242.9542.9343.9443.4841.09
14.1015.4412.2810.3312.7212.4410.35-7.609.3310.7414.08-4.0612.3414.1813.1711.1111.9914.6013.4511.177.8011.4710.829.8311.4214.1115.0012.2110.2612.138.626.1012.6013.7412.90-1.2410.0311.7810.80-12.0110.0312.6716.4135.9913.5615.3513.030.0813.7914.9415.32-5.0414.0116.0416.4113.1517.1415.7719.2012.1417.3017.1316.69
14.1015.4412.2810.3312.7212.4410.35-7.609.3310.7414.08-4.0612.3414.1813.1711.1111.9914.6013.4511.177.8011.4710.829.8311.4214.1115.0012.2110.2612.138.626.1012.6013.7412.90-1.2410.0311.7810.80-12.0110.0312.6716.4135.9913.5615.3513.030.0813.7914.9415.32-5.0414.0116.0416.4113.1517.1415.7719.2012.1417.3017.1316.69
---------------------------------------------------------------
12.4313.8811.033.098.5111.108.77-37.329.7110.9014.574.6710.8214.9613.457.7912.1913.4813.077.3810.1110.6010.19-3.2313.0914.0215.0318.1811.8912.139.45-0.8910.9111.786.51-3.538.178.818.55-13.638.5711.4015.2934.6812.1613.5711.29-1.9412.1012.5814.74-6.8711.9914.4414.4910.7715.2014.0117.278.1015.0115.3314.58
11.3510.788.340.858.2610.658.92-8.377.868.4411.4943.918.4810.6910.275.9210.1510.1310.174.507.338.268.01-2.5310.9517.7413.0613.098.878.918.19-1.578.978.575.15-1.306.166.386.38-8.346.168.0110.8523.368.779.488.05-0.908.559.3310.20-4.418.7610.1310.508.0110.719.8612.606.0711.0210.9610.13
0.210.210.210.200.170.190.180.060.210.200.200.050.200.200.200.190.180.190.190.180.190.190.190.190.190.190.200.190.210.200.210.200.210.210.220.210.210.230.230.230.230.230.240.230.240.250.250.230.250.240.280.250.270.270.290.240.270.270.290.260.280.290.29
1.691.711.791.671.311.321.310.611.661.621.610.521.781.711.831.771.761.841.911.741.981.841.831.681.741.671.771.681.741.621.751.611.631.641.791.741.731.861.932.081.941.751.751.381.731.761.921.751.761.651.821.771.941.912.121.531.881.992.321.822.132.192.27
1.901.931.922.021.741.741.840.761.992.052.180.662.162.142.162.252.112.051.952.052.052.112.162.412.152.202.122.292.152.222.222.482.142.222.262.342.282.462.372.752.332.392.332.462.522.462.432.452.632.452.642.542.542.482.552.402.612.682.582.652.612.712.71
47.3046.6446.8644.4651.8751.8449.0111845.2743.8841.3513641.7442.0041.6939.9342.6843.9546.1144.0143.8542.7241.7337.3141.8240.9842.3739.2541.9240.4540.5736.3542.1240.5739.9038.5039.3936.5438.0432.6838.7137.7138.6036.6135.7036.6437.0236.7334.2136.7934.1235.4635.3836.2635.3037.4534.5233.6334.8333.9234.4433.2033.23
9.8510.138.271.724.637.065.22-7.576.597.159.871.007.619.9210.155.729.8210.3910.904.597.549.099.20-2.6010.5917.6017.3819.0114.8215.3013.16-2.4413.2714.008.57-1.877.678.308.56-10.286.537.7411.3722.7111.2613.4410.94-1.3013.0415.0517.01-7.4012.6913.8615.8410.4515.1912.6317.087.7417.7317.9019.63
-11.99-10.15-7.49-1.56-6.03-8.80-6.6710.20-9.59-9.19-10.88-1.06-7.22-8.84-8.13-4.47-7.50-7.30-6.91-2.97-4.84-5.57-4.521.31-6.59-9.89-7.91-7.01-5.11-4.96-4.830.84-5.77-5.34-3.350.78-4.46-4.86-4.916.64-5.76-8.19-10.56-21.49-7.21-7.42-6.820.65-6.57-6.37-11.634.06-10.39-13.06-13.12-7.68-11.69-11.10-15.66-6.23-11.71-11.29-9.20
2.352.271.770.371.061.651.26-1.791.641.722.280.231.662.112.051.161.861.911.920.871.421.561.54-0.462.113.352.662.551.841.821.72-0.311.911.821.14-0.261.321.481.49-1.931.431.872.585.292.142.332.04-0.212.142.212.89-1.112.362.772.991.902.872.643.661.573.133.132.91
4.204.113.530.692.023.202.29-3.422.993.144.140.402.773.533.602.003.333.433.371.452.262.542.53-0.723.114.934.254.163.143.153.04-0.553.443.382.11-0.542.412.622.46-3.332.393.004.528.243.533.933.25-0.373.743.965.56-1.953.824.405.063.195.484.786.582.485.255.215.61
10.8910.029.619.9112.5112.3413.0612.7913.8913.4112.7112.3511.7611.3810.7510.5710.429.939.369.709.649.429.089.1910.429.817.366.355.635.355.785.496.295.735.836.117.557.587.518.019.7010.599.959.948.007.237.776.826.816.015.775.036.386.846.365.896.036.316.425.975.365.154.25
3.732.141.064.774.061.870.804.803.432.350.964.943.342.000.685.764.602.811.143.432.701.520.204.412.651.280.661.150.550.26-0.103.592.881.830.014.752.721.640.454.983.271.810.744.953.821.920.924.883.831.890.954.383.501.770.842.672.871.540.654.283.201.820.64
2.461.280.612.812.590.880.213.382.411.570.553.342.151.130.184.293.662.180.811.721.430.66-0.232.751.540.510.28-0.28-0.53-0.50-0.462.161.821.13-0.393.201.630.910.033.362.281.180.473.212.821.270.643.403.101.460.772.752.421.100.561.412.201.160.493.302.551.400.45