Koninklijke KPN Financial Ratios for Analysis 2009-2024 | KKPNY

Fifteen years of historical annual and quarterly financial ratios and margins for Koninklijke KPN (KKPNY).

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
20222021202020192018201720162015201420132012201120102009
0.830.840.730.720.901.640.810.990.900.980.530.490.530.90
0.590.650.690.700.780.690.690.640.670.690.830.800.760.77
1.472.092.482.663.892.262.401.922.252.585.654.473.583.48
74.3478.8075.7977.1876.9170.4168.6990.3051.5856.3858.0357.7058.9459.01
22.5930.4117.2018.2613.9713.5712.9910.1013.7211.8121.6917.6023.0820.37
22.5930.4117.2018.2613.9713.5712.9910.1013.7211.8121.6917.6023.0820.37
47.6454.2646.4645.2138.7535.4935.6933.1636.2433.8043.0037.4839.7837.71
18.4826.5812.2411.639.109.886.858.633.543.107.5813.6017.2815.07
14.1421.0410.5610.943.976.6511.659.102.96-2.555.4511.9013.4716.10
0.450.480.440.460.460.480.460.390.440.330.570.580.590.54
28.1435.0827.3224.0922.4531.5245.3410.4664.1761.3948.0544.7835.7659.55
7.599.028.337.547.038.528.898.387.716.957.4912.747.147.13
48.0940.4843.8448.3951.9142.8641.0843.5447.3252.5348.7128.6551.1451.20
20.9839.7221.4024.4814.4014.4410.2710.374.175.4829.6752.8752.5957.46
99.74573-91.07-125.82-22.882,85310532.7329.7617.51-12.18-24.66-29.43-36.84
6.4010.074.644.992.303.582.512.941.041.123.266.928.108.88
8.6813.806.647.463.144.433.223.771.381.714.9210.6312.3913.50
0.950.910.710.670.550.900.931.31------
0.560.600.560.530.550.520.500.580.481.072.723.813.233.22
0.320.340.310.310.330.300.260.310.160.581.122.472.061.81

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
2023-06-302022-06-302021-06-302020-06-302019-06-302018-06-302017-06-302016-06-302015-12-312015-06-302014-12-312014-06-302013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.650.710.610.730.801.391.140.70-0.730.900.720.981.050.940.530.530.550.480.570.490.490.530.600.530.610.810.980.901.060.780.91
0.610.630.620.690.810.690.690.69-0.630.670.680.690.680.680.840.830.820.820.800.800.820.790.740.760.780.790.750.770.820.780.77
1.671.951.972.634.182.382.192.47-1.892.252.422.582.512.535.925.655.465.404.494.475.064.383.213.584.074.013.233.484.794.153.64
75.7174.6485.6777.2277.7877.3969.9068.14-52.79100.0053.2919.2554.4953.6556.7660.9257.5255.6454.8755.4158.1058.0656.6057.2158.4559.7862.0162.6556.8758.8157.29
25.2623.1051.2217.8716.3414.9814.2212.54-8.49100.00-3.0076.9216.219.6811.5036.4317.5718.5216.8012.1719.1721.6121.1122.2023.3824.2720.4916.7125.5920.9318.42
25.2623.1051.2217.8716.3414.9814.2212.54-8.49100.00-3.0076.9216.219.6811.5036.4317.5718.5216.8012.1719.1721.6121.1122.2023.3824.2720.4916.7125.5920.9318.42
--------------------------------
20.9918.2848.4613.1112.1413.2014.7112.71-10.80100.0022.68-4.324.752.636.08-3.9310.5912.7511.635.8913.8816.8017.2516.4315.5918.9018.7414.9516.2015.4813.42
16.1913.9237.4510.439.429.2011.719.61-9.31-6.98-8.98-10.87-11.683.654.74-4.958.199.879.035.2111.3012.5818.2713.9912.1713.8613.7032.4211.8610.859.33
0.110.110.170.110.110.100.120.11-0.100.100.090.080.080.110.120.150.130.140.140.150.150.140.140.150.140.140.130.140.140.140.14
5.686.367.466.064.875.478.329.37-13.93-13.733.5614.9411.2011.5411.369.7410.449.1411.139.479.069.549.5112.2712.2112.1215.4811.5911.0610.36
2.111.763.091.721.731.832.091.99-1.791.731.551.721.681.721.622.041.721.721.783.221.761.681.651.861.561.481.431.811.631.501.42
42.6451.0629.1252.3252.1249.1743.1545.27-50.1552.0358.1752.2153.4452.3755.5944.1152.2152.3350.4627.9751.1353.6254.5048.2757.5460.7862.7849.8655.2559.8463.45
6.485.8524.785.447.654.275.434.70-3.03-0.786.80-2.111.601.935.54-6.969.4112.299.585.8513.7513.5215.0813.9112.2313.3610.3328.8714.0811.438.56
44.3569.93563-31.25-9.111,52362.83119-9.19-5.5622.47-6.734.49-2.80-1.902.85-3.99-4.88-4.73-2.73-5.45-6.41-10.36-7.78-6.24-7.24-7.81-18.51-6.07-5.58-5.10
1.841.536.471.121.071.021.411.11-0.86-0.191.49-0.430.340.410.58-0.761.091.411.270.771.641.812.592.141.731.921.744.461.681.521.27
2.522.179.411.671.481.341.701.45-1.11-0.262.14-0.660.510.630.88-1.151.662.151.931.182.512.903.903.282.752.832.586.792.552.471.98
0.900.820.930.650.450.910.910.91------------------------
0.260.270.290.240.230.250.220.240.000.250.480.151.691.210.930.542.631.771.260.374.122.611.600.423.232.031.040.203.232.030.950.05
0.160.150.140.120.120.140.090.09-0.110.16-0.050.920.530.220.111.080.740.360.042.671.501.660.182.061.120.50-0.081.811.030.30-0.30