Kimberly-Clark Financial Ratios for Analysis 2009-2024 | KMB

Fifteen years of historical annual and quarterly financial ratios and margins for Kimberly-Clark (KMB).

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
0.820.780.820.800.730.770.890.880.850.891.121.081.161.191.19
0.870.920.920.900.971.010.880.980.990.850.510.490.500.450.46
7.4812.0311.639.6239.93-162.078.4264.721946.961.121.171.110.880.95
34.4230.8330.8035.6432.7130.2835.9036.5935.6333.8833.7931.4829.5133.1733.59
11.4713.2913.1716.9516.2112.0618.3018.508.6812.7814.8412.2111.7114.0414.78
11.4713.2913.1716.9516.2112.0618.3018.508.6812.7814.8412.2111.7114.0414.78
15.1617.0317.1121.1121.1816.8322.2522.3512.6917.1519.2516.6116.9518.1618.88
9.8911.6011.4515.3114.369.8116.3016.457.1811.4313.5010.8410.4712.9113.48
8.639.599.3312.2911.697.6312.4211.845.457.7410.958.997.639.339.86
1.181.121.091.091.211.271.211.251.251.271.030.981.080.991.00
6.856.156.016.476.947.116.576.916.276.895.805.686.245.566.24
9.578.858.818.568.158.547.938.408.158.877.697.378.017.997.45
38.1441.2541.4442.6244.7742.7346.0543.4344.7841.1447.4949.5445.5645.6949.00
1652802502761,132-3,141.302631,8972,66515539.2630.7730.4631.3335.04
-145.30-88.13-96.39-128.96-168.74-95.07-334.15-162.80-75.82-245.6311895.4887.5377.3594.73
10.1710.9110.3413.6714.389.9515.3115.207.189.9510.678.198.699.7810.38
20.7923.6920.7727.3934.2923.3031.5333.8517.3423.3119.1715.7115.3717.1619.02
3.172.072.192.570.57-0.132.510.330.112.7313.5013.5813.9715.2413.65
10.458.088.0610.897.928.508.238.946.307.547.858.305.746.628.35
8.925.525.217.425.126.136.036.873.414.795.725.563.444.326.38

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
0.850.810.820.840.870.820.780.780.790.810.820.780.770.770.801.000.910.870.730.750.810.730.770.750.760.800.890.970.920.870.880.920.980.960.850.880.820.870.891.111.171.061.121.191.090.981.081.151.281.201.161.121.091.091.191.181.031.091.191.091.271.15
0.850.860.870.900.920.900.920.930.910.900.920.910.910.910.900.930.940.990.970.990.991.011.010.980.970.920.880.930.950.950.980.920.940.950.990.960.880.940.850.550.550.520.510.520.540.480.490.470.500.500.500.500.480.490.450.440.460.440.460.450.530.56
6.226.737.489.6312.509.8512.0314.7311.7610.6211.6312.6511.9811.839.6214.5016.3118439.9388.10160-96.22-162.0767.1942.0613.848.4215.3524.2421.4264.7213.8818.1124.0219427.4810.2118.766.961.411.341.281.121.301.441.301.171.101.091.131.111.131.101.070.880.921.060.950.951.031.231.62
35.9937.1134.9535.8133.7233.2232.7830.5430.2029.8328.9229.6031.3433.5034.4133.9538.5335.7634.1733.5132.3530.8230.6930.9031.6027.9934.9335.7336.1036.8637.1136.3536.2736.6235.8235.6535.6935.3732.1734.9134.3234.0731.8334.3034.1834.2624.3633.6633.3132.5129.8329.5129.6129.0932.4132.4233.8534.0633.4435.1533.2832.36
13.0217.3012.8815.082.2015.7314.3412.9612.2713.6010.4913.1112.9816.2315.4914.2220.0618.0516.3919.7214.5814.1413.9914.6014.645.2217.9918.6117.7918.8319.5518.2018.2717.9613.8816.51-11.7215.953.2717.3515.6514.5513.9215.3415.1114.723.7714.9314.3113.3611.8012.3011.8810.8213.7714.0214.6413.7514.3917.7312.8813.98
13.0217.3012.8815.082.2015.7314.3412.9612.2713.6010.4913.1112.9816.2315.4914.2220.0618.0516.3919.7214.5814.1413.9914.6014.645.2217.9918.6117.7918.8319.5518.2018.2717.9613.8816.51-11.7215.953.2717.3515.6514.5513.9215.3415.1114.723.7714.9314.3113.3611.8012.3011.8810.8213.7714.0214.6413.7514.3917.7312.8813.98
--------------------------------------------------------------
11.4715.1712.3513.600.0813.5712.4711.2410.4112.298.9411.6610.4814.8013.9412.0918.5616.6513.8118.1312.9312.5610.7012.5912.453.6816.1416.7015.6516.7216.4216.4816.5716.3512.3215.03-13.2014.501.9516.0214.2913.1612.1214.0613.8613.561.9413.6713.0612.0810.5111.0910.619.6212.6112.9313.5312.6013.2116.5111.5112.53
10.8212.5710.2411.441.9910.9010.219.248.6310.277.199.368.5612.3111.1510.0814.7713.1811.9414.4610.569.809.009.849.881.9713.4012.1511.6012.5010.9111.9712.3412.187.3410.96-6.579.98-1.7211.1210.2811.0114.5110.389.999.997.199.869.458.937.758.037.766.969.699.4210.257.949.8811.858.539.06
0.290.300.290.300.300.290.280.280.280.270.280.280.260.280.280.280.290.320.300.310.300.300.310.310.320.310.300.310.300.310.320.310.310.300.310.320.300.310.310.270.260.260.200.270.270.270.190.260.270.270.270.270.260.250.260.260.260.250.260.260.260.26
1.681.731.651.631.601.561.471.541.551.581.581.681.541.611.671.731.552.091.691.731.671.731.751.791.801.921.671.721.681.651.731.681.621.491.531.611.531.601.731.441.381.411.131.541.491.481.201.471.481.501.541.571.471.491.451.401.441.521.631.581.531.39
2.182.162.332.232.182.142.182.172.052.032.252.092.022.162.162.202.281.992.032.011.921.952.111.992.011.921.991.982.062.032.132.072.041.981.992.072.032.092.171.991.911.871.462.102.121.961.401.921.971.961.992.212.071.872.052.062.031.891.942.012.031.88
41.2741.6538.6640.3041.3542.1041.3441.5543.8944.4440.0143.1044.6041.7341.5940.8439.5045.2644.4444.7346.9646.1842.6345.3344.6946.9945.2645.5343.6844.4442.3143.5344.1245.3445.2343.5744.3143.0541.4445.2547.1548.2161.6742.7942.5545.9864.0746.9045.7945.8845.2440.7043.4248.2543.8443.6244.2947.6046.3544.8644.3847.77
43.1755.5747.9470.3613.2166.7873.5780.6259.4362.6548.9867.7554.0979.6262.8383.711401,467287773990--915.22---70.86---443---860----4.80---6.91---1.61---7.63---8.38---9.17---
-60.04-62.73-42.17-42.15-5.23-27.42-23.15-20.21-19.57-23.79-18.87-25.22-21.82-31.61-29.39-57.43-76.38-51.33-42.70-50.37-34.66-29.91-27.70-33.77-35.07-9.50-90.06-53.46-45.15-49.31-38.00-58.22-53.37-47.90-24.47-45.6436.22-43.167.6348.2636.4033.0420.6937.7744.2638.724.9923.7523.9724.2921.9321.3818.2216.2120.7018.9125.2017.1224.8025.1923.9439.15
3.203.852.953.450.493.162.872.642.432.872.022.692.303.453.122.924.284.313.644.523.233.072.903.173.190.634.133.853.583.903.553.783.913.782.323.54-1.913.23-0.313.082.692.581.882.922.802.790.432.682.642.492.182.332.111.862.622.512.792.162.723.292.372.45
6.557.896.037.171.006.536.225.725.235.974.075.804.917.166.245.738.979.308.6810.827.337.896.797.907.851.468.507.667.608.477.908.057.897.745.608.26-4.667.44-0.725.714.814.753.375.455.445.770.824.904.544.293.854.213.833.344.594.595.384.084.986.154.194.96
3.803.523.172.491.922.552.071.732.202.532.192.102.252.212.571.701.450.140.570.260.15-0.24-0.130.320.511.592.511.420.941.020.331.541.180.910.110.762.041.132.7312.2113.0913.0713.5013.0412.1712.9613.5814.8814.5114.4013.9713.8914.9314.4815.2414.5412.9013.6913.6513.2611.539.21
4.321.2910.456.874.131.818.085.152.790.608.064.942.620.9510.898.306.682.057.925.242.680.928.505.793.791.548.235.823.541.228.946.533.901.526.304.482.160.057.546.003.381.147.855.433.051.558.305.473.341.475.744.482.580.626.624.352.531.118.355.954.061.66
3.320.728.925.893.631.225.523.161.40-0.145.212.861.230.077.425.714.831.025.123.331.030.006.134.222.801.006.034.152.450.626.874.922.800.923.412.300.72-0.724.794.062.220.475.723.922.001.045.563.562.130.823.442.881.480.044.322.881.660.676.384.623.111.16