CocaCola Financial Ratios for Analysis 2009-2024 | KO

Fifteen years of historical annual and quarterly financial ratios and margins for CocaCola (KO).

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
1.131.151.131.320.760.871.341.281.241.021.131.091.051.171.28
0.560.580.610.650.570.570.620.560.520.380.360.310.300.000.17
1.531.521.722.012.032.322.511.971.711.371.110.980.900.300.47
59.5258.1460.2759.3160.7761.9062.1160.6760.5361.1160.6860.3260.8663.8664.22
24.7225.3726.6727.2527.0626.6821.4220.6819.7021.1121.8322.4521.8623.9626.56
24.7225.3726.6727.2527.0626.6821.4220.6819.7021.1121.8322.4521.8623.9626.56
27.1928.3030.4231.9030.7329.8524.9024.9524.1525.4026.0526.5826.0628.0630.55
28.3127.1732.1429.5328.9423.9819.0319.4321.6820.2724.5024.5924.6240.4528.87
23.4222.1925.2823.4723.9418.763.4515.5916.6015.4318.3218.7818.4433.5622.02
0.470.460.410.380.430.410.410.480.490.500.520.560.580.480.64
4.194.254.504.114.334.265.176.166.025.775.625.845.894.794.71
13.4212.3311.0110.509.389.319.8810.8611.2410.309.6210.099.467.938.25
27.2029.6033.1634.7638.8939.2136.9633.6232.4835.4437.9636.1838.5846.0444.26
38.9537.0639.4436.5042.5933.986.7628.2128.5923.3125.8027.3927.0936.1327.25
-186.37-122.63-100.52-106.91-158.52-256.0754.8131345117014815620337.8047.72
10.9510.3210.398.9010.407.781.467.518.187.749.5810.5410.8116.2314.19
16.9815.3915.5712.6518.4814.572.5612.3813.6214.3616.4018.9718.9737.7922.71
6.385.975.754.954.934.474.465.425.967.007.607.427.056.835.50
2.672.532.912.282.431.771.632.012.392.392.342.322.042.041.76
2.262.212.622.052.181.471.251.531.831.891.801.751.431.601.35

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
1.081.041.131.141.141.151.151.131.131.181.131.521.471.331.321.131.090.870.760.920.831.020.871.061.151.211.341.391.351.401.281.371.211.181.241.161.141.231.021.081.041.031.130.961.001.011.091.101.111.131.051.101.101.071.171.341.331.271.281.271.211.12
0.580.560.560.550.560.570.580.590.600.580.610.620.620.640.650.660.660.610.570.600.590.600.570.560.580.580.620.590.590.580.560.550.520.520.520.500.480.470.380.370.350.360.360.300.300.300.310.330.330.330.300.290.240.280.000.140.150.150.170.170.180.19
1.601.521.531.441.511.581.521.621.691.551.721.731.732.012.012.602.732.542.032.052.222.242.322.222.322.262.512.222.252.061.971.801.791.861.711.761.551.461.371.241.171.171.111.121.091.070.980.971.000.940.900.870.740.800.300.470.450.460.470.460.490.58
61.0862.5257.2961.0458.9760.6855.4358.7357.3561.0056.8060.4062.6161.1458.4559.8857.8660.8160.6760.3860.7861.3059.4261.8762.3964.1062.0562.6162.2961.4759.6861.1561.2560.4359.4659.9560.9461.6959.9261.3461.6761.3960.9160.1660.8760.8259.6060.6760.0860.9660.1260.2060.8362.4659.2265.3765.9366.2364.7063.5364.7663.87
21.2918.9520.9527.3620.0630.6620.4927.9120.6732.4617.6728.8629.7830.1827.1526.5627.7127.6723.8626.2929.8928.0123.1329.7929.3623.7518.1624.7321.0021.5314.7321.3624.7820.8215.1820.8220.8521.4413.3522.6425.2122.4719.0720.5525.4421.8219.0622.6325.1722.5317.7222.4924.9621.7210.7027.8231.8529.0123.7026.7329.4925.99
21.2918.9520.9527.3620.0630.6620.4927.9120.6732.4617.6728.8629.7830.1827.1526.5627.7127.6723.8626.2929.8928.0123.1329.7929.3623.7518.1624.7321.0021.5314.7321.3624.7820.8215.1820.8220.8521.4413.3522.6425.2122.4719.0720.5525.4421.8219.0622.6325.1722.5317.7222.4924.9621.7210.7027.8231.8529.0123.7026.7329.4925.99
--------------------------------------------------------------
24.4934.2722.8829.5924.0636.9124.6931.1320.1732.9631.2830.7135.7230.6327.4225.2130.7335.0026.6932.5230.5025.5912.7027.0431.2324.0413.0518.4427.0516.535.4713.4337.2618.4215.3815.1035.8818.509.9022.2126.9120.8520.1828.1027.6521.2420.7524.9927.6924.4720.0723.9029.8323.9259.1332.0436.0028.9626.1030.3733.0025.32
19.5028.1218.1925.8321.2728.3020.0625.5416.8226.5125.5124.6126.0724.8916.9120.0824.8832.2622.5227.2726.0819.3010.2621.4224.5817.94-33.1015.9414.1312.965.859.8429.8814.4212.3712.6825.5714.547.0817.6520.6415.3115.4920.3420.9915.8716.2918.7321.3118.4415.0118.1621.9818.0954.7824.3927.3121.4520.5523.5724.6418.80
0.120.110.110.120.120.110.110.120.120.110.100.110.110.100.100.090.080.090.110.110.110.100.100.100.110.080.090.100.110.100.110.110.120.110.110.120.130.120.120.120.130.120.120.130.140.120.130.140.150.130.140.150.160.140.140.160.180.160.150.170.180.17
1.010.851.051.101.060.911.071.231.331.091.201.251.151.041.101.060.860.951.061.151.141.061.121.271.230.931.191.301.311.221.421.501.491.331.401.571.471.271.411.411.361.221.321.441.371.201.421.411.461.261.421.541.541.301.611.291.251.091.131.251.171.13
2.722.663.183.423.022.392.902.772.522.262.692.582.512.402.742.261.861.942.282.182.052.262.302.372.061.952.272.482.412.462.442.602.422.482.542.842.442.402.432.362.142.022.272.352.312.202.412.432.422.312.242.392.262.322.372.272.172.032.002.322.212.28
33.0933.8028.2926.3229.8437.7031.0032.4935.7139.8133.4034.8535.8637.5432.8639.8148.4546.3639.4141.2144.0139.8839.1237.9743.6146.0739.7036.3337.3336.5436.8834.5537.1936.3035.4731.7236.8437.4836.9738.1842.0244.5339.7338.2738.9440.8437.3937.0737.1238.9040.1137.7039.7838.7937.9939.7341.5144.3145.0438.7740.7839.41
8.7611.407.2311.089.1511.597.9611.557.6610.419.8610.2610.8210.106.938.569.1714.099.7912.5212.958.605.259.0111.556.14-14.326.526.215.132.364.0012.895.944.805.5310.865.392.526.307.594.945.117.568.265.385.706.938.586.225.256.707.925.8817.587.339.236.466.237.868.716.44
-49.06-74.28-34.58-61.03-42.48-46.41-26.34-33.16-20.91-35.36-25.12-58.00-56.42-34.92-20.29-22.88-21.30-34.92-36.43-45.85-39.70-57.93-39.5454.7170.3428.87-116.0625.8428.0227.5326.1526.2611013675.7478.6312151.7918.4131.6137.9530.5229.3049.4854.7032.1332.4140.0522.1938.8239.4437.3418.0414.9718.4012.9717.3912.6610.9016.2818.8215.63
2.373.202.033.162.563.202.223.052.042.972.602.732.912.511.691.791.862.972.392.962.921.931.202.092.601.42-3.091.601.511.300.631.123.681.641.371.563.331.720.842.202.731.781.902.753.012.002.192.693.292.462.102.753.502.527.903.824.923.433.244.084.453.15
3.675.053.154.973.994.943.314.713.094.373.893.904.103.612.402.913.095.494.255.015.303.462.253.984.832.58-5.422.642.552.171.031.816.172.862.292.785.702.841.553.954.923.153.255.265.763.753.954.685.714.173.684.766.004.2318.406.337.885.505.196.527.185.20
6.366.496.386.446.376.215.975.655.736.205.755.595.625.184.954.734.474.624.934.834.754.644.474.744.745.084.465.205.185.405.426.096.225.805.966.056.596.677.007.707.827.507.607.357.367.407.427.497.257.367.057.387.727.136.836.095.595.455.505.285.084.56
0.950.122.672.061.070.042.531.861.040.142.912.131.270.382.281.440.650.132.431.801.050.181.771.320.630.141.631.360.770.182.011.540.870.142.391.911.160.362.391.801.000.242.341.710.870.112.321.710.910.112.041.460.780.102.041.550.930.281.761.340.790.19
0.770.042.261.840.93-0.022.211.690.940.102.621.971.180.332.051.300.550.072.181.740.880.101.471.100.480.091.251.100.590.081.531.200.630.021.831.540.920.241.891.460.800.151.801.370.650.001.751.300.64-0.021.431.060.54-0.021.601.280.750.201.351.050.580.09