Koppers Holdings Financial Ratios for Analysis 2009-2024 | KOP

Fifteen years of historical annual and quarterly financial ratios and margins for Koppers Holdings (KOP).

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
2.141.972.201.931.751.811.801.491.581.852.422.662.512.482.89
0.620.670.660.690.850.940.860.951.020.910.610.640.740.750.86
1.672.031.912.245.6814.786.4019.14-58.2510.141.601.762.822.976.12
19.7117.4019.9021.5920.2019.3121.8320.4815.9913.5914.4514.8215.2715.7215.81
9.066.959.329.397.645.408.386.60-1.822.146.788.148.378.248.44
9.066.959.329.397.645.408.386.60-1.822.146.788.148.378.248.44
11.719.7912.7612.6311.008.6511.7510.331.814.968.799.9211.7010.6010.81
5.784.827.136.603.892.004.092.72-4.92-0.385.216.476.566.173.16
4.143.205.087.314.071.501.972.07-4.43-2.082.744.222.523.701.67
1.171.161.011.041.051.061.231.301.461.201.881.992.011.781.74
4.374.604.284.424.534.434.874.926.045.577.496.777.816.076.20
10.649.189.189.5310.068.129.1710.0710.197.838.869.468.558.468.05
34.2939.7539.7538.2936.3044.9639.8036.2435.8146.6441.2138.5742.6943.1745.32
17.8515.8320.7225.7540.148.2129.5878.32612-47.6821.1840.0453.6444.6439.60
84.40-898.59-509.58-87.70-20.83-1.32-14.76-9.2321.3712.0838.3272.76164160-319.12
4.893.735.125.574.070.372.612.49-6.82-3.095.128.637.876.663.37
6.715.237.148.016.070.534.064.14-11.33-4.498.1614.5014.0511.285.57
24.1119.4119.4716.407.633.265.091.67-0.604.099.348.155.204.852.68
6.784.804.705.955.473.674.635.686.221.735.653.723.695.095.46
1.19-0.14-1.002.683.71-1.471.563.314.24-2.362.152.342.103.654.59

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
2.532.292.142.242.432.251.972.072.112.282.202.302.302.281.931.991.961.871.751.962.011.971.812.142.032.071.802.021.811.911.491.571.601.601.581.711.731.671.852.342.702.602.422.832.882.702.662.582.712.792.512.692.272.572.482.562.582.562.891.282.952.70
0.660.630.620.640.660.670.670.690.690.660.660.670.660.680.690.740.830.900.850.890.910.920.940.930.910.870.860.860.900.930.950.960.991.011.020.910.900.920.910.840.660.650.610.620.630.630.640.660.700.720.740.690.690.740.750.750.830.830.860.740.880.94
1.931.701.671.811.982.032.032.202.201.961.912.021.942.132.242.844.878.735.688.569.7811.2514.7813.169.806.676.406.209.4314.2719.1427.5988.84-168.86-58.2510.1310.0712.2810.145.261.901.821.601.601.701.721.761.972.332.512.822.192.412.832.973.064.875.026.125.377.3916.30
21.5919.3318.8020.2419.4920.2815.7717.9816.5419.3817.9917.8722.0221.6422.6924.6223.3415.3319.6020.2720.8919.9314.7218.7519.0823.3220.6823.7322.0620.6923.4420.7521.1116.8114.9317.2217.8213.6513.3614.3412.5813.9713.7816.3514.0213.4714.2714.5716.1414.1813.3117.3716.8813.2914.1616.6216.7514.8012.4318.0518.2114.23
10.216.957.259.689.429.805.727.985.798.3210.785.7910.0510.778.8513.3911.383.386.838.418.596.45-4.467.055.1110.666.129.1010.088.118.277.468.312.25-24.916.226.022.010.493.933.730.152.289.897.686.726.917.949.907.676.2310.5210.236.245.939.9610.036.123.7011.4611.426.75
10.216.957.259.689.429.805.727.985.798.3210.785.7910.0510.778.8513.3911.383.386.838.418.596.45-4.467.055.1110.666.129.1010.088.118.277.468.312.25-24.916.226.022.010.493.933.730.152.289.897.686.726.917.949.907.676.2310.5210.236.245.939.9610.036.123.7011.4611.426.75
--------------------------------------------------------------
6.573.503.846.275.947.033.276.013.666.318.543.607.948.526.3310.908.570.023.044.885.022.28-8.783.501.638.130.636.447.281.642.274.374.70-0.84-28.323.323.08-1.21-2.671.181.79-1.840.568.536.174.995.076.328.296.044.508.798.464.223.568.007.954.23-6.927.907.923.01
4.762.612.514.784.244.972.863.562.334.095.482.406.106.364.7317.286.69-0.355.344.583.313.08-0.941.720.144.38-4.045.155.211.272.043.263.14-0.37-24.112.332.09-0.85-7.85-0.610.450.66-1.174.833.882.973.634.124.964.10-3.855.885.292.612.024.644.922.66-4.965.664.011.50
0.290.270.280.300.320.290.280.320.300.270.240.260.260.250.250.290.280.260.240.280.280.240.190.290.280.310.310.330.320.310.290.340.340.310.330.350.330.320.330.330.440.410.440.520.490.480.480.510.540.510.510.520.490.470.380.510.520.430.420.400.430.42
1.101.011.051.191.251.081.141.441.281.121.061.181.191.091.031.241.281.231.061.261.261.060.831.241.191.281.231.301.281.141.051.361.361.221.371.721.591.541.531.661.651.481.751.991.731.661.641.741.831.832.011.891.921.711.311.851.771.481.551.451.651.51
2.512.282.542.282.232.132.242.302.192.062.222.142.152.092.252.232.262.222.352.402.071.981.441.992.001.892.282.092.052.002.232.172.141.962.282.192.092.042.151.872.111.972.052.172.232.132.282.212.121.982.152.121.981.881.802.022.021.781.942.392.472.44
35.8139.4835.5039.5240.2842.3540.2339.0841.1043.7940.5942.0641.9443.0040.0940.4039.7440.5338.3537.5243.5245.5162.3445.1944.9447.5239.5543.0843.9544.9040.4041.5742.0945.8039.4941.1843.0844.1941.9148.2442.5845.7343.9541.4740.4342.3539.4440.7942.4945.4641.8342.3845.5447.8350.1344.4544.5250.5946.4837.6436.4536.93
5.222.552.585.505.346.023.455.103.064.565.482.626.226.885.4013.7015.781.7413.4216.3413.8810.89-38.368.690.4920.07-13.5217.6828.449.4817.9248.5814155.8171612.2210.01-6.33-43.39-2.610.42-0.05-2.9510.618.366.608.4510.7415.6512.625.0415.8514.958.145.1116.3425.5911.80-23.3623.6224.2820.60
39.9410.9912.2233.6345.2791.93-195.77-49.10-30.29-965.00-134.73-33.65-122.17-43.09-18.41-23.94-11.06-0.55-6.97-5.15-3.85-2.526.16-1.68-0.13-9.566.75-9.57-8.34-1.70-2.11-3.88-3.430.6925.01-2.74-2.301.2011.001.700.71-0.09-5.3417.6114.1911.7215.3520.8233.4430.2715.3832.2832.9623.2318.3558.74-603.71-117.46188168-140.00-13.91
1.380.700.711.451.341.460.811.150.691.111.350.641.551.591.172.551.890.121.361.180.890.62-1.740.450.031.81-1.191.691.790.410.571.091.01-0.21-7.980.740.61-0.34-2.81-0.320.10-0.01-0.712.581.941.471.822.112.762.100.743.092.681.270.762.402.581.16-1.992.341.850.74
1.790.950.971.961.801.991.141.600.961.541.890.872.132.221.683.622.710.182.031.731.300.90-2.460.620.052.64-1.852.502.770.630.951.801.67-0.35-13.251.160.95-0.50-4.09-0.430.15-0.02-1.144.073.092.433.063.614.703.601.324.974.572.131.294.024.371.96-3.286.262.891.19
25.0224.0724.1122.8621.8820.8919.4117.8118.1520.0119.4718.8019.5017.9316.4013.558.855.207.635.414.984.363.263.874.825.625.095.453.542.381.671.200.39-0.21-0.603.663.843.234.098.059.209.119.349.088.548.348.157.336.496.035.206.896.635.484.854.703.103.052.683.542.541.14
0.69-0.566.783.67-0.10-0.724.803.201.00-0.374.702.721.64-0.345.953.061.05-0.815.472.710.07-0.683.670.370.14-1.314.632.211.43-1.115.683.901.640.126.224.613.780.961.730.53-0.42-0.675.653.150.950.273.722.610.16-0.763.692.151.24-0.465.093.111.580.795.464.503.061.05
-1.29-1.761.19-0.44-2.94-2.05-0.14-0.40-1.44-1.40-1.00-1.03-1.13-1.232.684.67-0.20-1.303.711.44-0.81-1.21-1.47-3.38-2.29-2.321.560.00-0.13-1.793.312.380.62-0.304.243.332.950.62-2.36-2.35-2.15-1.382.151.740.21-0.032.341.85-0.28-0.922.101.200.66-0.673.652.451.210.664.593.952.730.87