Kosmos Energy Financial Ratios for Analysis 2009-2024 | KOS

Fifteen years of historical annual and quarterly financial ratios and margins for Kosmos Energy (KOS).

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
0.760.821.020.871.051.331.241.281.612.253.353.943.281.161.84
0.700.740.830.830.700.690.590.550.390.360.480.490.520.690.32
2.322.834.954.802.392.251.431.220.650.560.910.971.092.870.48
74.5976.6469.1652.7961.3541.6846.1616.5344.5478.0661.6170.8368.63-682.93-117.04
42.5950.3227.39-10.9418.33-6.70-4.51-46.52-17.5538.9716.9119.7529.05-2,077.12-705.78
42.5950.3227.39-10.9418.33-6.70-4.51-46.52-17.5538.9716.9119.7529.05-2,077.12-705.78
69.3272.4363.2144.3156.2830.8937.16-7.4417.7162.6144.3248.7652.19-1,742.54-662.59
21.8514.66-3.25-46.511.66-5.64-27.93-76.4418.1265.518.915.0914.63-3,455.89-772.67
12.559.85-5.84-45.93-3.69-10.42-34.98-73.64-14.8131.65-10.68-9.99-0.31-3,458.08-1,287.64
0.340.500.270.230.350.220.200.120.150.300.360.280.270.010.01
2.844.022.493.285.106.204.774.323.073.506.905.887.831.941.13
14.0919.217.5111.378.666.453.962.693.425.4039.965.002.180.040.11
25.9019.0048.5832.1042.1356.6392.2513610767.629.1373.001679,3383,459
20.6828.76-14.71-93.51-6.63-9.98-24.83-26.25-5.2720.86-9.17-6.512.1939.9936.61
20.6828.76-14.71-93.51-6.63-9.98-24.83-26.25-5.2720.86-9.17-6.512.19-67.47-13.39
4.324.95-1.58-10.64-1.29-2.30-6.98-8.49-2.189.55-3.88-2.830.88-14.52-7.80
6.247.59-2.50-16.18-1.96-3.07-10.22-11.81-3.1913.38-4.81-3.301.05-21.10-9.06
2.241.731.171.092.102.362.302.803.443.462.562.652.6219.0931.90
1.592.380.900.481.570.640.610.141.151.151.391.000.990.000.00
-0.351.08-0.22-0.210.730.130.81-1.26-0.930.190.53-0.02-0.32--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
0.750.730.910.760.820.800.710.820.920.800.851.020.900.690.870.871.051.071.191.051.161.131.171.331.020.961.251.241.661.821.581.281.371.251.501.611.802.092.502.252.932.772.903.353.174.575.813.943.413.783.793.284.087.263.771.16----
0.690.690.710.700.710.720.720.740.720.770.820.830.890.880.860.830.840.820.760.700.700.710.710.690.690.610.600.590.520.510.530.550.540.500.440.390.410.400.380.360.400.410.420.480.480.470.480.490.510.530.520.520.510.590.810.69----
2.252.272.482.322.392.632.552.832.583.494.694.958.367.316.464.805.554.763.192.392.362.412.512.252.241.571.501.431.071.061.111.221.171.010.790.650.700.660.620.560.670.690.740.910.930.900.940.971.031.121.101.091.041.464.182.87----
63.6763.6474.7977.7971.6972.7175.6474.9282.5571.0579.2872.4062.9567.4369.4668.8356.2917.9540.2649.1066.8669.4762.8958.7618.7440.9246.5646.8049.6471.6217.3543.34-19.79-51.2514.3055.9655.8771.461.1454.1873.6785.8987.7175.2749.7739.5278.7086.6062.8267.6159.7077.8284.8921.5570.21-577.08-853.72-299.21-971.59-
28.3538.0843.9651.1941.7831.2340.4750.6753.8747.5550.1638.4418.6122.0913.0220.55-2.42-92.09-28.5116.5315.3323.5617.7413.24-28.55-2.15-19.97-2.67-9.6112.12-17.75-9.45-88.37-131.74-64.87-6.16-9.896.85-55.946.2621.5951.3156.5838.773.70-13.6334.7343.7215.395.49-3.0835.9648.86-13.7921.58-2,477.74-2,667.96-1,324.35-1,682.48-
28.3538.0843.9651.1941.7831.2340.4750.6753.8747.5550.1638.4418.6122.0913.0220.55-2.42-92.09-28.5116.5315.3323.5617.7413.24-28.55-2.15-19.97-2.67-9.6112.12-17.75-9.45-88.37-131.74-64.87-6.16-9.896.85-55.946.2621.5951.3156.5838.773.70-13.6334.7343.7215.395.49-3.0835.9648.86-13.7921.58-2,477.74-2,667.96-1,324.35-1,682.48-
------------------------------------------------------------
26.1329.9733.878.1526.1219.4635.45-35.4672.3431.271.9527.21-13.95-16.59-60.87-4.44-16.23-193.86-65.94-0.4911.0812.49-20.7592.74-45.84-68.97-58.64-64.96-42.9210.42-4.39-27.22-78.44-271.19-98.2054.13128-40.88-40.1414541.6241.7153.0521.71-4.77-12.6828.1031.13-4.63-2.06-18.2428.2043.921.93-71.44-4,730.57-4,152.67-1,721.36-2,659.80-
11.0313.2521.874.2716.188.5421.15-20.2748.7318.870.2117.24-14.26-14.89-51.412.17-16.63-156.61-102.80-7.774.504.25-17.8359.96-50.38-47.93-39.49-65.25-41.92-5.78-18.98-26.88-89.70-237.16-94.9519.6963.23-61.73-59.5372.2813.8217.1731.621.94-20.66-36.548.8014.46-16.24-22.05-32.2116.5421.23-13.15-74.94-2,174.42-4,990.44-2,548.64-3,313.59-
0.070.080.080.100.110.060.080.120.090.130.130.120.050.100.040.090.050.030.040.110.080.090.070.080.060.070.040.060.050.050.050.060.020.010.020.040.030.040.050.060.050.130.100.090.090.090.100.090.100.050.050.090.100.050.050.00----
0.961.100.600.740.960.390.591.060.531.160.890.960.490.930.350.890.690.800.762.050.841.111.261.502.261.790.851.391.030.521.491.610.970.970.790.630.550.501.781.470.631.170.691.123.272.191.620.882.180.721.171.811.072.340.960.54----
2.523.993.444.214.442.773.584.713.492.143.093.232.644.301.914.652.641.090.882.642.772.461.592.211.081.391.311.161.060.920.851.470.730.330.650.880.740.840.871.091.192.102.1810.061.144.241.661.631.010.690.900.710.730.440.410.01----
35.7422.5826.1521.4020.2732.4325.1419.1225.7842.1029.1227.9034.0420.9547.1019.3634.1582.4010234.0832.5336.5856.4540.7183.2764.8368.9277.4285.0198.0410661.1612427513710212210710482.6275.5442.9141.248.9479.2521.2454.0955.2589.5313099.781261232032207,145----
3.765.238.562.108.522.589.58-14.5024.8717.690.2618.65-9.97-18.61-25.441.81-8.78-43.90-28.33-4.251.801.90-6.0419.71-13.48-13.88-5.96-13.61-6.28-0.80-2.72-5.24-5.30-9.19-4.621.814.68-6.19-6.149.621.614.906.910.42-4.59-7.071.883.07-3.73-2.51-3.743.365.37-1.027.9910.65----
3.765.238.562.108.522.589.58-14.5024.8717.690.2618.65-9.97-18.61-25.441.81-8.78-43.90-28.33-4.251.801.90-6.0419.71-13.48-13.88-5.96-13.61-6.28-0.80-2.72-5.24-5.30-9.19-4.621.814.68-6.19-6.149.621.614.906.910.42-4.59-7.071.883.07-3.73-2.51-3.743.365.37-1.02-17.55-17.98----
0.821.111.710.441.710.491.77-2.504.522.380.032.00-0.69-1.43-2.290.21-0.91-5.00-4.37-0.830.360.38-1.184.54-2.91-3.56-1.66-3.82-2.13-0.28-0.91-1.70-1.81-3.29-1.820.751.94-2.74-2.804.400.732.193.110.18-1.94-3.180.851.34-1.56-1.01-1.521.352.26-0.38-2.97-3.87----
1.161.602.460.632.510.722.72-3.837.013.980.053.16-1.08-2.26-3.450.31-1.43-7.78-6.76-1.260.540.56-1.726.06-4.16-5.40-2.38-5.60-3.03-0.39-1.29-2.36-2.44-4.57-2.581.102.75-3.73-3.796.170.962.893.980.22-2.38-3.720.971.56-1.84-1.18-1.781.612.64-0.41-3.39-5.62----
2.542.422.272.242.171.961.891.731.961.451.181.170.700.750.871.091.051.121.592.102.222.202.182.362.161.872.132.302.592.732.742.802.923.053.313.443.353.163.323.463.082.982.802.562.502.582.752.652.502.542.572.622.482.2916.3119.09----
1.051.030.571.590.980.460.432.381.811.280.700.900.350.59-0.110.480.05-0.16-0.041.570.970.54-0.040.640.220.00-0.040.610.24-0.05-0.080.14-0.17-0.060.041.150.700.22-0.021.150.970.750.301.390.750.740.181.000.400.430.390.990.720.000.000.000.000.000.000.00
-0.56-0.12-0.09-0.35-0.29-0.41-0.041.080.920.850.72-0.22-0.56-0.11-0.43-0.21-0.48-0.49-0.250.730.370.16-0.240.13-0.12-0.24-0.140.810.550.410.37-1.26-1.48-1.15-0.55-0.93-0.66-0.71-0.510.190.360.410.130.530.090.28-0.05-0.02-0.35-0.090.20-0.32-0.05-------