Kronos Worldwide Inc Financial Ratios for Analysis 2009-2024 | KRO

Fifteen years of historical annual and quarterly financial ratios and margins for Kronos Worldwide Inc (KRO).

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
3.013.804.364.684.515.154.593.573.523.762.813.732.643.752.46
0.360.320.360.400.380.380.420.460.420.300.160.260.280.410.66
0.570.480.570.680.620.610.720.860.740.440.200.380.400.711.96
9.9020.2623.0121.4322.3133.8332.9519.4014.2621.176.4828.3638.5123.8211.41
-3.368.279.657.098.4219.8620.126.81-0.089.06-7.6518.2028.1212.31-1.37
-3.368.279.657.098.4219.8620.126.81-0.089.06-7.6518.2028.1212.31-1.37
-0.1711.1812.6311.0311.5922.8522.509.783.0412.04-4.7620.6130.5715.392.74
-4.376.947.914.887.0017.6817.684.49-2.288.09-9.2316.7426.619.68-4.98
-2.955.415.823.905.0312.3420.503.17-12.876.01-5.8911.0616.529.01-3.04
0.911.000.960.800.880.880.951.161.091.011.070.981.070.850.86
2.662.533.452.482.672.213.033.202.993.073.892.222.694.003.43
5.337.575.125.075.605.324.995.586.115.946.136.926.486.276.02
68.4448.2471.3571.9465.2468.6373.1565.4459.7561.4759.5252.7856.3358.2160.60
-6.0710.9212.978.0210.6724.4147.0010.96-37.5812.70-10.9120.5734.7317.16-11.10
-6.0710.9212.978.0210.6724.4147.0010.96-37.5812.70-10.9120.5734.7317.16-11.10
-2.675.405.613.144.4310.8019.433.67-13.976.07-6.3010.7817.607.65-2.62
-3.877.398.274.796.6215.1727.315.93-21.728.85-9.1415.1624.9410.06-3.76
7.028.327.536.907.057.266.513.413.996.748.079.167.986.573.19
0.050.711.790.891.381.632.380.770.450.761.130.662.551.250.88
-0.360.161.280.340.911.141.830.320.040.230.540.021.960.880.64

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.683.613.683.013.904.054.373.803.814.434.554.364.695.744.704.685.055.095.034.515.224.944.995.154.964.644.584.594.263.793.573.573.343.193.683.523.823.874.223.764.253.793.412.812.763.363.143.733.453.033.432.642.853.673.653.752.782.632.702.462.672.102.42
0.360.350.370.360.350.340.340.320.330.330.350.360.380.390.390.400.390.380.390.380.370.370.370.380.370.380.410.420.400.360.460.460.420.440.430.420.400.380.320.300.280.270.270.160.180.230.220.260.270.310.310.280.310.380.430.410.570.590.630.660.680.680.67
0.650.550.580.570.530.520.510.480.480.500.540.570.620.640.650.680.650.620.630.620.580.590.590.610.600.620.680.720.660.570.850.860.790.850.770.740.680.630.490.440.390.380.380.200.240.330.310.380.390.470.460.400.450.600.740.711.331.521.681.962.142.392.23
20.8820.0214.9313.908.679.957.2310.8918.2821.3226.5223.8924.6122.7720.5820.9019.3324.8220.9321.3820.0522.6025.0427.6229.0336.4140.6138.8933.3730.0028.6627.9621.2015.5912.698.7812.8412.9121.2021.3423.0721.1519.1613.9711.262.000.8412.5018.1929.9546.5944.3838.4936.6534.8227.7025.5422.4218.9217.4219.195.001.65
8.037.174.07-1.42-6.37-1.51-4.29-5.756.7011.5314.8010.4811.469.157.314.924.638.5510.334.627.579.6011.2312.7614.1625.4124.9826.6920.6916.8315.2516.397.862.95-0.09-6.86-0.95-2.898.828.4311.559.996.19-0.27-8.83-9.91-10.120.288.1420.2837.3132.7628.5826.8324.3616.3115.1410.216.793.786.80-7.77-10.60
8.037.174.07-1.42-6.37-1.51-4.29-5.756.7011.5314.8010.4811.469.157.314.924.638.5510.334.627.579.6011.2312.7614.1625.4124.9826.6920.6916.8315.2516.397.862.95-0.09-6.86-0.95-2.898.828.4311.559.996.19-0.27-8.83-9.91-10.120.288.1420.2837.3132.7628.5826.8324.3616.3115.1410.216.793.786.80-7.77-10.60
---------------------------------------------------------------
19.505.592.42-2.35-7.33-2.78-5.18-7.244.8310.7413.479.039.627.295.512.652.376.148.413.465.538.449.8710.6811.3823.3423.1624.8417.2014.8212.9311.366.431.57-1.63-8.61-5.71-4.087.617.3410.669.005.28-1.00-10.38-11.04-12.86-1.797.1518.1036.5931.7327.3225.5621.6913.9012.757.663.530.173.45-11.38-14.52
14.813.901.69-1.32-5.14-1.85-3.57-5.814.578.1210.226.377.205.374.222.461.944.826.412.524.096.096.946.877.9516.4716.4310.4615.8944.529.956.956.230.48-1.19-7.11-3.51-44.365.045.337.697.463.400.79-7.13-7.05-8.87-4.567.4411.8324.3919.6215.6816.5614.349.758.525.0813.391.692.77-7.73-10.73
0.250.300.290.220.230.250.230.180.240.290.280.250.250.240.230.200.210.200.220.190.230.250.230.180.210.240.220.250.270.300.290.280.290.290.260.230.260.260.240.230.250.260.240.230.250.280.250.200.230.260.270.240.310.300.240.220.280.300.240.230.230.210.19
0.700.900.860.610.730.740.650.500.731.020.890.870.890.860.780.630.670.580.690.580.800.770.660.510.650.730.590.720.920.900.730.700.880.890.740.680.760.790.730.690.800.880.840.760.951.050.870.540.640.600.510.551.001.100.840.981.111.230.940.850.981.080.83
1.321.351.371.281.321.441.411.341.291.401.351.311.301.381.371.281.331.201.271.201.261.211.231.121.201.271.101.311.311.321.351.361.331.311.261.301.361.261.281.341.261.281.271.301.241.331.201.391.501.251.301.461.641.501.421.611.481.521.461.591.411.351.32
68.0566.6465.5570.2967.9862.5563.7667.0570.0164.3766.5868.7969.1565.4065.4870.0767.8974.7370.6374.7171.6774.4172.9980.5074.7371.0281.5968.8068.8668.2666.6665.9767.6868.8071.4969.2466.4171.4970.5867.0471.5870.5471.0268.9872.3567.4475.1364.8260.2072.2769.3261.7154.7659.9463.3555.7460.7259.0561.4556.5264.0066.8968.04
8.472.521.05-0.66-2.45-0.94-1.67-2.082.395.086.293.634.383.172.451.281.012.323.451.152.113.403.562.863.739.108.646.2810.3831.658.625.874.880.39-0.84-4.42-2.32-28.972.562.553.543.551.550.31-3.25-3.62-4.18-1.703.166.1212.989.289.6610.507.864.787.885.3312.181.632.86-7.76-9.04
8.502.521.05-0.66-2.45-0.94-1.67-2.082.395.086.293.634.383.172.451.281.012.323.451.152.113.403.562.863.739.108.646.2810.3831.658.625.874.880.39-0.84-4.42-2.32-28.972.562.553.543.551.550.31-3.25-3.62-4.18-1.703.166.1212.989.289.6610.507.864.787.885.3312.181.632.86-7.76-9.04
3.741.180.48-0.29-1.19-0.46-0.83-1.031.082.342.831.571.801.310.980.500.420.981.440.480.951.511.571.261.684.033.652.604.3113.342.901.971.790.14-0.31-1.64-0.90-11.681.221.221.931.910.810.18-1.79-1.95-2.21-0.891.733.056.644.704.834.983.382.132.421.533.250.380.64-1.63-2.05
5.451.630.66-0.42-1.60-0.62-1.10-1.411.613.394.102.322.711.931.490.760.611.432.120.711.342.142.241.782.335.645.143.656.2620.224.673.182.810.22-0.47-2.55-1.39-17.841.731.782.562.591.130.26-2.66-2.77-3.26-1.262.304.228.926.676.666.564.522.803.392.164.550.550.91-2.48-3.02
7.376.736.737.027.247.627.938.327.617.827.917.537.117.026.936.906.936.946.777.057.327.507.347.267.547.367.066.516.135.363.683.413.923.773.923.994.384.766.206.747.778.047.948.077.948.088.489.169.639.099.107.987.677.316.626.574.163.703.593.193.072.873.00
0.20-0.04-0.380.05-0.51-0.67-0.950.710.510.43-0.161.791.090.680.490.890.490.16-0.081.381.070.220.061.631.721.460.502.381.880.880.360.770.590.14-0.130.450.430.07-0.090.760.230.17-0.021.130.52-0.13-0.340.660.50-0.58-0.902.552.100.690.181.250.69-0.03-0.160.880.650.45-0.18
0.05-0.04-0.42-0.36-0.88-0.67-1.090.160.130.16-0.281.280.780.490.400.340.15-0.06-0.220.910.770.00-0.081.141.411.250.371.831.530.650.260.320.30-0.06-0.260.040.16-0.09-0.190.23-0.12-0.07-0.160.540.09-0.42-0.500.020.10-0.85-1.101.961.770.480.070.880.44-0.19-0.250.640.470.30-0.29