Kohl's Financial Ratios for Analysis 2009-2024 | KSS

Fifteen years of historical annual and quarterly financial ratios and margins for Kohl's (KSS).

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
2024202320222021202020192018201720162015201420132012201120102009
1.311.201.531.931.681.771.991.761.871.951.931.861.852.032.302.02
0.530.540.460.420.370.380.450.460.450.440.440.420.390.310.210.23
1.151.300.890.760.610.630.830.890.860.790.810.750.650.510.260.31
39.9336.6941.1535.0739.2239.7039.3739.3136.1336.4036.4936.2638.1838.2437.8336.95
4.101.368.65-1.645.506.737.056.018.098.889.159.8011.4811.3810.829.37
4.101.368.65-1.645.506.737.056.018.098.889.159.8011.4811.3810.829.37
8.395.8212.963.8410.0911.4911.9810.7812.9513.5413.8214.1215.6115.4514.8312.67
2.13-0.326.27-3.424.515.155.564.455.507.097.388.109.899.729.078.69
1.81-0.114.83-1.023.463.964.282.833.504.564.675.116.216.095.665.40
1.251.261.291.041.371.621.501.451.411.331.331.391.331.241.311.44
3.653.593.734.003.433.513.443.153.043.173.123.283.613.743.653.69
----------------
----------------
8.14-0.5020.12-3.1412.6814.4915.8510.7412.2614.4714.8716.3017.9314.2712.3913.13
8.14-0.5020.12-3.1412.6814.4915.8510.7412.2614.4714.8716.3017.9314.2712.7213.54
2.26-0.136.23-1.064.756.426.424.104.956.056.197.098.257.547.397.79
3.86-0.2310.78-1.807.978.998.765.766.688.168.319.3910.959.869.8210.07
35.0733.9035.5832.8934.9433.9132.2629.7529.5229.8128.3327.2426.3526.9825.5822.10
10.522.3515.348.6910.4912.8510.0712.037.619.928.565.347.895.727.475.53
5.56-4.1811.497.805.089.326.077.744.076.585.642.034.473.105.262.23

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.081.211.311.141.151.171.201.211.371.401.531.491.711.771.931.602.221.881.681.421.651.661.771.581.821.761.991.611.791.721.761.601.771.831.871.541.731.911.951.661.881.941.931.641.821.821.861.571.691.671.851.681.771.982.031.922.082.082.301.852.022.092.02
0.490.530.530.540.540.540.540.530.500.490.460.450.420.400.420.440.500.500.370.370.360.360.380.410.410.420.450.470.470.470.460.470.460.460.450.460.450.430.440.450.450.450.440.440.420.420.420.420.400.400.390.390.330.320.310.300.310.180.210.220.220.230.23
1.201.241.151.381.371.431.301.331.081.030.890.830.750.680.760.821.021.030.610.620.590.590.630.720.720.740.830.910.910.920.890.910.890.890.860.940.890.790.790.820.820.820.810.820.760.750.750.750.680.670.650.660.520.490.510.480.490.260.260.280.290.300.31
42.9843.1435.1942.0642.4442.6826.1740.5942.9442.4036.0742.9845.4542.5534.8639.0836.9226.4035.6040.0042.4440.9136.3040.5443.0040.6836.2940.2942.5540.2742.6137.1439.4535.5533.0537.1138.9536.9433.8837.2238.9936.7634.0137.4939.0836.3933.3138.1339.0535.9236.1738.5740.6838.1136.8038.4540.2738.0936.4437.9939.9437.6034.80
4.451.275.023.874.182.74-5.024.686.512.216.928.4112.827.025.150.553.46-29.575.874.418.492.896.465.579.894.998.035.639.264.556.586.967.222.678.476.969.946.7910.326.9510.636.889.998.2110.527.5510.839.4710.877.5713.389.4812.889.3914.868.4411.908.7015.318.3710.486.9010.96
4.451.275.023.874.182.74-5.024.686.512.216.928.4112.827.025.150.553.46-29.575.874.418.492.896.465.579.894.998.035.639.264.556.586.967.222.678.476.969.946.7910.326.9510.636.889.998.2110.527.5510.839.4710.877.5713.389.4812.889.3914.868.4411.908.7015.318.3710.486.9010.96
---------------------------------------------------------------
2.14-1.183.641.681.900.39-6.312.784.620.385.926.9811.420.134.01-1.411.17-31.965.143.487.291.615.324.218.472.316.994.017.552.685.545.205.360.687.254.274.904.758.985.018.634.798.566.328.565.579.467.688.975.6312.117.7711.187.5712.936.5710.007.9311.677.609.676.0210.37
1.77-0.803.121.461.490.39-4.542.273.500.384.605.288.590.365.59-0.301.38-22.283.882.665.441.524.003.486.391.786.632.564.731.623.513.373.350.434.632.713.053.085.813.255.473.075.483.985.393.505.954.795.713.637.584.827.044.838.124.176.224.937.284.766.023.776.42
0.260.240.430.260.260.240.420.260.260.240.430.290.290.260.400.260.220.150.470.290.300.280.550.330.350.330.530.330.340.310.530.310.310.300.470.300.300.290.440.290.300.290.420.290.300.300.460.300.300.300.430.300.300.290.410.260.270.300.430.300.310.310.46
0.680.621.340.550.650.581.390.520.580.571.350.720.890.841.540.670.800.501.240.570.700.661.250.570.730.671.270.590.660.611.090.580.640.631.060.530.610.621.100.550.660.651.040.560.680.671.130.570.730.791.190.650.810.811.260.640.840.831.240.660.840.811.22
-------------------185277272-----------------57.55-----------41.68---169-------
-------------------0.490.330.33-----------------1.56-----------2.16---0.53-------
1.72-0.714.781.571.550.38-7.252.373.150.316.414.937.320.276.60-0.250.97-11.294.862.304.421.144.942.955.321.408.642.334.141.324.892.862.680.325.392.192.292.116.142.453.992.135.592.993.822.446.233.523.882.447.013.264.222.666.242.123.142.465.272.613.211.994.99
1.72-0.714.781.571.550.38-7.252.373.150.316.414.937.320.276.60-0.250.97-11.294.862.304.421.144.942.955.321.408.642.334.141.324.892.862.680.325.392.192.292.116.142.453.992.135.592.993.822.446.233.523.882.447.013.264.222.666.242.123.142.525.412.683.302.055.14
0.47-0.191.330.380.390.10-1.900.600.920.091.991.522.460.102.24-0.080.31-3.411.820.781.660.432.191.142.260.583.500.841.590.501.861.041.050.132.180.810.910.882.570.951.650.892.331.161.641.052.711.421.731.083.221.432.141.393.301.101.701.483.151.451.891.182.96
0.87-0.332.270.730.720.17-3.341.121.570.163.442.734.230.163.80-0.140.49-5.643.061.442.810.733.061.743.140.814.771.242.200.702.621.521.440.172.941.191.261.193.461.362.211.183.121.662.201.413.592.032.321.474.281.992.831.824.311.492.182.024.182.042.491.533.82
34.5034.3535.0733.7933.6533.5133.9035.0135.5034.8135.5834.7334.3432.5932.8930.6230.6130.3234.9434.1134.0933.5933.9133.0532.8631.8832.2629.8929.7129.1629.7529.0228.9728.6329.5228.6628.9629.7929.8128.6028.4828.1628.3327.6827.7727.2427.2426.4326.3326.0326.3525.4826.2126.7226.9826.9026.3326.2925.5824.0923.3222.5022.10
2.21-0.0610.523.412.05-1.822.35-3.57-4.27-3.5715.3412.0710.991.788.695.911.960.3410.496.664.250.8412.858.626.312.3210.075.232.240.2712.037.254.670.767.612.121.790.519.924.583.560.868.564.653.431.375.342.992.441.707.894.143.171.275.722.582.160.937.474.433.271.295.53
0.07-1.205.56-0.91-0.96-2.66-4.18-9.47-8.52-5.2511.499.419.771.427.805.451.94-0.715.082.341.49-0.639.325.854.431.526.071.94-0.14-0.997.743.952.81-0.184.07-0.75-0.12-0.376.581.821.740.015.642.522.150.762.030.260.640.984.471.291.440.503.100.390.730.315.262.642.170.682.23