LKQ Financial Ratios for Analysis 2009-2024 | LKQ

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

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
1.471.871.962.032.152.672.892.953.113.002.652.842.893.714.17
0.370.320.320.330.420.460.440.490.330.400.350.350.360.280.33
0.690.490.490.510.800.890.810.970.510.680.560.570.580.430.51
40.2140.8240.6639.5038.8038.5239.0239.0539.3939.3541.0041.8242.5744.2745.30
9.7912.3611.268.487.177.438.688.899.809.6410.4710.6211.0612.0611.30
9.7912.3611.268.487.177.438.688.899.809.6410.4710.6211.0612.0611.30
12.0914.4213.4311.059.689.9011.0411.2911.5811.5012.1812.3212.7213.7413.28
8.9111.8610.697.616.336.267.877.899.028.729.409.9210.2710.9410.03
6.758.988.345.494.334.045.485.415.885.666.166.346.436.856.23
0.921.061.040.940.981.041.041.031.271.231.121.111.021.071.01
2.662.752.972.912.762.572.492.702.802.852.772.662.552.792.90
11.9012.8212.2010.8311.0610.299.489.9812.1911.2111.0513.2211.6112.9313.43
30.6728.4729.9233.6933.0135.4738.5036.5929.9532.5733.0327.6031.4528.2427.17
15.2720.9318.8511.2810.7610.0812.7613.2513.5914.0213.2613.3012.7911.8210.78
-128.96231218241-260.89-103.42-729.32-232.6672.9320512015635653.5873.32
6.269.508.655.184.254.285.735.497.496.976.907.026.577.276.29
9.6014.1412.747.546.205.407.176.799.118.478.628.688.188.527.17
23.1320.4520.1618.6816.4615.3113.6111.1910.198.977.816.605.594.864.15
5.054.504.594.733.422.251.672.051.771.271.410.690.710.550.57
3.763.733.674.222.621.551.121.391.220.811.110.390.430.340.38

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
1.751.701.471.492.031.921.871.791.741.881.961.831.831.832.032.132.112.292.152.182.202.362.672.652.572.742.892.822.872.862.952.872.822.853.112.993.273.033.003.042.992.702.652.612.972.772.842.792.812.572.894.124.604.093.713.654.093.834.174.053.903.86
0.410.400.370.390.360.160.320.310.290.320.320.280.290.300.330.360.380.420.420.430.440.460.460.460.470.420.440.430.430.450.490.480.500.460.330.340.360.380.400.410.420.410.350.360.380.330.350.330.340.330.360.280.270.270.280.290.310.320.330.350.360.37
0.700.690.690.730.670.200.490.460.420.470.490.400.420.460.510.570.630.750.800.790.830.870.890.890.930.750.810.780.770.840.970.951.010.870.510.530.570.620.680.710.750.700.560.580.640.520.570.520.550.510.580.400.380.380.430.450.460.480.510.560.580.61
38.8339.2139.9638.9641.0140.9740.7541.1140.9240.5339.8340.7641.1940.8139.5939.3338.5040.4539.7438.1338.4038.9738.6938.3438.3438.7438.3738.8139.2539.7038.6038.7539.3039.5839.8738.9139.3939.4339.4638.6139.2640.1041.4439.9040.7341.9741.6840.3041.9243.3641.7042.6542.4243.6842.6543.0244.6946.9445.4945.4945.2944.94
8.877.807.918.6311.8010.909.7611.5316.7311.088.7911.4712.9511.709.069.716.878.066.877.357.277.175.477.528.478.336.718.079.9510.067.538.3110.099.668.679.1010.9010.488.689.0810.1610.6910.169.5110.5011.849.778.9910.7912.959.5910.9110.3313.6510.8510.7311.9114.9010.7411.3311.2611.93
8.877.807.918.6311.8010.909.7611.5316.7311.088.7911.4712.9511.709.069.716.878.066.877.357.277.175.477.528.478.336.718.079.9510.067.538.3110.099.668.679.1010.9010.488.689.0810.1610.6910.169.5110.5011.849.778.9910.7912.959.5910.9110.3313.6510.8510.7311.9114.9010.7411.3311.2611.93
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7.176.246.347.3711.2810.789.0611.1816.2510.638.4711.0711.9711.138.368.806.216.896.306.526.346.134.126.437.207.396.087.219.189.086.687.239.048.627.978.4610.109.537.708.129.349.769.018.409.3011.029.058.1910.0512.428.9610.219.9812.179.859.5910.7113.7210.169.769.6910.45
4.994.275.065.838.158.066.468.4412.578.157.418.618.888.396.116.354.524.844.664.844.643.161.204.295.185.625.034.966.145.824.015.566.205.845.445.536.516.044.785.326.146.445.915.666.057.075.825.326.367.855.986.286.157.406.135.916.488.946.695.895.936.32
0.240.240.230.240.240.270.250.270.280.260.250.260.280.250.240.250.220.240.240.250.260.240.260.270.260.280.260.280.290.290.260.270.280.260.310.320.330.320.310.310.310.310.290.300.300.320.290.290.290.320.290.310.310.330.290.280.270.290.280.250.250.27
0.740.720.670.730.760.720.650.690.740.770.730.810.840.780.740.820.710.660.650.750.760.700.650.690.690.690.640.670.720.710.680.710.740.650.680.760.790.790.710.790.770.780.720.770.760.790.690.730.730.790.740.740.790.860.780.780.780.820.790.750.750.78
2.732.663.012.742.742.663.012.952.882.702.972.782.802.532.752.592.332.572.662.572.532.292.602.492.332.252.402.412.462.412.502.302.322.182.962.922.822.752.802.822.742.822.872.963.033.343.423.373.253.323.333.393.213.533.533.633.763.863.653.883.503.68
32.9833.8329.9532.8232.8133.7829.9330.4731.2833.3130.3132.3532.1235.5532.7034.6838.5835.0533.8234.9735.6339.2934.5936.2038.6540.0837.4337.2936.6537.4036.0239.1138.8641.3430.3730.8031.8932.7332.1431.8732.8731.9531.3130.4229.7126.9126.2826.7227.6727.0926.9926.5428.0325.4725.5124.7623.9123.3124.6823.1825.6924.47
3.032.562.993.474.734.733.554.957.494.644.064.805.194.543.193.582.302.952.793.123.092.040.882.753.303.462.923.033.913.902.803.214.173.473.053.344.053.852.963.434.034.243.313.263.544.143.172.863.534.643.423.123.043.922.922.692.944.173.102.662.603.04
-30.05-25.32-25.27-27.5630.6539.2439.1950.2965.0240.8846.9144.5954.8947.0368.05136-420.07-88.10-67.61-55.33-39.89-25.59-9.01-25.32-25.54144-166.88265216-155.72-49.12-35.53-36.06-38.8716.3821.6127.2734.2143.2148.2916623630.0041.0946.5331.9537.2229.7049.4058.9094.9812.7111.5616.1613.2512.7513.8322.2821.0622.7032.8665.22
1.221.031.231.361.992.161.612.243.462.111.862.282.462.101.461.590.981.191.101.221.190.780.371.161.371.591.311.381.791.731.161.341.681.521.681.782.121.941.471.651.912.011.721.681.802.271.671.541.872.481.751.941.932.471.801.631.782.461.811.511.461.68
1.791.531.882.133.003.962.403.405.303.172.743.443.713.192.132.301.431.701.611.761.721.110.471.471.752.011.641.732.242.151.431.662.091.882.052.202.602.411.792.042.342.512.152.102.202.792.071.922.313.112.182.242.222.872.111.902.042.852.061.731.671.92
23.2623.1223.1322.3022.2921.3220.4519.5420.2620.3720.1620.2519.8919.3818.6817.7916.9316.4116.4615.9015.8515.4715.3115.3915.0314.2713.6113.0812.5011.7011.1911.1510.7810.5510.199.949.709.148.978.808.618.197.817.507.136.846.606.366.135.925.595.395.255.094.864.654.514.364.154.013.893.76
1.750.955.054.262.620.834.503.682.611.434.594.623.091.724.733.733.000.633.423.132.040.562.251.631.050.471.671.451.170.562.051.691.170.441.771.640.920.591.271.050.500.321.411.120.690.350.690.600.400.370.710.540.340.260.550.500.350.300.570.470.300.14
1.200.703.763.422.110.573.733.162.271.233.674.222.841.614.223.412.770.512.622.621.720.401.551.090.680.271.121.010.870.411.391.200.840.271.221.320.700.500.810.730.280.211.110.920.560.280.390.410.270.300.430.330.200.200.340.370.280.270.380.370.240.11