McDonald's Financial Ratios for Analysis 2009-2024 | MCD

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

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
1.161.431.781.010.981.361.841.403.271.521.591.451.251.491.14
1.151.201.151.291.321.251.121.090.770.540.470.470.460.440.43
-8.36-5.98-7.74-4.78-4.16-4.97-9.04-11.783.401.160.880.890.870.790.75
57.1256.9754.1750.7752.3350.9646.5441.4538.5238.1038.7939.2439.5740.0338.65
45.6840.4244.5938.1342.4541.5041.8631.4528.1228.9731.1831.2131.5831.0430.08
45.6840.4244.5938.1342.4541.5041.8631.4528.1228.9731.1831.2131.5831.0430.08
53.4448.4952.6447.2550.0348.4747.8337.6134.2434.9636.8236.6136.8236.3435.42
41.2733.7639.3131.9737.5336.7737.5727.8925.8026.8629.1929.3129.6729.0828.52
33.2226.6532.4924.6328.2027.8722.7519.0317.8217.3419.8719.8220.3820.5520.01
0.450.460.430.370.450.650.680.790.670.800.770.780.820.750.75
207192191185203204207245156154139138140131131
10.2510.9612.409.109.618.7111.5516.7019.5722.6021.3020.0420.2320.4221.45
35.6233.3029.4340.1038.0041.9231.6121.8518.6516.1517.1418.2118.0417.8817.02
-179.93-102.90-163.99-60.45-73.39-94.66-158.88-212.6163.9037.0234.8935.7338.2433.8032.43
-109.32-69.38-102.19-44.64-55.34-68.97-91.94-103.2199.0747.0242.5243.7546.8941.0539.20
15.0812.2514.018.9912.6818.0615.3615.1111.9413.9015.2515.4416.6815.4715.06
26.1020.6624.3217.2823.2623.8719.7719.8014.5117.1218.5318.8920.7518.9318.50
-6.51-8.21-6.18-10.50-11.00-8.16-4.45-2.697.8213.3516.1615.2514.0913.8913.03
13.139.9612.168.3510.628.876.817.046.926.827.086.836.845.875.19
10.047.469.596.207.695.584.745.025.234.294.273.844.233.893.43

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
0.781.080.831.161.711.351.471.431.651.411.101.781.331.451.191.011.070.911.900.980.841.211.471.361.531.471.741.841.282.151.831.400.961.891.773.271.522.161.311.521.251.741.561.591.241.651.391.451.011.241.171.250.871.020.901.491.281.231.351.141.021.271.56
1.151.141.151.151.151.161.191.201.231.231.211.151.201.201.261.291.321.381.321.321.351.261.251.251.271.241.181.121.141.081.081.091.070.980.860.770.680.630.560.540.520.480.460.470.470.470.460.470.480.480.450.460.450.430.420.440.450.440.430.430.450.440.45
-7.65-7.99-7.73-8.36-7.68-7.14-6.43-5.98-5.31-5.43-5.67-7.74-6.19-6.10-4.94-4.78-4.47-4.10-4.21-4.16-3.82-4.80-5.02-4.97-4.70-5.29-6.54-9.04-8.23-14.18-13.40-11.78-16.0140.646.053.402.171.701.251.161.110.960.860.880.890.880.840.890.960.970.870.870.940.820.830.790.840.810.740.750.840.830.82
56.3857.2955.7557.0257.7457.4356.1957.5258.6957.7553.8454.2755.3354.6852.0752.3253.6145.8749.6852.8353.0352.5550.7950.8452.5651.1749.1949.9148.9644.7742.8042.4342.7641.2839.1939.5339.1738.3336.9437.6438.3738.7737.5538.6739.7439.0437.6139.2439.9139.2738.4639.7740.5639.4738.3039.8241.3440.3138.5039.4039.8338.4236.64
46.4044.9944.3343.7147.9447.8042.9543.5847.0729.9440.8239.8948.1645.7144.5240.3346.6325.5535.9242.2443.7942.0341.6837.0645.0342.2641.7040.1553.5137.9435.8432.6633.2729.6630.1529.6530.6928.4623.2526.6529.6630.4828.8931.0233.0031.0229.5131.6131.9831.1630.0131.0733.4231.7029.8829.8933.2531.0429.8430.5731.9629.7827.58
46.4044.9944.3343.7147.9447.8042.9543.5847.0729.9440.8239.8948.1645.7144.5240.3346.6325.5535.9242.2443.7942.0341.6837.0645.0342.2641.7040.1553.5137.9435.8432.6633.2729.6630.1529.6530.6928.4623.2526.6529.6630.4828.8931.0233.0031.0229.5131.6131.9831.1630.0131.0733.4231.7029.8829.8933.2531.0429.8430.5731.9629.7827.58
---------------------------------------------------------------
41.3639.3739.0539.2543.6943.3538.4439.4743.1924.6427.2035.0843.4040.3538.1034.4440.9217.2530.6537.3439.1137.1136.4532.4640.2037.6936.7435.3049.0034.0731.8528.7829.6526.3426.7026.9828.4026.3521.0524.2927.5028.8426.6228.9731.0329.0827.5129.7530.1129.0628.2229.0831.5829.9227.8027.9031.3229.1927.7528.4830.1328.1927.03
32.8131.1631.2731.8434.6235.5530.5532.1233.7520.7819.4927.2734.6737.6930.0025.9232.5312.8623.4828.9629.2228.0426.4426.2330.4927.9526.7613.0832.7323.0621.4019.7919.8517.4419.0519.0219.7918.5113.6216.7015.2919.3117.9819.6920.7919.7119.2320.0820.3419.4819.3520.1821.0320.4219.7819.9922.0220.6219.4320.3720.8519.3719.29
0.120.120.120.110.130.130.110.120.120.120.110.110.120.110.100.100.110.080.090.110.120.120.110.160.160.160.150.160.180.180.180.190.200.190.170.170.200.190.190.190.190.190.180.190.210.210.190.200.210.210.200.210.220.210.190.190.200.210.190.200.200.190.18
55.5260.2659.3551.9559.4152.7950.1748.4255.9055.8052.7349.4355.2955.8254.2249.5856.8647.8060.6851.0160.6758.0860.6051.9160.7952.7148.5445.4954.1958.9357.1658.9340.6342.0938.3238.3140.5239.1738.0437.2641.0139.7239.4035.1739.0240.0639.1734.7139.3937.6036.0735.1837.0436.3533.8234.0335.7037.6034.7534.0934.0733.8932.43
2.792.702.762.572.982.962.842.803.113.113.383.213.393.262.962.522.271.322.782.442.742.632.522.212.372.412.632.703.674.154.254.094.764.945.084.885.825.515.465.415.705.555.455.375.705.445.375.065.605.365.305.115.955.535.275.276.226.176.035.636.886.075.62
32.2133.3432.6534.9630.2230.3831.6732.1228.9728.9126.5928.0426.5427.6430.4535.7439.7368.2532.3636.8832.8034.1935.7040.7238.0037.2734.1833.3124.5421.6821.2022.0118.9118.2017.7218.4315.4616.3216.4916.6315.8016.2216.5216.7515.8016.5416.7617.8016.0716.8016.9717.6115.1216.2817.0917.0814.4714.5914.9215.9813.0914.8316.01
-43.56-41.92-39.94-43.30-47.75-46.23-31.20-31.71-30.18-18.65-18.43-35.62-37.88-38.21-21.25-17.60-20.80-5.11-11.91-19.15-18.70-22.28-20.28-22.61-24.10-25.57-29.15-21.38-54.17-69.73-59.82-54.14-78.5317129.1217.0215.7511.397.128.547.848.597.468.7310.049.218.349.1310.489.608.649.5711.309.438.368.4910.189.337.728.679.568.267.72
-26.85-25.69-24.55-26.30-29.64-29.00-20.70-21.38-21.50-13.07-12.54-22.20-25.54-25.85-15.40-12.99-15.75-3.99-9.29-14.44-14.43-16.16-14.98-16.48-17.92-18.25-19.31-12.37-32.20-32.10-28.06-26.28-30.89-58.8086.9826.3822.8615.169.2110.859.8810.479.0910.6312.3611.2710.2111.1813.0611.8610.6111.7314.0911.5310.2610.3112.4911.449.3610.4811.7010.039.34
4.013.763.613.634.454.583.463.774.092.412.173.044.084.283.012.623.480.972.193.313.513.282.864.314.814.574.082.075.794.263.783.853.933.303.333.183.973.442.523.212.973.673.313.814.284.053.723.954.304.043.804.174.674.303.773.894.454.273.654.034.193.743.52
6.676.006.046.287.157.535.856.377.004.213.945.287.437.625.575.036.611.923.856.076.635.875.045.706.526.025.262.667.565.334.875.045.234.104.133.864.984.223.163.953.804.474.024.645.314.894.534.835.465.034.745.196.205.424.844.755.555.234.434.955.294.614.24
-7.22-6.73-6.71-6.51-6.69-6.86-7.91-8.21-8.97-8.66-8.10-6.18-7.60-7.78-9.70-10.50-11.37-12.72-12.50-11.00-11.42-8.97-8.58-8.16-8.81-7.54-6.01-4.45-4.36-2.47-2.49-2.69-1.960.754.407.829.0511.2111.9013.3514.0016.4516.3416.1615.2415.1815.1915.2513.8313.9214.4314.0913.0414.4913.9313.8912.9112.3413.1213.0312.2212.1411.50
9.475.653.2913.139.745.583.299.967.013.712.8512.168.605.132.838.355.701.782.0610.628.165.132.628.877.003.792.066.815.463.371.877.046.193.441.956.925.523.361.766.825.313.421.927.085.233.171.676.835.043.041.596.845.153.051.475.874.292.461.315.193.982.301.01
6.784.052.5510.047.604.202.637.465.192.592.329.596.944.072.386.204.150.751.447.696.133.801.985.584.782.471.464.744.162.511.435.024.902.631.525.234.212.511.354.293.472.251.344.273.311.951.043.843.021.771.014.233.432.000.993.893.071.730.943.432.781.530.64