Mondelez Financial Ratios for Analysis 2009-2024 | MDLZ

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

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
0.620.600.740.660.500.450.480.590.820.840.921.050.881.021.08
0.370.430.380.380.340.330.330.340.340.330.310.320.400.430.41
0.680.850.690.720.670.710.680.680.550.600.530.600.760.800.73
38.2235.9239.1939.3039.9639.9138.7538.9838.8436.7937.1437.3436.5837.7035.96
15.2811.2216.2014.5014.8612.7713.379.8530.029.4711.2510.399.777.9313.37
15.2811.2216.2014.5014.8612.7714.099.8953.049.4711.2510.399.777.9313.37
18.6514.7420.0818.6918.9015.9017.2413.0656.0612.5614.3014.2313.9212.5015.78
16.3310.2515.2112.7313.3310.9612.065.6126.607.466.785.075.252.3110.18
13.778.6314.9713.3715.1912.7910.926.3124.526.3811.098.769.9213.067.80
0.500.440.430.390.400.410.410.420.470.510.490.460.380.330.58
6.165.976.456.106.106.016.206.416.956.225.935.863.983.696.57
7.988.069.019.008.848.637.347.477.717.216.535.715.634.827.46
45.7345.2840.5240.5641.3042.3049.7048.8647.3750.6455.8763.8964.8475.8048.95
17.5110.1315.2312.9114.4412.9510.906.5225.957.907.174.954.991.8710.82
-32.33-16.79-36.11-28.05-34.33-25.60-20.82-12.50-64.34-13.87-15.49-10.12-6.50-2.41-17.32
6.963.836.435.266.115.314.512.6711.603.303.222.131.880.714.21
10.985.789.407.949.508.717.284.2817.095.284.963.353.021.076.39
21.0419.7120.3519.4919.0417.7217.5216.5017.7816.7419.0818.2319.9820.5617.57
3.442.822.932.752.722.661.691.802.282.083.582.192.552.183.42
2.642.202.402.162.142.191.101.111.391.132.761.371.581.222.56

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
0.630.680.770.620.610.650.680.600.690.680.680.740.730.610.610.660.740.550.530.500.500.440.480.450.560.550.500.480.510.530.560.590.630.690.680.820.890.710.720.840.880.880.890.921.011.051.031.051.231.240.920.880.850.860.891.021.161.111.101.081.081.131.08
0.370.370.370.370.360.390.400.430.430.390.390.380.390.380.380.380.410.380.340.340.320.310.320.330.370.370.330.330.330.340.330.340.320.330.330.340.300.350.340.330.310.310.320.310.320.320.320.320.430.440.380.400.390.370.390.430.460.470.460.410.420.430.45
0.710.710.670.680.700.740.790.850.810.700.700.690.720.690.720.720.740.760.770.670.730.730.750.710.790.780.710.680.710.730.710.680.620.620.620.550.550.780.760.600.580.570.600.530.610.570.580.600.800.830.760.760.790.760.800.800.860.900.900.730.820.830.90
32.5833.5351.1337.2638.7039.4337.6035.3733.6636.3138.4236.9939.3239.6140.9839.3541.8939.4436.5439.9139.5940.7339.6637.6338.3941.5642.1138.0939.0438.6639.2637.8938.9039.9239.2738.5038.9840.0237.8935.6337.6936.8137.0836.8137.1137.5937.0837.3937.4737.6636.8635.3934.8935.1036.8734.8436.4238.3136.1337.2335.9535.9134.53
12.5310.2429.3512.8115.2716.7516.429.598.7512.7414.0915.7218.0213.1317.7315.7417.0312.0612.7613.1113.7816.9115.8512.8511.727.8718.0911.9217.9310.6212.867.2710.9810.1211.19-7.5611410.9810.456.6710.2311.349.7610.6514.9010.069.5410.1010.0610.9910.428.5012.8413.0113.099.0012.8013.8810.6611.4514.2514.8913.09
12.5310.2429.3512.8115.2716.7516.429.598.7512.7414.0915.7218.0213.1317.7315.7417.0312.0612.7613.0613.8316.9115.8512.8511.727.8718.0914.6317.9310.5712.867.4010.9810.1211.19-11.8121811.1510.456.6710.2311.349.7610.6514.9010.069.5410.1010.0610.9910.428.5012.8413.0113.099.0012.8013.8810.6611.4514.2514.8913.09
---------------------------------------------------------------
12.3010.1928.8712.4914.7413.6524.278.888.2211.8112.3514.9317.3913.0715.3212.8916.2611.1510.4212.3510.7615.4414.8811.3210.664.0617.1010.3917.798.6411.24-1.008.717.737.41-10.271126.885.487.0012.958.691.421.7212.327.336.356.991.216.954.803.309.639.849.545.179.1510.305.148.4110.8111.709.97
9.277.2015.2010.2010.9011.1022.706.716.8510.2711.0113.1017.5216.2313.2815.8416.799.2010.9711.3722.4413.2513.9811.2118.995.2015.4610.3215.028.329.821.028.577.368.58-9.901065.304.175.6610.787.371.8918.6111.956.996.136.037.8312.079.388.586.977.036.353.926.367.6516.646.708.778.467.35
0.130.110.120.130.130.120.130.120.110.110.110.110.110.100.110.110.100.090.110.110.100.100.100.110.100.100.100.110.100.100.100.110.100.100.100.120.100.120.120.130.120.120.120.130.110.120.120.130.090.090.090.100.140.140.130.140.130.130.120.160.140.150.14
1.451.381.271.621.451.351.581.661.521.531.681.781.491.371.621.671.361.321.741.631.401.321.511.631.361.331.491.691.431.361.501.701.411.401.421.741.381.531.411.631.261.301.351.601.281.361.431.590.810.860.871.101.351.401.301.691.321.461.421.761.481.561.45
1.962.081.932.062.102.252.132.232.222.292.102.402.162.282.182.472.182.262.032.362.002.101.852.251.761.891.711.981.671.811.661.951.631.611.491.911.161.801.581.861.561.521.461.761.361.441.401.551.171.281.191.521.942.031.762.111.972.191.722.041.992.112.01
45.8743.2746.6443.6042.7740.0442.3440.4440.6139.3742.8037.4741.7239.4741.2236.4341.2739.7444.2638.1144.9642.9248.6839.9451.2047.6252.6045.5653.9349.7454.2246.1355.0855.9760.3047.0077.7749.9256.9748.4257.7859.0361.4551.2566.3462.7164.4858.0976.8670.1075.9559.1546.5144.2951.0542.7345.6241.1852.2844.1445.2142.7544.82
3.072.184.973.353.463.287.392.172.002.713.053.554.553.913.574.194.152.092.892.895.323.073.552.964.691.273.962.793.761.942.460.271.991.702.00-2.5524.271.731.271.822.911.980.470.523.131.911.691.850.481.350.911.302.532.502.141.522.172.810.722.513.073.202.69
-5.58-4.00-9.67-6.18-6.95-6.35-13.80-3.60-3.55-5.80-6.51-8.41-9.95-8.09-7.27-9.11-9.08-4.27-6.33-6.87-12.74-6.45-7.22-5.86-8.86-2.27-7.76-5.33-7.22-3.67-4.83-0.52-4.61-3.98-4.566.32-71.78-2.67-1.82-3.19-6.20-4.23-0.96-1.13-6.65-3.88-3.44-3.78-0.68-1.89-1.28-1.69-3.52-3.69-2.92-1.96-2.79-3.32-0.88-4.02-4.63-4.57-3.39
1.190.821.821.331.391.312.870.820.781.131.271.501.871.621.461.711.690.851.171.222.241.261.431.211.870.511.631.151.550.801.020.110.870.740.87-1.1410.950.660.490.761.290.880.210.231.360.840.740.790.180.500.350.490.970.990.820.570.811.030.260.981.161.210.97
1.931.373.132.102.202.014.461.241.151.651.852.192.782.422.192.582.441.291.901.903.632.122.401.992.960.802.651.862.521.281.640.181.351.141.34-1.6816.911.130.831.222.011.380.320.362.141.291.151.250.280.760.560.791.551.561.300.871.181.500.391.481.791.821.48
20.8620.7321.2221.0420.9921.0920.7619.7119.5020.0820.3920.3519.9019.7419.3219.4918.9018.2718.0419.0418.6518.1417.9417.7217.5217.2417.9217.5217.4517.0716.9116.5017.8417.8017.9217.7818.8215.3515.1316.7418.4319.2118.7419.0818.5317.7217.9418.2320.6420.4320.9219.9820.7722.1521.3320.5620.0419.1319.8517.5717.0816.5315.25
2.571.590.983.442.301.440.822.821.821.420.812.931.931.270.642.751.611.080.202.721.290.720.322.661.270.790.271.690.520.17-0.361.800.720.21-0.292.280.870.35-0.172.080.670.22-0.343.580.670.23-0.212.191.220.68-0.482.540.940.17-0.562.130.700.440.003.422.201.160.29
1.851.110.762.641.741.160.672.201.811.140.752.402.540.980.502.162.110.770.182.140.930.400.142.190.820.450.091.100.10-0.13-0.541.110.22-0.11-0.491.390.16-0.13-0.431.130.03-0.19-0.522.760.09-0.08-0.341.370.530.26-0.671.570.24-0.19-0.701.190.120.10-0.152.561.690.840.15