McCormick Financial Ratios for Analysis 2009-2024 | MKC

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

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
0.650.700.680.680.720.740.831.001.101.261.291.081.231.221.19
0.400.440.470.490.510.560.630.390.380.360.340.310.390.350.39
0.871.101.191.241.251.481.960.880.830.710.630.690.770.600.74
37.5635.8239.4841.0740.1239.4837.9341.5240.4440.7840.4040.3041.1842.4941.58
14.4513.6016.0717.8417.9116.8014.7914.5312.7614.2113.3514.4114.6115.2814.63
14.4513.6016.0717.8417.9116.8014.7914.5312.7614.2113.3514.4114.6115.2814.63
17.4516.7619.1220.7920.8819.6517.8816.9915.2316.6315.9216.9717.2718.1317.58
11.9912.8014.1815.7415.3213.9812.5713.3611.5513.0712.1113.1113.2913.8713.05
10.2210.7411.9513.3413.1417.6010.0910.719.3510.329.4310.1610.1211.099.39
0.520.480.490.460.520.520.460.950.960.960.930.960.900.980.94
3.693.043.233.204.004.083.703.413.603.523.633.903.544.024.08
11.3411.0711.5010.6010.6310.248.529.489.448.608.328.628.668.638.74
32.1932.9731.7534.4434.3335.6642.8338.4938.6742.4643.8642.3642.1542.3041.77
12.2813.7115.8917.9319.1528.2417.2526.6321.6322.5818.7822.7221.5523.5721.10
-17.67-16.51-16.12-16.49-16.99-21.30-8.89-78.14-82.09-167.69-198.59-121.25-81.94-184.13-75.90
4.854.915.455.846.398.764.279.418.169.258.229.278.5310.088.37
7.417.728.379.189.3412.426.3216.2013.3314.4712.3315.5813.1715.3712.78
18.9617.5316.5614.7613.0012.049.816.546.637.057.436.426.095.495.10
4.592.413.073.873.533.083.172.572.281.921.741.691.271.441.57
3.611.442.043.032.882.452.461.981.791.421.381.290.911.131.26

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
0.710.690.680.650.670.850.730.700.770.740.730.680.680.860.810.680.901.020.740.720.780.790.780.740.790.850.860.830.950.790.801.001.061.071.151.100.981.021.071.261.311.321.321.291.300.991.091.081.351.301.241.231.821.281.261.221.201.281.261.191.081.030.99
0.380.380.390.400.400.450.430.440.460.460.460.470.480.520.530.490.490.530.500.510.520.540.550.560.580.590.590.630.650.310.320.390.370.370.380.380.310.320.320.360.340.340.340.340.360.310.310.310.370.390.380.390.370.320.330.350.360.400.400.390.390.410.45
0.840.830.850.870.940.981.071.101.161.161.161.191.251.261.341.241.061.171.241.251.331.381.411.481.601.701.671.962.120.950.980.880.910.880.840.830.850.820.780.710.690.670.650.630.770.770.710.690.730.780.780.770.600.600.620.600.710.780.760.740.870.951.16
38.6937.7137.3940.0136.9737.1035.9636.8235.5234.0336.8140.6238.7039.4838.9842.4141.2741.3638.7742.4340.6239.0637.9141.2239.6438.8437.8832.5940.8739.9039.5744.0141.6040.7039.3143.4139.8139.4538.5743.1240.2939.9239.4142.9140.1039.3438.7142.1040.0639.4739.1943.1439.6039.6941.9345.5442.1340.9240.5845.6240.2939.9039.55
17.0614.2514.5716.9614.5413.3712.7115.5914.7410.2313.5915.9617.1215.2515.9517.6519.0918.3716.0220.1519.0715.9815.9919.8617.4414.4914.9019.0514.2311.9012.8617.8615.3811.7612.5317.6613.0910.149.2716.9915.0811.7812.5414.8814.6011.5711.9917.4814.7512.3312.4117.2913.9512.3714.1318.9415.8612.2113.1919.2514.7310.8912.50
17.0614.2514.5716.9614.5413.3712.7115.5914.7410.2313.5915.9617.1215.2515.9517.6519.0918.3716.0220.1519.0715.9815.9919.8617.4414.4914.9019.0514.2311.9012.8617.8615.3811.7612.5317.6613.0910.149.2716.9915.0811.7812.5414.8814.6011.5711.9917.4814.7512.3312.4117.2913.9512.3714.1318.9415.8612.2113.1919.2514.7310.8912.50
---------------------------------------------------------------
14.6611.7812.1214.7011.8410.9810.1913.4617.228.4511.8214.3415.1513.2113.9815.8917.0216.1413.5618.0616.4813.2112.9917.6414.4111.4511.8016.0811.2210.6711.4816.8714.1110.5311.2916.5511.828.927.9815.9613.9210.6011.3113.9113.2510.3010.5616.3213.4910.9011.0216.0412.6511.0812.6317.8014.3610.6711.6517.9313.159.3410.56
13.2811.2110.3612.5110.109.178.8910.9513.977.7110.1711.4113.7111.8010.9212.8814.4113.9811.9414.3714.4411.4812.0214.5813.169.4834.7712.679.138.978.9612.8311.708.829.0712.419.218.236.9812.6111.798.188.3011.1110.277.848.1312.9610.688.178.2211.8710.008.339.8113.6512.898.298.8812.589.496.698.03
0.130.130.120.140.130.130.120.130.120.120.120.130.120.120.120.130.130.130.120.140.130.130.120.140.130.130.120.130.110.230.220.260.230.230.240.270.240.230.240.270.230.230.220.260.230.240.230.280.240.250.220.270.250.250.230.290.240.250.240.270.240.230.23
0.830.880.890.930.870.820.750.800.750.750.770.870.790.820.840.870.890.990.891.070.930.970.951.100.991.000.911.180.840.860.820.910.840.850.890.960.880.840.880.940.880.900.880.990.950.990.941.080.930.970.861.030.930.920.831.120.931.031.011.101.061.010.97
2.542.752.822.982.702.982.742.962.823.122.953.152.863.112.872.952.882.832.962.952.693.032.832.832.582.752.422.502.132.592.582.642.452.662.782.642.512.622.632.382.192.482.322.362.202.512.312.462.382.602.382.602.352.582.402.532.492.572.352.532.412.392.10
35.4132.7831.8730.1733.3630.2232.8330.4531.9128.8830.5528.5831.4328.9331.3430.5331.2431.7530.4430.4833.4929.6631.8431.7734.9432.7837.1736.0242.2434.7134.8734.1236.7333.8232.4334.0935.9134.3334.2137.8541.1536.3338.7838.1240.9435.9038.9036.6037.8534.5737.8334.6038.3034.8937.5735.5436.2135.0438.3035.5637.3637.6542.84
3.763.132.753.953.092.862.563.734.682.343.164.324.623.693.574.824.985.073.765.845.244.144.136.385.313.8113.496.433.955.065.008.886.744.854.928.274.994.433.567.325.794.273.896.325.534.194.098.025.744.674.407.484.954.484.378.297.414.624.638.205.373.704.95
-6.49-5.16-4.33-5.68-4.42-3.88-3.36-4.49-5.39-2.63-3.50-4.38-4.56-3.50-3.14-4.44-5.66-5.08-3.57-5.18-4.72-3.51-3.39-4.81-3.82-2.62-9.29-3.31-1.98-15.95-14.42-26.07-25.32-18.17-20.87-31.38-21.11-22.03-22.41-54.39-84.14-53.11-50.10-66.83-32.44-19.45-24.39-42.81-34.29-21.61-20.71-28.45-317.91-100.96-61.14-64.74-42.28-18.76-18.84-29.48-20.83-11.50-11.00
1.551.291.121.561.211.100.951.331.660.831.131.481.581.251.171.571.811.761.281.951.761.371.351.981.611.124.001.590.961.881.823.142.561.871.953.121.961.761.443.002.551.921.752.772.281.731.733.272.441.931.832.962.292.051.983.543.141.861.903.252.181.451.72
2.331.931.692.381.851.561.472.102.531.271.702.272.421.771.672.472.562.391.862.852.491.901.872.812.241.555.562.361.383.503.415.404.223.053.065.093.423.022.414.693.822.822.584.153.532.902.825.503.602.872.744.573.103.042.935.404.742.752.804.963.262.182.74
20.3219.9419.6018.9618.9018.4818.2217.5317.1817.2017.2216.5616.4716.2415.6014.7614.7913.7513.4513.0013.0912.7612.6612.0411.8211.5811.709.819.677.266.946.547.047.006.806.636.886.796.677.057.637.637.617.436.816.576.546.426.506.186.386.096.486.215.955.495.204.835.035.105.124.854.23
1.721.120.514.592.441.460.382.410.930.570.073.071.380.85-0.123.872.321.320.173.531.841.170.393.081.460.88-0.083.171.190.700.172.571.260.830.312.281.230.720.371.921.060.690.291.740.850.500.121.690.950.540.081.270.320.14-0.091.440.540.24-0.021.570.740.37-0.05
1.020.630.283.611.751.020.161.440.310.20-0.102.040.680.43-0.303.031.781.000.022.881.440.970.292.451.040.66-0.192.460.760.440.061.980.920.620.221.790.960.560.311.420.760.520.221.380.660.370.081.290.730.410.030.910.100.01-0.141.130.370.12-0.051.260.540.23-0.11