Monster Beverage Financial Ratios for Analysis 2009-2024 | MNST

Fifteen years of historical annual and quarterly financial ratios and margins for Monster Beverage (MNST).

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
4.814.764.854.193.503.003.723.048.774.653.742.894.444.976.99
---------------
--------------0.00
53.1450.3056.1059.2359.9560.2963.4563.6859.9554.3652.2151.7152.5152.1753.56
27.3625.1132.4435.5133.4033.7235.5835.5932.8230.3325.5026.7226.8026.6729.50
27.3625.1132.4435.5133.4033.7235.5835.5932.8230.3325.5026.7226.8026.6729.50
28.3226.0833.3436.7534.8435.2137.0336.9333.9631.3726.5227.7227.8027.5830.02
28.9724.9132.5135.3633.7133.9735.6735.4132.7530.2625.1026.6526.8526.7929.36
22.8418.8824.8630.6526.3726.0824.3623.3720.0819.6015.0816.5016.8016.2618.26
0.740.760.710.740.820.840.700.730.491.271.581.981.251.141.43
3.443.354.105.634.665.444.816.846.986.444.854.905.204.074.91
5.986.216.186.907.777.867.505.325.708.787.588.717.797.8310.50
61.0458.7759.0652.8646.9546.4648.7068.5964.0841.5748.1241.9346.8846.5934.77
19.8216.9620.9827.3126.5627.5021.0721.4011.3731.8934.1352.7729.2325.6035.68
30.3027.1633.0950.8861.9880.5153.6673.8217.6333.0036.5557.6630.7527.0137.85
16.8414.3717.6522.7321.5121.9417.1317.169.8124.9223.8432.5921.0118.4926.09
19.8216.9620.9827.3126.5627.5021.0721.4011.3731.8934.1352.7729.2325.6035.68
7.906.736.204.893.893.323.442.943.951.510.990.650.940.780.55
1.620.831.081.281.021.030.860.580.450.570.330.260.300.210.14
1.420.661.041.230.930.980.78-0.070.420.550.300.220.280.190.12

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
3.414.914.814.514.864.464.764.194.294.544.854.704.454.354.193.653.512.923.503.313.303.023.003.282.983.823.723.243.353.443.043.282.607.028.777.437.973.354.654.363.673.563.742.923.162.842.893.564.724.464.446.266.516.164.976.034.845.156.995.465.684.89
0.11-------------------------------------------------------------
0.13--------------------------------------------------0.000.000.00-0.000.000.000.000.000.000.00
53.6454.0954.2453.0052.5252.8551.8451.3347.1151.1453.8655.9557.2457.4857.7459.0960.2959.9960.0459.3759.9060.6359.7559.8061.0660.5562.1562.6464.3364.8066.0863.8362.5862.2062.4961.5256.8758.8654.7953.7655.1953.5051.2552.0853.3052.0551.7250.4851.8053.0552.2652.7352.8552.0651.5951.8952.8752.3153.3853.5953.9053.31
27.7428.5425.0827.5128.2428.5526.0725.7322.5326.3128.9731.5135.9833.3033.6336.8037.2334.3631.1734.8834.3332.9233.1633.4235.2032.9032.9634.9038.5935.6133.4036.8534.8737.4535.3938.5252.781.2231.8629.8631.4027.7724.9225.6528.4422.1624.1525.9628.6527.7825.2227.8328.6724.8225.0428.2029.9921.3329.5130.1730.9026.94
27.7428.5425.0827.5128.2428.5526.0725.7322.5326.3128.9731.5135.9833.3033.6336.8037.2334.3631.1734.8834.3332.9233.1633.4235.2032.9032.9634.9038.5935.6133.4036.8534.8737.4535.3938.5252.781.2231.8629.8631.4027.7724.9225.6528.4422.1624.1525.9628.6527.7825.2227.8328.6724.8225.0428.2029.9921.3329.5030.1730.9026.94
--------------------------------------------------------------
29.0230.4226.0131.3529.0629.2926.0125.8622.1225.8329.4031.3536.0433.2433.5036.4337.0734.4531.5835.1634.6033.2133.6433.7135.2533.1133.0535.3438.3135.7032.7336.7234.8437.5435.5638.0752.631.4131.6929.7031.4327.8024.3625.5327.9021.7723.6626.0628.6427.8625.5027.6428.7324.9025.1628.1530.0821.7429.7330.1231.0425.90
22.3823.2821.2124.3922.3123.3919.9419.8516.5119.3722.5523.9127.6225.3439.4327.8928.4626.2525.0626.3726.4927.6425.8726.3526.5925.3924.8424.0524.5423.9822.9424.3222.2624.0921.5023.0733.010.7020.7019.1220.5217.7714.0715.6116.9413.1114.4215.9018.5316.7415.7417.3618.2315.4415.4217.4317.4613.6818.3418.3519.0817.02
0.240.190.180.200.200.190.180.200.200.190.180.190.210.190.190.220.210.220.200.220.220.200.200.210.220.180.170.190.190.170.180.190.200.120.120.140.120.300.310.340.390.340.380.390.480.420.450.410.370.310.300.390.370.310.280.370.380.260.360.380.380.33
1.060.930.820.991.040.880.780.920.990.901.111.321.631.441.521.601.281.211.131.451.481.241.341.561.441.251.201.591.701.531.581.701.781.551.551.821.651.301.571.431.481.221.191.141.261.081.121.381.441.191.261.361.390.981.011.231.240.951.251.151.181.04
1.401.391.451.511.391.431.491.541.411.461.591.661.611.551.801.681.441.581.881.751.601.591.911.641.711.621.801.701.691.301.321.331.401.261.351.421.391.822.161.911.721.551.831.721.811.521.991.871.931.771.873.402.852.391.912.892.782.022.673.172.382.03
64.5164.9462.1159.7064.6863.0660.4558.2763.9261.6256.6354.1855.9758.0750.1153.4962.5656.8247.8151.4556.1056.7747.1954.9352.5055.5849.9252.9853.2969.3668.4267.6664.2571.6866.6563.4664.6549.4041.7347.1552.2358.0549.2952.3249.6759.0445.1848.0446.5350.7748.0226.4631.6137.6347.0131.0932.3644.4933.6928.4437.7444.26
7.255.154.465.755.285.374.294.734.014.284.895.406.845.779.147.517.387.206.117.287.217.076.626.887.495.575.175.815.905.045.195.645.773.282.883.754.720.308.278.7711.238.647.679.6012.489.0510.559.689.247.136.598.848.876.455.938.739.415.129.1210.0710.418.56
14.117.726.829.067.968.366.887.726.556.977.728.7611.4910.2817.0315.5316.9718.7614.2617.2917.4119.7419.3917.6221.8914.3313.1615.5915.7715.2717.9118.5422.294.994.475.947.300.318.569.0911.869.188.2110.2813.429.8711.5310.299.667.476.939.319.326.816.269.249.995.449.6810.6811.019.11
5.284.383.794.864.474.493.643.933.343.594.124.535.714.827.616.106.005.714.955.825.755.625.285.505.954.564.204.654.754.094.164.524.562.792.493.123.950.216.466.537.975.985.366.108.115.536.526.536.865.174.746.766.834.864.286.486.623.616.677.057.285.67
6.435.154.465.755.285.374.294.734.014.284.895.406.845.779.147.517.387.206.117.287.217.076.626.887.495.575.175.815.905.045.195.645.773.282.883.754.720.308.278.7711.238.647.679.6012.489.0510.559.689.247.136.598.848.876.455.938.739.415.129.1210.0710.418.56
5.978.237.907.577.497.076.736.506.466.486.205.905.585.174.894.384.003.673.893.803.723.403.323.523.263.443.443.343.323.112.942.972.804.103.953.833.941.441.511.381.251.100.990.950.850.710.650.871.121.010.940.890.890.800.780.720.640.600.550.520.510.45
0.820.391.621.210.720.400.830.550.120.001.080.870.550.161.280.890.410.181.020.750.410.111.030.730.440.130.860.680.460.170.580.360.200.090.450.280.150.100.570.390.250.130.330.260.100.040.260.200.100.030.300.210.110.020.210.150.110.060.140.110.030.00
0.700.331.421.110.640.360.660.430.03-0.021.040.840.530.161.230.850.390.170.930.710.400.110.980.690.420.120.780.630.430.15-0.07-0.29-0.370.080.420.260.130.090.550.370.230.120.300.240.080.040.220.170.080.020.280.190.100.020.190.150.110.060.120.090.02-0.01