NIKE Financial Ratios for Analysis 2009-2024 | NKE

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

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
2024202320222021202020192018201720162015201420132012201120102009
2.402.722.632.722.482.102.512.932.802.462.723.443.052.853.262.97
0.350.390.370.420.540.280.260.220.140.080.100.100.020.030.040.05
0.620.640.620.741.200.380.390.310.170.100.130.120.040.070.060.09
44.5643.5245.9844.8243.4244.6743.8444.5846.2445.9744.7743.5943.5045.7446.2844.87
12.2911.5514.2915.588.3312.2012.2113.8313.9113.6413.2412.7913.1514.1213.019.69
12.2911.5514.2915.588.3312.2012.2113.8313.9113.6413.2412.7913.1514.1213.019.69
13.9313.2316.0917.3711.3214.0414.3415.9115.9515.7615.3514.7814.8515.9015.0913.78
13.0412.1114.2414.967.7212.2711.8814.2214.2813.7412.7512.8612.9114.2313.2410.21
11.109.9012.9412.866.7910.305.3112.3411.6110.709.699.779.4810.6010.037.75
1.351.361.161.181.191.651.621.481.511.421.501.441.511.341.321.45
3.793.423.003.592.873.853.893.773.603.813.894.104.094.025.004.49
11.6012.4010.019.9813.619.1610.419.349.999.118.108.127.456.417.186.65
31.4629.4436.4736.5826.8339.8635.0839.0736.5440.0545.0944.9549.0056.9450.8754.89
39.5036.2039.5744.8631.5244.5719.7034.1730.6725.7624.8822.1221.7422.0719.5517.11
40.9237.7041.1046.7333.5946.8320.6235.3831.7426.6225.8722.9922.8423.7420.9618.51
14.9613.5114.9915.178.1016.998.5818.2317.5915.1514.4813.9714.5914.4813.2311.22
25.5222.1124.9825.8214.5432.2214.5626.7026.3823.7422.4019.9421.2721.4618.7016.29
9.609.149.738.095.175.776.137.557.297.426.226.205.675.265.044.48
4.863.723.224.141.563.652.992.271.952.651.661.650.970.931.600.88
4.333.102.753.700.882.962.371.631.302.101.181.340.670.711.440.67

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
2.362.402.742.742.872.722.732.692.642.633.063.073.192.722.782.662.552.481.901.982.012.102.172.142.312.512.662.462.672.933.073.062.722.803.063.042.892.462.722.842.812.723.393.533.533.443.373.012.953.053.213.012.942.853.233.363.353.263.543.493.372.973.15
0.360.350.390.390.390.390.380.370.360.370.390.390.400.420.440.470.500.540.280.270.270.280.280.280.280.260.260.230.220.220.210.220.140.140.140.130.080.080.080.080.100.100.100.100.100.100.010.020.020.020.020.020.020.030.030.030.030.040.050.050.050.050.05
0.650.620.630.630.640.640.650.620.600.620.640.630.660.740.790.891.031.200.380.400.400.380.390.400.390.390.360.400.320.310.280.290.170.170.170.160.090.100.100.110.120.130.120.120.120.120.030.030.040.040.040.050.050.070.060.060.060.060.060.060.060.090.10
45.3644.6944.7544.6044.2143.6343.3542.8944.2644.9846.6145.9046.5145.8145.5643.1144.7537.2744.2744.0145.6945.4945.1543.7944.2044.7243.8343.0043.6844.0644.4744.2145.5045.9245.9345.5547.4846.1945.9245.0846.6245.5944.5143.9444.9343.9044.2242.4943.6842.8943.9442.8444.2944.7745.8245.2947.0347.3946.8644.4946.1843.3643.88
10.4312.2610.7513.6312.409.5211.4011.9213.3612.0014.9812.8017.3415.5016.2014.0516.67-13.2711.7811.8114.4712.0512.9910.2713.4112.8513.0310.6412.1913.3514.8713.5813.5312.3713.9812.2416.8512.8314.0312.0515.5512.6213.4011.4315.4113.4714.1111.6511.8812.8513.7411.6314.3116.0913.5912.0214.7113.1613.8410.9213.969.634.39
10.4312.2610.7513.6312.409.5211.4011.9213.3612.0014.9812.8017.3415.5016.2014.0516.67-13.2711.7811.8114.4712.0512.9910.2713.4112.8513.0310.6412.1913.3514.8713.5813.5312.3713.9812.2416.8512.8314.0312.0515.5512.6213.4011.4315.4113.4714.1111.6511.8812.8513.7411.6314.3116.0913.5912.0214.7113.1613.8410.9213.969.634.39
---------------------------------------------------------------
11.2813.6911.3014.3612.749.7211.9212.3914.4111.2315.3613.2217.1915.0215.8012.9516.19-12.748.7212.1014.6412.2113.4310.6412.7712.4112.9010.2811.8213.4615.6913.6214.1413.0214.1312.6217.1713.5214.0211.9015.4012.2812.6211.1014.8913.2313.8711.9612.3612.2413.9111.4014.0115.7513.9212.5814.5913.4513.9911.1514.1910.335.30
9.0711.909.4311.7911.218.0410.0110.0011.5711.7612.8411.7715.3012.2213.9911.1314.33-12.518.3810.8012.829.7111.469.0410.9811.62-10.258.9710.4711.6213.5310.2913.7810.2611.8310.2114.0111.1210.608.8812.059.409.788.3011.179.7814.006.458.768.889.908.4610.6111.8310.309.4410.8010.2810.508.5110.697.255.49
0.310.330.330.360.350.340.320.340.310.300.280.290.320.330.290.320.320.200.390.390.410.430.420.410.440.430.400.360.380.370.360.360.430.390.380.340.410.360.360.390.430.400.390.360.390.380.400.390.430.390.380.380.410.330.350.330.370.350.350.330.360.360.36
0.770.930.890.930.830.860.790.820.730.800.750.940.980.980.841.050.870.540.970.930.990.990.970.981.061.030.940.920.980.960.950.911.010.920.950.911.000.970.950.981.061.021.010.981.111.081.041.031.071.070.941.001.091.021.091.131.241.311.171.121.131.131.01
2.432.852.752.802.723.102.752.452.562.622.843.032.822.772.823.032.782.302.262.152.292.382.112.162.302.802.372.372.342.362.252.352.572.542.382.242.562.322.262.132.232.162.082.002.172.151.911.871.891.931.721.791.851.601.701.731.851.921.671.621.691.631.54
37.0031.6132.7732.1533.0328.9932.7836.7535.1934.3331.6829.6931.9032.5431.8829.7232.3939.1939.8441.7739.3137.7542.6041.7339.1732.1637.9938.0138.4138.1440.0538.2735.0235.3837.7440.2535.1738.8539.7442.1640.4441.6243.3144.9041.4041.8947.0148.1847.7046.6152.4550.3648.5356.2552.8951.9048.5446.9853.8955.5053.1755.0758.62
7.5410.408.2411.1610.387.368.538.729.289.429.438.9613.0711.8212.1411.7616.46-9.819.3611.9214.8610.9412.299.7012.1411.59-9.426.527.928.128.976.8310.276.907.725.869.146.816.405.608.666.456.134.716.906.166.215.205.825.425.594.886.526.435.284.595.795.355.274.075.643.932.97
7.8210.778.5411.6110.817.678.879.059.629.789.819.2713.5512.3112.6912.3317.39-10.459.9112.6015.7211.5012.9210.2212.7712.13-9.846.778.218.419.287.0810.647.147.996.049.457.046.625.809.006.706.424.937.236.416.525.486.285.706.035.277.046.925.664.926.215.745.674.386.094.253.22
2.783.943.144.243.942.753.243.363.573.573.623.444.944.004.003.594.56-2.523.234.195.214.174.803.744.865.05-4.083.194.024.334.933.725.903.964.533.485.684.013.853.425.193.753.833.004.413.894.243.433.873.643.853.304.364.223.613.163.983.623.662.813.892.581.99
4.796.725.066.846.334.505.295.505.935.955.765.497.896.806.796.248.15-4.526.778.7010.807.918.866.958.768.56-6.955.046.146.357.055.338.825.946.625.078.446.275.885.127.825.815.534.266.245.566.115.125.695.315.474.766.366.265.144.445.595.125.033.875.383.742.82
9.359.609.429.339.179.149.449.8510.129.739.409.439.068.097.566.765.895.175.826.005.905.775.705.545.666.136.047.247.337.557.707.447.297.297.307.857.557.427.196.776.436.226.326.396.356.205.975.595.575.675.555.365.335.265.225.205.055.044.874.734.674.484.24
0.264.863.151.80-0.043.722.290.860.233.222.512.390.694.142.872.080.551.561.560.820.253.652.421.740.802.991.651.140.342.271.711.050.461.951.100.590.282.651.890.870.391.660.930.520.341.650.930.680.290.970.490.320.050.930.500.330.111.600.960.700.360.880.34
0.184.332.761.50-0.213.101.850.550.062.752.192.170.573.702.551.870.440.881.060.490.072.961.891.350.592.371.210.840.181.631.260.750.301.300.590.250.102.101.480.600.241.180.560.270.211.340.700.540.230.670.290.18-0.010.710.340.230.061.440.840.610.320.670.18