ODP Financial Ratios for Analysis 2009-2024 | ODP

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

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
0.991.031.051.131.111.231.401.461.481.431.501.321.341.291.32
0.130.120.140.160.210.400.450.380.470.480.430.420.470.490.46
0.160.150.170.200.650.720.850.640.930.950.771.000.931.050.92
22.5521.7622.0121.9923.3323.1624.0324.5724.4123.4123.3623.7123.5428.8627.93
2.572.862.760.072.322.313.194.701.56-1.79-1.82-0.290.30-0.32-2.18
2.572.862.760.072.322.313.194.701.56-1.79-1.82-0.290.30-0.32-2.18
4.064.434.511.874.114.144.786.373.720.390.041.612.131.47-0.34
2.552.852.73-0.431.841.432.924.160.98-2.291.13-0.700.29-0.49-2.56
1.781.96-2.46-3.601.020.941.774.800.07-2.79-0.83-1.030.52-0.70-5.16
2.022.051.741.581.321.791.621.991.821.881.502.672.702.552.48
7.938.027.697.567.187.957.126.506.305.944.767.767.666.716.99
16.0815.8417.1020.0711.7512.4511.0016.0415.7210.068.4313.3013.3212.0710.83
22.7023.0421.3418.1831.0729.3333.1922.7523.2236.3043.2827.4427.4130.2433.70
12.6213.8313.00-3.355.844.666.8936.665.74-18.08-0.97-11.6312.99-6.64-75.86
21.2922.9120.33-4.4115.1012.5317.7846.637.75-25.30-1.29-13.2514.95-7.06-80.42
3.584.293.84-1.121.741.612.3112.261.43-4.34-0.27-1.922.26-1.01-12.24
10.9812.2011.22-2.824.622.773.8122.573.02-9.36-0.55-6.716.92-3.41-41.24
29.7930.4929.6835.6840.6039.0938.2735.9529.2029.7338.8923.1626.3525.1128.73
8.284.846.299.156.6511.008.738.962.491.74-3.366.395.605.709.47
5.652.824.968.115.027.935.876.941.600.04-7.613.212.181.9410.08

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
0.920.900.941.021.000.980.981.031.111.061.041.051.321.151.151.131.081.181.151.111.101.071.081.231.351.381.391.401.521.591.581.461.461.681.601.481.521.541.521.431.491.481.561.501.481.301.341.321.291.371.391.341.361.321.311.291.311.311.341.321.361.421.27
0.220.160.100.130.120.130.150.120.100.100.110.140.150.150.150.160.160.270.200.210.220.230.230.400.430.440.440.450.340.360.370.380.390.430.460.470.480.480.480.480.460.460.440.430.380.460.430.420.420.470.440.470.460.480.470.490.460.480.460.460.440.350.35
0.290.200.120.160.150.160.190.150.130.130.130.170.190.200.190.200.210.390.310.650.670.700.700.720.790.820.830.850.520.590.600.640.640.790.890.930.960.970.950.950.870.870.800.770.641.141.031.000.990.930.830.930.921.051.031.050.941.010.920.920.850.590.58
20.4519.9221.9122.0623.5221.7122.8221.2222.3821.1922.2221.1623.1320.8722.7721.8623.3119.2823.0823.6923.9822.6023.1522.5523.7622.6823.5723.5624.1623.0625.2223.9925.6023.7324.8623.8325.8423.6624.1720.4024.2622.9923.3122.5824.1722.5724.2823.1324.6122.8224.175.9930.1429.3029.5428.6128.6028.4029.7427.9828.3927.0528.22
5.73-0.96-3.435.383.154.512.613.871.383.491.524.771.453.1717.054.35-21.132.947.003.88-0.580.870.903.641.832.722.214.011.744.631.654.1310.492.964.772.66-1.482.27-2.911.20-4.82-1.81-3.39-1.99-1.860.370.19-2.05-2.342.700.420.67-0.590.62-2.480.29-1.021.81-2.41-1.08-3.47-1.87
5.73-0.96-3.435.383.154.512.613.871.383.491.524.771.453.1717.054.35-21.132.947.003.88-0.580.870.903.641.832.722.214.011.744.631.654.1310.492.964.772.66-1.482.27-2.911.20-4.82-1.81-3.39-1.99-1.860.370.19-2.05-2.342.700.420.67-0.590.62-2.480.29-1.021.81-2.41-1.08-3.47-1.87
---------------------------------------------------------------
5.34-0.230.91-3.485.433.154.462.424.101.383.401.424.591.403.3616.634.18-22.012.427.003.34-1.200.33-0.372.941.071.941.673.821.484.521.693.179.832.403.592.07-1.951.81-6.280.76-5.13-2.23-3.8412.03-2.23--0.21-2.17-2.852.110.341.49-1.020.28-2.630.55-1.451.44-2.49-1.34-4.02-2.50
3.26-4.250.80-2.053.491.783.420.813.081.332.53-13.424.64-4.252.441.102.43-20.341.653.602.16-0.930.29-0.492.080.611.45-1.983.511.024.332.936.818.131.601.100.20-1.691.16-18.830.71-4.95-2.50-4.165.08-2.65-0.63-0.58-2.58-2.561.360.812.81-1.08-0.49-3.671.11-0.930.65-2.50-13.63-2.92-1.70
0.480.470.500.470.500.480.520.510.490.450.480.420.410.380.390.290.410.370.420.210.380.350.370.430.450.410.440.410.490.440.490.490.480.420.480.210.470.540.590.070.600.550.610.470.720.650.720.650.680.630.700.700.680.630.660.650.620.600.660.630.620.540.66
1.861.771.991.841.961.792.052.001.891.661.961.871.991.711.811.401.801.732.261.132.061.802.061.942.151.812.091.811.791.481.701.621.741.261.370.741.421.691.890.221.951.792.071.491.921.722.031.922.021.721.962.431.761.531.721.711.751.641.891.761.841.632.05
3.243.694.023.733.703.704.023.933.683.593.814.134.523.043.163.713.553.183.211.863.032.872.933.023.042.903.002.773.783.623.893.973.952.452.601.832.472.943.230.353.112.943.322.623.283.243.563.263.233.103.293.443.092.843.003.072.942.883.042.732.602.482.75
27.8124.3722.4224.1324.3024.3522.3722.9024.4925.0423.6421.8219.9129.6128.4424.2325.3528.3228.0748.4829.7331.3330.6829.8329.6230.9929.9632.4623.8124.8323.1422.6822.7936.7634.6149.2236.3730.6627.8825528.9330.6027.1234.4127.4327.7825.2727.5927.8729.0527.3426.1529.1431.6929.9729.2930.6331.2129.5832.9134.6136.2432.77
7.94-0.451.40-5.277.103.706.272.804.471.323.692.163.921.093.2115.801.89-25.572.113.822.82-1.150.38-0.612.730.881.53-2.224.801.063.792.9717.8512.473.733.932.66-3.662.77-1.541.63-10.55-5.50-5.8120.71-9.50-1.10-1.09-9.15-7.926.072.7913.52-2.87-0.74-14.365.22-2.263.75-7.79-46.61-6.67-4.36
17.22-0.892.41-8.8812.716.6111.304.636.782.005.643.375.442.166.8020.784.10-57.695.519.877.56-3.261.03-1.657.022.273.99-5.726.021.334.753.7822.7916.175.035.313.73-5.163.89-2.162.23-14.53-7.35-7.7321.68-11.02-1.26-1.24-10.39-9.106.903.2215.57-3.37-0.87-15.265.52-2.413.97-8.26-49.24-6.92-4.53
1.84-0.110.40-1.492.061.091.780.871.520.451.210.641.360.371.135.290.59-7.490.701.140.82-0.330.11-0.210.930.300.52-0.741.820.391.360.995.613.761.030.980.65-0.910.69-0.370.43-2.71-1.52-1.604.41-1.44-0.18-0.18-1.57-1.451.200.492.42-0.46-0.12-2.190.87-0.360.63-1.26-8.14-1.57-1.14
6.23-0.381.27-4.586.223.235.302.474.001.183.291.863.330.922.7313.291.58-18.611.683.022.21-0.890.29-0.361.560.500.86-1.233.170.682.391.8310.967.062.002.071.38-1.901.45-0.800.88-5.68-3.08-3.3212.90-5.17-0.63-0.63-5.32-4.213.391.497.24-1.49-0.39-7.372.83-1.182.03-4.23-26.20-4.33-2.85
27.4326.0229.4829.7930.7030.4029.6230.4932.0731.1930.3929.6835.7234.2535.8035.6834.0832.6140.5640.6038.9238.1138.5639.0939.9738.8938.6738.2739.5638.1037.8235.9534.9934.2030.1929.2028.7928.8829.6929.7333.0333.3336.7138.8926.8919.6822.2223.1623.7425.3928.7526.3526.6025.0226.1725.1128.0725.8228.3228.7331.1745.2446.19
3.090.771.008.286.723.823.744.841.61-1.680.596.294.471.341.549.159.063.333.486.654.040.041.0711.009.844.443.688.737.682.161.658.968.204.43-1.212.491.10-2.47-0.831.740.64-3.03-1.40-3.36-3.59-2.57-2.556.392.32-3.65-2.605.600.56-4.15-3.425.706.591.261.929.479.743.943.58
0.94-0.630.115.657.975.493.122.820.35-2.420.294.963.690.891.328.118.172.613.025.021.72-1.620.257.937.703.133.025.875.691.751.246.947.053.82-1.621.600.27-3.00-0.690.04-0.84-4.11-1.96-7.61-6.35-4.40-3.333.210.74-4.81-3.292.18-1.72-5.63-4.301.943.16-1.120.9110.0812.437.456.04