Grupo Aeroportuario Del Pacifico, S.A De C.V Financial Ratios for Analysis 2009-2024 | PAC

Fifteen years of historical annual and quarterly financial ratios and margins for Grupo Aeroportuario Del Pacifico, S.A De C.V (PAC).

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
1.132.241.753.202.003.613.913.090.731.302.372.172.703.344.60
0.610.620.540.490.410.380.370.300.120.030.050.060.06-0.03
1.941.731.361.070.800.620.600.440.300.080.080.090.08-0.04
76.5582.3082.2859.0371.3372.4372.3268.8670.4379.0678.4167.0380.0677.9673.38
45.5750.4546.5832.1949.4151.3050.8047.1350.4354.9453.6842.7733.2850.6839.62
45.5750.4546.5832.1949.4151.3050.8047.1350.4354.9453.6842.7733.2850.6839.62
53.2358.9057.3649.0560.3662.4162.4759.2764.7071.6270.5859.5052.4070.8564.99
38.4144.8341.1720.1145.2749.6249.9141.5944.6349.7144.4142.4634.3836.4841.03
28.7232.9231.5416.5933.0335.6737.6029.5533.6340.4342.9735.8430.0634.3036.72
0.490.450.340.230.390.360.310.310.260.230.210.200.170.150.12
---------------
9.489.056.365.079.168.7410.3414.7324.2212.0018.0120.2116.7714.777.16
38.5040.3457.3671.9439.8441.7535.3024.7815.0730.4220.2718.0621.7624.7150.97
46.2646.3329.588.4026.3923.6021.4314.9712.519.379.738.265.395.754.64
-54.91-87.21-83.87-94.74-202.24-458.34-3,455.7358313410.1939.1738.576.0346.5035.45
14.3715.1810.923.7413.1212.9911.979.308.808.218.577.224.835.304.37
18.0517.6913.644.3115.6314.5513.4510.4411.019.059.237.735.085.754.49
23.4219.5019.1619.1119.1620.2220.8621.4124.96------
15.5812.2410.533.188.087.176.225.755.904.644.153.663.193.642.92
3.914.005.840.375.634.704.283.864.543.813.195.001.832.362.20

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
2024-09-302023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.501.131.221.123.312.241.811.573.231.753.063.393.453.202.082.905.272.001.711.425.693.612.341.684.353.912.041.563.143.092.361.273.450.731.790.664.811.301.310.892.832.372.161.812.802.171.552.103.132.702.412.414.173.344.403.566.094.603.533.165.51
0.670.610.650.670.650.620.65-0.580.540.570.530.490.490.470.500.470.41-0.470.450.380.430.440.390.370.380.390.320.30---0.12---0.03---0.05---0.06---0.06-------0.03---
2.081.941.832.071.821.731.82-1.381.361.341.151.181.070.891.000.880.80-0.900.800.620.750.780.640.600.600.640.480.44---0.30---0.08---0.08---0.09---0.08-------0.04---
64.3366.8385.6077.7177.9376.1985.5985.3483.5350.6767.9166.1656.5283.8243.0416.1668.6164.6465.9877.3779.8369.6171.0973.1276.0670.3072.0273.3073.6874.5967.7866.4567.9158.8612860.3085.9098.0880.4772.5075.3378.5978.1178.2276.9368.6067.2567.5066.3414862.6356.0765.0411664.3974.5272.6972.6374.7667.8074.43
45.1937.9949.3747.3248.9045.7351.8053.2352.2933.0448.5746.7134.4848.7319.11-24.8247.1342.2446.4054.7556.4944.2150.3856.8754.1549.3150.2751.9851.6652.6646.1644.7446.1855.7534.4327.9961.0563.7851.9248.7652.9069.7844.4043.8657.6641.7544.0142.5041.4739.3924.4131.5227.9652.4948.3140.8347.0740.5440.7633.3845.95
45.1937.9949.3747.3248.9045.7351.8053.2352.2933.0448.5746.7134.4848.7319.11-24.8247.1342.2446.4054.7556.4944.2150.3856.8754.1549.3150.2751.9851.6652.6646.1644.7446.1855.7534.4327.9961.0563.7851.9248.7652.9069.7844.4043.8657.6641.7544.0142.5041.4739.3924.4131.5227.9652.4948.3140.8347.0740.5440.7633.3845.95
-------------------------------------------------------------
32.3130.8342.0141.2440.8136.4348.4348.8747.7531.2044.7138.4132.307.6911.25-45.7846.8338.2342.4948.3054.2546.1446.8050.1455.6141.8446.8453.4357.8345.9942.3334.3144.3751.9055.5643.8950.4053.2448.7748.4453.1045.0044.5342.5344.5443.1041.1245.9040.9136.1437.5830.6638.4833.8837.6241.8743.1142.8942.1626.2149.41
24.0823.1832.1829.7730.7620.9839.4435.7738.7128.1033.6329.0928.529.7611.49-39.2036.3929.2031.5834.5537.9928.8937.5134.5441.9532.0437.6732.2648.9510.7432.0333.6737.3847.5865.5629.0738.3347.0439.0130.5845.3466.8235.2627.5041.2543.4137.2428.6634.0944.0627.8915.6651.1739.6230.6418.9958.8439.8139.6719.8045.45
0.100.140.110.130.120.130.110.120.10-1.180.110.091.420.040.060.030.110.110.100.090.080.090.090.090.080.080.080.080.090.060.080.080.080.060.040.070.060.050.060.060.060.050.050.050.050.050.050.050.050.040.040.040.040.040.040.030.030.030.030.030.03
-------------------------------------------------------------
3.472.653.583.863.922.683.623.363.27-21.793.733.1556.080.942.291.402.702.594.193.352.972.253.563.233.232.553.784.273.873.004.355.434.645.832.924.103.482.574.333.782.984.445.894.363.774.965.063.233.124.085.264.833.643.884.392.351.941.892.352.141.61
25.9134.0225.1123.2922.9533.5624.8926.7527.50-4.1324.1328.591.6195.9339.2264.3033.3034.7521.4726.8530.2940.0125.2827.8827.8935.3023.8321.0623.2429.9720.6916.5819.4115.4530.7821.9525.8535.0820.7823.8030.1920.2515.2720.6523.8818.1317.7927.9128.8522.0717.1218.6324.7523.2220.5238.2546.4747.6538.2342.0855.76
9.2110.9612.4715.0511.679.4514.6914.4210.50-89.349.316.4088.490.721.52-2.547.596.946.916.916.065.296.516.116.174.465.225.786.613.683.972.874.134.194.223.082.952.622.502.152.883.882.161.652.552.462.271.631.902.011.200.742.161.711.220.662.121.281.200.571.52
-9.34-13.01-13.92-14.13-26.04-17.80-25.74-22.10-52.03253-30.82-66.26-3,126.92-8.10-24.0638.39-333.81-53.17-52.94-28.47563-102.66-76.46-40.98112-718.73-148.70-69.5476.50143239-161.1230.8844.76-1,382.75-146.6311.582.8512.6112.2610.6615.629.527.8810.7111.475.413.814.292.2512.337.057.5313.801.375.352.389.791.350.6511.45
2.503.403.473.733.743.104.334.173.95-32.993.622.6840.610.320.68-1.123.823.453.212.943.192.913.382.943.552.492.943.064.202.292.391.732.822.952.852.022.482.302.171.832.553.421.861.422.242.151.901.411.681.801.090.672.011.571.130.601.961.211.130.541.44
3.004.284.414.914.143.615.2114.424.41-41.183.982.9844.930.370.81-1.274.044.116.913.653.363.263.733.423.762.803.253.534.472.573.972.874.133.694.223.082.952.532.502.142.883.682.161.652.552.302.271.631.901.891.200.742.161.711.220.662.121.241.200.571.52
-23.42---19.50---19.16---19.11---19.16---20.22---20.86---21.41-------------------------------
13.1915.5812.627.354.2912.248.985.352.0710.537.354.171.703.182.253.873.228.084.943.622.117.175.060.951.996.221.763.051.645.754.612.851.575.534.082.881.234.643.882.551.534.153.071.910.933.662.651.730.853.062.441.690.813.642.902.200.962.922.071.550.77
7.733.913.761.041.244.003.612.301.005.844.642.560.920.370.432.042.645.633.392.861.694.703.470.481.364.281.322.121.113.863.311.981.044.263.212.370.903.813.882.151.333.192.301.390.675.001.791.060.391.751.130.840.382.362.091.620.562.201.491.100.54