Penske Automotive Financial Ratios for Analysis 2009-2024 | PAG

Fifteen years of historical annual and quarterly financial ratios and margins for Penske Automotive (PAG).

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
1.000.990.950.940.981.011.011.041.031.061.031.031.031.041.07
0.230.270.250.330.450.450.460.510.400.440.390.410.420.420.50
1.141.110.981.452.262.282.442.922.542.442.342.322.162.092.26
16.7117.4017.3815.5814.9114.9915.0714.7514.8714.9715.2015.3115.8715.9416.72
4.585.355.313.452.822.922.862.862.942.902.972.832.672.552.23
4.585.355.313.452.822.922.862.862.942.902.972.832.672.552.23
5.055.815.784.013.293.373.303.303.343.313.383.233.113.082.95
4.816.686.293.462.552.652.562.532.552.662.572.252.251.871.37
3.574.964.652.661.882.072.871.701.691.661.691.441.601.090.85
1.881.971.901.541.662.092.032.282.412.382.262.402.452.442.37
5.736.556.755.044.634.794.615.034.745.174.915.536.055.795.76
26.4930.6834.8225.3424.1424.5222.4022.8924.6524.3724.3423.4225.7026.0028.06
13.7811.9010.4814.4115.1214.8816.3015.9514.8114.9814.9915.5814.2114.0413.01
22.2633.2029.0916.3815.4617.8325.2519.5218.2018.1316.3314.9115.3311.688.48
59.7210489.6265.311251182095093221,259270289668290-121.93
6.759.828.854.113.124.315.823.934.174.223.873.653.923.002.11
17.1424.2321.7111.068.589.8713.579.6310.8310.179.928.788.836.734.27
70.8659.9152.7941.3734.6731.1628.3020.8820.5018.6316.8714.5812.7311.3610.33
16.0919.6116.2014.916.287.217.254.324.433.983.313.611.502.253.30
11.0216.2513.7712.853.643.814.641.962.212.031.371.950.061.442.35

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
0.910.980.981.001.011.001.010.990.980.980.970.950.930.940.950.941.060.941.030.980.970.980.981.011.011.011.011.011.041.021.041.041.041.091.021.031.021.011.011.061.030.990.991.031.000.990.991.030.990.991.001.031.001.021.051.041.041.041.041.071.061.041.07
0.180.240.230.230.250.270.270.270.280.250.250.250.260.280.300.330.420.430.480.450.460.450.440.450.430.450.460.460.510.490.510.510.510.480.440.400.390.390.410.440.410.380.390.390.410.390.400.410.390.400.420.420.430.390.420.420.450.470.480.500.510.510.55
1.161.181.141.141.041.111.061.111.040.930.960.980.901.091.321.451.571.942.402.262.342.262.302.282.152.282.402.442.772.752.872.922.852.712.802.542.392.372.482.442.262.272.342.342.332.322.342.322.202.222.262.162.111.902.102.092.192.272.372.262.242.412.72
16.3816.4216.7216.3416.3917.0417.0616.8717.1517.9117.6618.7317.9416.9315.8215.4616.0215.1415.5114.7114.5715.0815.3014.8615.0714.9815.0414.9714.8915.1815.2414.8814.4414.6815.0014.5714.7014.8615.3914.9014.7314.9815.2914.5315.1915.4115.7215.3615.0315.2315.6515.4015.9016.1115.9715.6115.6615.9416.5316.1316.3316.9817.07
4.184.394.403.654.455.105.094.785.245.615.765.665.815.763.804.174.761.962.122.592.842.982.852.512.903.183.062.542.763.202.962.562.753.122.992.562.943.233.022.602.913.113.012.762.913.093.142.982.632.752.982.592.712.462.622.472.522.512.502.152.362.271.98
4.184.394.403.654.455.105.094.785.245.615.765.665.815.763.804.174.761.962.122.592.842.982.852.512.903.183.062.542.763.202.962.562.753.122.992.562.943.233.022.602.913.113.012.762.913.093.142.982.632.752.982.592.712.462.622.472.522.512.502.152.362.271.98
---------------------------------------------------------------
4.014.233.963.524.795.365.545.636.757.237.136.687.336.644.294.535.221.681.432.372.652.782.402.332.782.972.512.372.512.912.452.352.532.732.482.102.612.922.582.602.662.812.552.402.602.712.562.541.722.352.442.212.422.131.901.971.971.831.541.221.661.301.22
2.983.132.892.623.544.034.064.254.915.415.274.945.474.853.163.444.131.241.031.721.952.051.801.802.302.271.886.121.711.971.631.691.701.781.641.431.751.911.681.611.691.671.681.581.741.711.721.571.231.481.481.611.921.401.231.071.121.130.820.771.060.610.75
0.440.460.460.460.500.500.510.500.510.510.510.470.510.530.440.440.460.280.360.420.440.430.410.500.540.560.530.510.540.550.540.550.600.650.590.610.650.660.620.620.660.650.610.580.630.660.620.580.660.680.650.660.670.690.650.660.670.680.630.640.700.620.58
1.321.371.401.421.681.601.681.661.821.861.841.642.051.981.481.431.560.900.991.181.261.231.151.151.271.301.231.161.251.231.211.221.341.341.171.211.331.371.311.341.511.421.341.281.391.441.391.331.521.531.501.631.651.631.501.561.571.611.491.571.841.521.32
7.437.407.016.527.778.397.987.738.338.928.358.588.817.656.707.207.044.838.136.146.176.095.385.855.946.465.555.655.886.505.965.566.036.355.776.296.406.666.016.296.836.825.926.296.396.846.355.626.607.146.416.897.537.746.486.987.267.456.557.598.027.216.92
12.1112.1712.8413.7911.5910.7311.2811.6410.8110.0910.7810.4910.2211.7613.4312.4912.7818.6511.0714.6714.5914.7716.7315.3715.1613.9316.2215.9215.2913.8415.0916.1914.9214.1815.5914.3114.0713.5114.9814.3013.1813.2015.1914.3014.0913.1514.1816.0213.6412.6114.0513.0711.9611.6313.8812.8912.4012.0813.7511.8511.2212.4913.00
4.344.874.464.045.816.866.897.178.358.918.877.629.219.045.256.058.031.611.903.604.364.453.723.684.985.354.3213.534.465.294.414.644.945.554.654.024.815.394.604.664.674.954.274.014.554.684.414.063.304.194.243.745.123.553.323.393.433.252.552.083.042.221.99
12.5114.3112.7710.8316.8720.4220.0222.5226.3926.8227.4323.4729.3131.3318.4124.1339.4112.6317.2729.0849.3227.7924.0024.4429.0538.5238.30112-434.10-115.60-94.46121139899-742.5971.0767.0210156132444.7663.5283.1566.4111950.7672.0178.6872.86285-258.57163-158.9245.4859.6584.14621-94.06-39.13-29.88-30.70-16.12-11.57
1.331.461.341.231.792.052.082.122.512.782.702.322.802.561.381.521.900.350.370.730.850.890.730.891.231.280.993.120.921.100.890.941.031.190.980.921.141.291.061.081.161.211.020.951.101.151.060.990.831.041.040.951.330.970.860.870.880.810.610.520.760.530.44
3.573.693.433.114.345.025.025.236.046.686.665.696.826.553.684.084.670.930.982.002.352.472.072.042.822.952.337.272.202.692.152.292.442.882.632.392.943.292.702.622.743.072.612.442.682.852.662.402.012.532.472.152.912.171.941.951.891.731.331.051.491.080.90
78.3974.6872.2870.8674.3565.5263.0659.9156.6256.2554.3252.7949.3846.8443.1141.3738.3834.5733.6534.6732.8032.4731.8131.1630.7829.7629.3528.3024.6223.4422.0220.8821.0020.3520.2120.5020.2219.7518.5218.6318.3518.2517.4816.8716.1615.0414.4614.5814.0513.4213.0912.7312.3312.1711.8711.3611.1110.4410.2310.3310.049.819.05
14.4010.336.8016.0915.198.864.5019.6116.3711.604.9316.2016.7311.362.9714.9110.579.742.616.288.093.671.087.216.314.912.037.255.433.722.324.325.443.170.944.434.143.002.143.983.062.291.463.313.291.931.083.612.912.241.391.511.970.450.112.251.290.620.383.293.432.631.92
10.467.325.2711.0211.606.293.0216.2513.899.934.2313.7715.4410.632.7012.859.399.042.303.645.932.200.423.814.223.581.284.643.332.411.891.963.421.570.412.212.472.071.772.031.511.391.021.371.110.340.321.951.861.601.100.061.10-0.11-0.121.440.680.230.182.352.692.151.62