Panasonic Financial Ratios for Analysis 2009-2025 | PCRHY

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

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
1.331.321.321.401.311.101.131.181.281.251.090.961.011.231.350.28
0.190.220.260.240.310.230.310.350.280.260.260.340.320.280.22-
0.290.320.830.431.010.481.270.640.520.610.530.920.820.560.380.44
29.3626.9928.1829.4828.7228.3229.3129.7729.3128.3627.1125.7925.2626.5028.00-
4.253.444.844.593.834.095.034.685.504.953.942.200.563.512.57-
4.253.444.844.593.834.095.034.685.504.953.942.200.563.512.57-
8.968.019.439.338.817.798.638.379.308.668.226.854.877.746.59-
5.003.784.883.893.895.204.743.752.872.362.67-5.46-10.362.06-0.40-
5.233.173.462.463.013.552.962.032.562.331.56-10.33-10.400.85-2.30-
0.901.040.920.981.201.331.271.231.351.301.481.351.191.110.89-
4.964.754.695.676.735.645.716.407.067.257.516.897.067.135.85-
6.24-----7.688.679.888.458.288.278.388.876.68-
58.47-----47.5142.1036.9643.2044.0644.1143.5741.1654.65-
9.867.407.936.6411.1314.5213.399.8011.609.867.67-59.43-38.572.62-2.80-130.28
17.007.407.936.6411.1314.5213.399.8011.609.867.67-59.43-87.245.22-4.79-57.53
4.953.483.312.693.865.034.012.883.843.302.33-14.36-11.560.99-1.23-10.55
8.025.805.845.047.7211.249.186.378.417.265.67-39.40-26.131.88-2.19-130.28
13.2812.0212.7711.158.508.047.307.056.637.856.866.83----
2.561.650.962.031.700.791.641.541.761.932.521.77-0.202.652.720.56
1.070.830.311.180.71-0.290.220.631.241.371.880.86-2.421.141.38-1.75

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
2024-06-302023-06-302022-06-302021-06-302020-06-302019-06-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.351.351.381.421.271.061.131.131.151.141.141.181.411.371.171.281.261.261.261.251.191.131.071.091.081.010.980.960.990.951.001.011.131.211.231.231.081.251.321.351.361.441.481.60
0.180.200.240.240.310.230.300.310.330.340.350.350.360.390.300.280.250.260.250.260.210.230.250.260.250.270.290.340.390.430.330.320.320.300.290.280.220.210.220.220.230.180.170.19
0.270.290.370.800.640.470.671.270.600.620.640.640.690.790.580.520.560.580.570.610.420.490.560.530.590.720.790.921.131.370.840.820.690.600.580.560.610.600.420.380.430.380.280.28
29.7528.9826.7329.3827.4628.1827.9328.6629.6629.5629.3832.5328.9728.7428.6930.4329.3929.1528.1929.2628.4027.7528.1026.9028.2626.5126.7527.0325.4725.8224.9726.7823.6625.2823.5226.3825.7224.9026.1228.7229.8527.1325.1822.64
3.954.453.336.66-0.423.304.063.596.076.174.285.205.174.453.835.096.276.514.124.625.675.064.442.005.914.383.521.031.921.374.31-0.881.414.244.522.865.198.628.10-1.424.495.564.20-11.16
3.954.453.336.66-0.423.304.063.596.076.174.285.205.174.453.835.096.276.514.124.625.675.064.442.005.914.383.521.031.921.374.31-0.881.414.244.522.865.198.628.10-1.424.495.564.20-11.16
--------------------------------------------
4.945.363.736.060.222.975.093.175.785.664.392.034.245.403.36-1.764.734.813.91-1.694.323.572.98-5.095.054.516.72-6.890.51-17.592.04-24.57-9.58-6.73-0.87-2.143.582.593.73-4.104.341.42-3.07-32.12
3.339.902.484.27-0.712.632.861.763.953.522.61-1.602.995.621.241.792.562.723.201.972.982.302.05-6.153.733.275.91-6.443.40-38.270.71-23.31-10.08-5.10-1.57-2.001.751.412.02-4.041.840.35-3.32-28.82
0.210.230.240.260.220.290.310.330.320.320.300.320.300.300.320.350.330.320.310.300.360.350.350.390.360.350.340.310.310.320.290.280.290.290.260.270.280.260.270.260.220.260.260.25
1.161.051.101.381.201.301.401.511.381.441.451.611.581.581.621.791.621.611.581.681.691.631.681.971.661.631.601.571.601.601.611.661.711.681.491.731.791.611.611.811.361.601.471.63
1.60---1.371.641.842.011.991.941.992.272.132.262.262.552.202.182.101.992.122.062.102.162.112.172.121.892.012.032.091.982.122.192.072.172.142.152.091.971.612.252.152.29
56.42---65.8354.9048.9744.6845.3146.4445.2439.7142.2139.8239.7435.2940.9541.1942.9245.2442.3643.7442.9041.6242.7241.5242.4147.6944.7144.2843.1345.3742.4841.0643.4041.4942.1041.8543.1045.6155.9539.9441.9039.38
1.514.831.422.87-0.322.693.212.184.463.942.90-0.363.005.201.512.102.612.823.121.863.372.752.65-8.244.604.207.57-9.263.91-58.160.69-21.90-8.40-4.10-1.11-1.441.340.921.29-2.410.930.20-1.77-16.71
1.514.832.802.87-0.322.695.232.187.376.562.90-0.365.059.422.842.103.794.123.121.863.372.752.65-8.244.604.207.57-9.263.91-160.591.61-49.52-19.36-8.73-2.24-2.872.631.602.25-4.121.580.24-2.13-20.65
0.772.370.641.17-0.110.830.960.651.351.180.85-0.110.971.570.470.700.930.991.090.621.170.900.80-2.511.411.192.02-2.240.94-12.300.20-6.56-2.88-1.48-0.41-0.540.500.360.55-1.060.400.09-0.85-7.27
1.243.861.072.19-0.222.072.241.492.972.591.88-0.231.933.181.061.521.952.102.331.372.662.122.00-6.103.443.055.35-6.142.39-32.920.46-14.83-5.73-2.87-0.79-1.031.050.731.00-1.880.720.17-1.47-13.54
-12.7311.66---7.207.306.996.88-7.057.867.306.676.637.367.287.487.85---6.86---6.83----------------
0.620.710.400.51-0.390.410.141.641.010.550.311.540.440.120.101.760.790.450.311.931.400.690.542.521.540.710.451.770.440.110.29-0.20-0.210.01-0.232.652.191.400.762.721.530.800.340.56
0.100.360.220.29-0.560.15-0.140.22-0.03-0.21-0.110.63-0.24-0.42-0.121.240.240.070.141.370.910.330.361.881.040.320.250.86-0.53-0.600.03-2.42-1.66-0.77-0.571.142.870.670.601.380.20-0.14-0.14-1.75