PENN Entertainment Financial Ratios for Analysis 2009-2024 | PENN

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

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
1.111.741.962.420.710.920.760.740.670.691.150.980.980.672.16
0.610.650.620.800.780.931.021.131.151.171.140.540.500.500.55
1.621.891.704.203.5213.08-65.47-9.07-7.78-6.85-8.311.211.041.221.26
37.1243.2746.6947.8044.2742.9242.4142.0742.8743.4142.9941.9740.9040.4339.73
-10.8515.2117.94-11.4610.7917.6714.1617.9016.489.93-15.2614.7818.226.23-8.21
-10.8515.2117.94-11.4610.7917.6714.1617.9016.489.93-15.2614.7818.226.23-8.21
-3.8824.2224.16-0.7618.7525.3522.8727.0725.8620.48-3.4424.2426.2815.380.45
-7.852.749.13-23.311.622.51-0.803.981.99-5.92-22.5512.0914.190.18-13.84
-7.703.477.13-18.710.832.6115.043.600.02-7.10-20.927.837.16-2.42-11.18
0.400.370.350.240.370.330.600.610.550.560.620.480.600.550.50
---------------
19.9525.9230.2837.1259.7733.5950.1249.0662.8262.2552.8750.0548.5155.3129.55
18.3014.0812.059.836.1110.867.287.445.815.866.907.297.526.6012.35
-15.366.2010.33-25.422.3312.79-647.20-20.12-0.1025.961088.3312.29-3.47-14.44
44.12-26.65-70.324,521-2.98-3.97-31.48-5.55-0.039.1834.1311565.56-34.86-312.46
-3.061.272.49-4.560.300.859.042.200.01-3.97-13.273.325.26-1.38-5.67
-5.922.153.90-4.930.520.9210.242.580.02-4.52-14.973.836.10-1.72-6.52
21.1123.5224.1617.0615.976.27-0.80-5.96-8.38-8.94-7.0829.0625.8722.6723.45
3.004.975.112.535.983.525.124.464.553.345.814.895.306.324.33
0.633.513.721.634.362.604.053.562.370.463.330.382.681.690.66

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
0.941.031.041.111.421.411.381.741.791.901.881.962.822.662.482.422.371.991.560.710.720.710.780.920.740.630.700.760.820.750.890.740.640.630.640.670.700.730.810.690.921.261.291.150.840.880.910.981.010.980.960.981.021.570.420.671.751.922.252.162.802.252.12
0.700.700.700.690.590.550.550.650.650.640.760.620.690.680.700.800.710.830.840.780.780.780.780.930.980.991.011.020.951.121.131.131.121.141.151.151.151.171.171.170.600.570.571.140.490.510.520.540.490.490.490.500.490.520.430.500.520.530.540.550.520.510.52
2.382.392.372.281.591.321.331.891.941.873.291.702.232.192.364.202.494.815.503.523.523.673.6413.0864.49165-140.37-65.4718.74-9.48-9.10-9.07-9.38-8.58-8.08-7.78-7.78-7.07-7.01-6.851.541.341.37-8.311.001.061.131.210.990.980.981.040.991.081.161.221.101.111.221.261.091.101.13
34.6934.4129.6322.7340.0841.5841.8042.2641.1044.6645.1241.8146.2650.2248.9550.6553.2442.7541.0543.7143.9944.7044.7142.5742.7843.0443.4341.2742.3842.6543.3341.3441.9142.3042.7141.5642.7343.4543.8642.7043.1244.1143.7242.3142.6143.4243.3442.2142.2441.6441.8639.4441.0041.5241.6340.0740.9640.4640.2238.6339.9639.3740.86
4.124.48-1.33-22.10-48.5612.2711.9015.328.4118.5918.6714.3815.8224.4516.9811.6417.37-54.14-50.230.8413.2715.0014.2210.7719.7321.9821.093.4817.8216.9518.0715.3218.2019.4118.5812.3519.2317.6016.82-8.7016.3916.1715.99-138.4113.066.1616.705.2813.9517.9719.3815.6618.3320.4418.40-16.0717.318.6415.59-82.6814.0913.2116.47
4.124.48-1.33-22.10-48.5612.2711.9015.328.4118.5918.6714.3815.8224.4516.9811.6417.37-54.14-50.230.8413.2715.0014.2210.7719.7321.9821.093.4817.8216.9518.0715.3218.2019.4118.5812.3519.2317.6016.82-8.7016.3916.1715.99-138.4113.066.1616.705.2813.9517.9719.3815.6618.3320.4418.40-16.0717.318.6415.59-82.6814.0913.2116.47
---------------------------------------------------------------
-2.12-1.82-7.93-29.23-54.766.7440.783.31-3.625.066.343.398.1016.298.751.9311.23-89.30-63.44-7.674.675.284.35-7.415.728.377.49-11.183.762.930.940.984.845.834.16-2.075.452.741.85-24.800.750.130.40-164.999.863.4713.531.6511.0015.8517.0511.2515.3416.6213.46-24.4512.973.319.46-89.727.318.7712.17
-2.24-1.61-7.14-25.66-44.764.6830.751.347.571.603.312.895.6712.857.141.1612.49-70.02-54.53-6.903.243.903.20-3.644.576.535.57-43.9797.902.140.661.905.604.012.83-1.110.600.380.25-23.00-2.38-2.960.09-130.124.71-1.606.638.075.309.368.615.258.078.956.26-21.466.131.244.94-60.812.783.965.36
0.110.110.100.090.100.100.100.090.090.090.090.090.100.100.090.070.080.020.080.090.090.090.100.110.160.160.160.150.140.160.160.150.150.150.150.140.140.150.140.140.260.290.280.110.130.140.140.090.140.150.160.150.160.150.150.140.140.130.130.120.120.110.12
----85.1229.6528.06--------------------------------------------------------
6.846.605.694.376.415.786.436.4210.439.6012.738.069.8111.169.2710.665.582.2610.7315.1214.7912.4311.2110.8215.9415.0414.4312.2514.9116.2615.6812.0117.7216.3516.0816.2418.0615.5316.2315.6515.279.3812.069.5916.5414.5514.039.9212.4413.2913.2511.9716.6213.0616.0714.1714.539.9511.506.937.267.458.63
13.1613.6315.8120.5714.0515.5614.0014.028.639.377.0711.169.178.069.718.4416.1439.868.395.956.097.248.038.325.655.986.247.356.045.545.747.495.085.515.605.544.985.805.555.755.899.597.469.385.446.196.419.077.246.776.797.525.416.895.606.356.199.047.8312.9812.3912.0910.43
-1.23-0.89-3.74-11.21-20.831.8612.360.583.430.701.311.102.836.773.330.485.41-14.47-48.51-5.022.252.722.20-5.7551.24195-135.07462304-3.30-0.94-0.93-8.40-5.61-3.651.34-0.72-0.43-0.2721.16-1.92-2.450.071251.73-0.522.82-0.182.113.113.812.233.563.922.79-8.612.530.371.92-19.320.971.321.93
3.052.269.5932.2278.14-8.08-52.67-2.50-15.39-2.98-6.80-7.4924.9076.28105-85.81-343.5518.2943.296.43-2.88-3.27-3.061.79-2.56-3.71-3.0122.48-67.23-0.87-0.26-0.26-2.35-1.78-1.210.46-0.24-0.15-0.097.489.1424.10-0.6139.5610.59-3.7928.07-2.549.3613.5116.9411.9118.2422.6120.98-86.5842.965.8627.33-418.19-24.38-23.33-22.71
-0.24-0.17-0.74-2.23-4.480.463.020.120.700.150.290.270.551.320.610.090.95-1.50-4.37-0.660.310.360.30-0.380.711.060.88-6.4614.170.340.100.100.890.660.46-0.180.100.060.04-3.24-0.62-0.860.03-15.380.77-0.221.17-0.070.931.391.690.961.581.671.16-3.431.080.160.78-7.590.410.550.79
-0.37-0.26-1.12-3.46-8.440.845.520.201.190.250.310.420.882.141.000.091.56-2.48-7.42-1.120.500.590.48-0.410.791.190.99-7.3115.680.400.120.121.030.770.53-0.200.110.070.05-3.68-0.77-1.060.03-17.360.88-0.261.35-0.081.071.591.941.111.811.881.59-4.261.210.170.88-8.730.470.640.92
20.1220.0720.2321.1123.0327.9927.0923.5223.2623.4323.7924.1619.5618.8717.6317.0616.9510.9510.9415.9716.7416.3315.896.270.760.30-0.37-0.802.86-5.67-5.94-5.96-6.64-7.33-7.99-8.38-8.40-8.57-8.74-8.9410.1510.029.91-7.0830.1729.5429.6629.0628.6827.9827.0125.8725.4524.5723.5122.6724.5024.0423.8223.4527.9127.5626.96
1.680.54-0.453.003.581.930.884.974.392.421.225.114.512.921.042.531.42-1.03-0.295.984.452.681.063.523.152.180.715.123.802.290.924.463.792.120.794.553.702.200.863.343.011.830.495.815.443.721.304.893.192.181.165.304.082.710.966.323.502.090.884.332.581.540.98
-0.01-0.29-0.720.632.211.140.503.513.331.750.893.723.722.550.901.630.79-1.61-0.664.363.281.870.742.601.941.840.584.051.691.840.743.562.501.670.582.371.690.870.330.460.970.810.073.333.462.270.720.38-0.23-0.190.042.682.291.710.451.690.810.13-0.240.660.480.330.39