Performance Food Group Financial Ratios for Analysis 2013-2024 | PFGC

Fifteen years of historical annual and quarterly financial ratios and margins for Performance Food Group (PFGC).

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
202420232022202120202019201820172016201520142013
1.641.711.661.421.321.571.501.511.471.471.48-
0.490.510.560.540.550.510.510.580.590.740.77-
0.981.071.321.211.281.041.041.401.432.893.36-
11.2910.9210.3311.6011.4412.7313.0112.6812.4812.1012.4012.34
1.421.340.640.66-0.391.431.441.261.261.050.840.89
1.421.340.640.66-0.391.431.441.261.261.050.840.89
2.392.221.571.820.732.242.202.042.121.911.891.90
1.020.950.330.18-0.891.111.100.940.710.630.220.15
0.750.690.220.13-0.450.841.130.570.420.370.110.07
4.354.584.113.873.254.244.404.414.664.554.22-
15.6015.0413.3114.6114.3412.7014.5714.4415.3315.2114.12-
22.8523.4621.7418.6517.7315.9316.5416.3016.6315.8316.39-
15.9715.5616.7919.5720.5922.9122.0722.4021.9423.0622.26-
10.5610.603.411.93-5.6712.8517.5010.418.5111.463.57-
59.1195.46-64.18-90.4443.7249.3398.861,660-333.17-16.72-3.29-
3.253.180.910.52-1.483.584.972.531.981.680.48-
5.435.191.490.88-2.576.348.604.353.512.970.82-
26.7624.2421.4815.9015.3112.5111.009.188.045.675.00-
7.465.331.830.485.523.023.511.962.331.451.371.61
5.053.850.43-0.884.131.712.190.611.120.350.360.87

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-06-30
1.701.641.641.711.771.711.691.711.641.661.591.621.641.421.381.581.521.321.752.052.071.571.451.571.531.501.511.671.551.511.511.611.601.471.531.601.571.47-----
0.530.490.490.510.520.510.520.540.540.560.560.570.560.540.540.570.580.550.650.630.640.510.490.520.510.510.540.580.590.580.600.610.610.590.610.620.750.74-----
1.160.981.001.081.131.071.121.191.211.321.301.361.311.211.191.411.431.281.861.721.791.040.961.081.061.041.181.391.441.401.491.581.541.431.581.662.962.89-----
11.4411.5011.3211.1811.1311.2210.9810.7910.7010.2110.299.9611.0011.4611.5611.8511.5711.0711.5311.7211.4011.8712.9013.3213.0813.3212.8513.1712.7112.9812.3112.7612.6412.8412.3012.5012.2512.3011.9012.0612.15--
1.401.851.121.221.451.761.231.041.301.050.520.450.460.870.320.890.51-3.91-0.251.331.021.701.261.581.112.041.381.141.161.841.101.270.781.530.961.381.121.340.711.240.88--
1.401.851.121.221.451.761.231.041.301.050.520.450.460.870.320.890.51-3.91-0.251.331.021.701.261.581.112.041.381.141.161.841.101.270.781.530.961.381.121.340.711.240.88--
-------------------------------------------
0.951.480.700.781.091.390.810.690.880.800.260.090.050.47-0.170.36-0.03-4.54-0.860.890.741.410.931.220.781.711.030.790.831.520.780.940.481.110.400.760.531.440.140.600.31--
0.701.100.510.550.811.010.580.510.650.520.180.070.050.34-0.110.26-0.01-2.62-0.570.680.581.070.690.930.621.400.771.810.520.910.490.570.300.670.240.450.310.860.080.340.18--
1.071.131.081.111.161.191.131.141.211.181.091.070.901.190.970.910.910.750.890.991.011.271.111.111.111.151.111.111.121.161.131.121.151.271.141.141.151.19-----
3.714.063.963.803.773.893.783.713.943.823.803.623.234.484.134.084.093.313.433.973.923.833.623.513.543.793.593.593.683.803.713.593.714.143.813.743.763.96-----
6.115.965.686.056.226.095.876.206.386.235.836.104.645.715.035.534.874.085.374.935.094.764.164.224.254.314.064.174.124.314.084.094.024.523.994.044.174.13-----
14.7415.1115.8414.8714.4614.7815.3314.5214.1114.4415.4414.7619.3915.7617.9016.2718.5022.0616.7718.2417.6918.9121.6621.3221.1920.8722.1521.6021.8320.9022.0621.9922.3719.9322.5422.2821.5921.79-----
2.574.031.782.033.154.012.242.032.812.300.730.270.151.49-0.370.86-0.03-7.52-2.202.992.714.872.623.582.425.673.187.682.384.372.362.681.493.641.222.312.416.94-----
40.6522.5813.7521.1132.2536.0739.1198.20-320.06-43.35-7.07-1.98-1.25-69.785.83-10.240.3257.938.499.319.3118.6911.2517.4712.7732.0428.44114-461.23697-266.67-1,040.85-508.35-142.44-12.74-23.03-3.56-10.12-----
0.751.240.550.610.941.200.660.580.790.610.200.070.040.40-0.100.23-0.01-1.96-0.510.670.591.360.761.030.691.610.862.010.581.060.560.630.350.850.270.510.361.02-----
1.212.070.910.991.501.961.070.941.291.000.320.110.070.68-0.170.37-0.01-3.40-0.771.100.982.401.341.731.182.791.463.220.981.830.951.040.591.500.480.870.611.80-----
27.2426.7625.6425.0924.7524.2423.1822.6622.0821.4820.9020.6220.4415.9015.5515.5115.3115.3115.7413.2012.7912.5111.8911.6111.2511.0010.329.939.409.188.788.538.208.047.727.595.825.67-----
0.347.466.133.560.565.334.202.722.031.832.521.000.230.481.31-0.18-1.005.520.151.480.803.022.480.670.313.512.200.310.151.960.99-0.25-0.732.331.170.11-0.301.450.32-0.56-0.940.000.00
-0.275.054.692.730.223.853.212.111.780.431.640.560.06-0.880.46-0.76-1.274.13-0.711.030.581.711.600.100.072.191.50-0.050.000.61-0.04-1.02-1.071.120.50-0.31-0.500.35-0.39-1.00-1.14--