PLDT Financial Ratios for Analysis 2009-2024 | PHI

Fifteen years of historical annual and quarterly financial ratios and margins for PLDT (PHI).

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
0.360.330.330.410.370.520.530.470.580.530.520.590.620.750.87
0.690.660.650.630.600.570.590.580.560.460.390.410.370.440.46
2.312.191.981.861.661.511.551.701.410.970.760.780.770.921.00
92.8589.9591.1892.0280.8578.1078.7474.8775.4777.1878.9079.8779.1996.6590.50
21.390.3020.2522.4726.1513.2611.1121.6324.2748.2530.2928.2735.0037.5043.68
21.390.3020.2522.4726.1513.2611.1121.6324.2748.2530.2928.2735.0037.5043.68
49.2149.5149.3150.7050.6642.4744.0943.0443.3266.6148.3849.0253.0256.2561.23
17.296.5817.6718.2419.1113.859.1113.3615.5725.8224.7326.1527.2537.7437.06
12.595.0813.6113.4213.2811.458.3212.0712.8619.9421.0621.2520.2028.3027.09
0.350.330.310.310.320.340.350.350.380.390.420.400.400.510.53
4.525.784.653.549.5012.548.6411.099.1010.5311.239.498.512.156.50
8.097.828.878.217.546.854.746.766.875.869.589.989.648.6610.05
45.1446.6941.1544.4748.4053.2977.0553.9753.1162.2438.0836.5737.8642.1536.33
24.459.4621.0120.6319.6816.3312.1718.6619.4727.8928.3726.1621.3646.2146.70
58.3421.7341.0845.2447.0239.4632.3752.7052.8460.5161.2151.8944.1150.0151.36
4.411.724.264.274.343.932.934.244.858.579.719.487.9815.4615.79
7.603.247.247.577.886.965.017.758.5614.9617.1615.4412.9624.7923.88
9.209.7111.9811.1910.3910.2610.1910.6011.60------
7.156.498.647.956.205.375.144.787.106.898.068.8511.279.128.30
2.793.68-0.871.35-1.661.251.830.842.783.315.128.886.995.835.35

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-09-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.330.340.360.370.350.330.330.300.440.330.330.330.360.390.410.420.480.360.370.450.520.660.750.580.530.550.600.490.470.400.420.500.580.520.550.570.530.470.630.630.520.530.570.610.590.610.610.590.620.640.710.720.750.720.780.730.870.761.140.92
0.690.700.690.670.660.660.660.650.640.660.650.670.650.660.630.620.630.600.590.580.570.590.600.590.590.570.570.590.580.550.530.550.560.550.500.500.460.490.460.480.390.410.380.430.410.430.410.400.370.450.440.500.440.480.470.490.460.470.410.41
2.302.402.312.322.252.232.192.011.932.021.982.101.951.951.861.881.971.821.561.531.511.581.561.521.551.471.421.591.701.531.411.531.411.361.151.140.971.080.941.020.760.780.820.860.780.900.780.830.771.051.031.160.921.050.991.131.001.040.830.87
87.5494.0010688.6288.8887.2712489.4690.6290.3188.2492.3591.6192.5191.4791.2293.2192.3790.1089.0653.5986.5585.7986.4574.3280.9579.8679.8578.0776.4071.9573.4988.0879.3173.8965.2877.1079.6476.8376.4178.2079.4078.0879.7668.3681.4489.5377.5954.6194.7096.7096.5010996.6687.8988.8892.6987.3386.4796.01
22.8736.984.5129.0827.2425.451,58629.985.8818.3315.5817.9622.7724.5614.1228.8426.0021.5215.9128.15-14.3519.6622.3925.25-21.9619.6221.9824.9114.5423.0023.0125.30-9.8124.8745.5531.3310525.9128.3931.0327.6730.2232.0731.3228.6527.7225.5032.078.1836.3142.1342.3425.5540.0943.1944.0044.5644.9144.3640.41
22.8736.984.5129.0827.2425.451,58629.985.8818.3315.5817.9622.7724.5614.1228.8426.0021.5215.9128.15-14.3519.6622.3925.25-21.9619.6221.9824.9114.5423.0023.0125.30-9.8124.8745.5531.3310525.9128.3931.0327.6730.2232.0731.3228.6527.7225.5032.078.1836.3142.1342.3425.5540.0943.1944.0044.5644.9144.3640.41
------------------------------------------------------------
20.8224.33-2.0824.4124.2923.341,82927.0421.2723.7419.7216.0118.8916.0611.5622.5120.4019.0913.0621.753.4813.9016.1221.81-33.8217.8333.8518.52-0.8712.5419.2220.95-15.3720.8627.9528.9717.0225.9232.6628.1518.9925.5825.6528.6416.1026.8628.3931.375.5935.7238.5440.8530.8138.9439.0740.5431.1940.7340.6736.38
16.1018.12-2.5318.0218.2617.221,40520.6516.5118.1015.1212.2814.9212.119.7115.9314.7813.558.9316.196.0811.0211.6517.00-21.8413.3829.0412.6010.148.4814.6914.53-7.5716.1721.9122.0614.0819.6524.8222.0514.5022.2424.9922.4117.5221.7622.0923.132.3927.2129.6530.5223.1629.7627.9331.2825.6828.6428.1025.94
0.090.090.090.080.080.080.000.080.150.080.080.080.080.080.090.080.080.080.080.080.090.090.090.090.090.090.090.080.080.090.090.090.090.090.100.100.100.100.110.100.110.110.110.100.090.110.110.110.110.130.130.120.130.130.140.130.140.130.140.13
3.301.37-0.992.421.921.600.131.112.341.231.540.760.950.871.020.981.051.161.321.696.641.051.131.122.622.052.482.472.252.102.121.991.132.532.413.792.692.862.753.352.912.963.303.313.302.861.573.287.580.410.460.51-1.920.531.741.391.911.801.700.45
1.911.932.082.072.062.13-0.072.044.002.072.202.242.282.172.221.861.481.792.061.871.711.051.151.191.191.361.381.631.581.531.491.571.681.691.871.771.491.852.272.482.412.482.452.422.212.432.622.762.622.172.392.342.212.312.382.442.651.571.691.66
47.1446.6943.2343.4743.7142.28-1,244.8644.1222.4843.5440.8640.1339.4141.4740.4848.3660.6650.3843.7248.1752.5885.7078.0775.5775.8466.3865.0755.2257.1458.6660.2357.1653.5453.3048.2550.9860.3048.5639.7036.2937.4136.3036.8137.1240.7236.9834.2932.6134.3641.5137.6838.4940.7438.9437.8136.9633.9957.5053.1254.33
7.589.36-1.098.117.988.29-23.538.4212.677.235.835.145.995.194.076.335.435.313.345.942.193.994.176.13-7.844.559.464.523.783.275.625.93-2.806.007.527.894.576.498.267.934.506.526.146.974.266.546.447.480.6911.3612.1013.989.0412.3311.3914.5910.5712.0010.9410.99
17.2623.59-2.5917.9117.3419.95-54.0216.4123.6214.1611.4010.9812.4611.868.9214.5612.4613.178.2014.845.3010.0910.0915.72-20.8510.9521.8412.3510.6710.4515.8518.50-7.5917.4318.0220.249.9115.9818.8720.379.7113.8812.6616.068.4615.1113.8817.761.4212.4213.1515.389.7913.6112.5716.3111.6313.0311.7011.82
1.371.59-0.201.501.511.47-4.281.672.571.441.180.981.201.000.841.371.161.100.741.350.530.961.031.48-1.891.192.491.060.860.751.351.34-0.701.522.132.121.401.912.612.231.542.322.222.221.552.292.442.550.263.493.893.673.033.943.884.013.573.863.973.50
2.352.82-0.342.632.682.80-8.062.944.482.482.011.702.061.781.492.372.022.141.382.490.931.621.682.53-3.231.934.091.851.571.472.612.63-1.232.703.713.922.453.304.484.142.723.863.803.932.523.743.814.450.425.956.466.674.856.145.807.025.416.046.156.16
9.158.809.209.729.929.279.7110.4611.7911.4211.9810.8511.6210.8911.1911.2610.9310.3110.2210.0510.269.8510.3910.3310.1910.8411.4510.2110.6010.3411.1210.36----------------------------
4.081.977.155.453.572.246.494.363.311.678.646.464.241.687.956.173.101.545.131.465.373.673.611.475.142.491.821.404.783.262.511.747.134.803.201.680.000.003.321.790.000.003.531.630.006.063.902.019.846.834.262.539.106.273.732.268.316.143.661.68
1.340.612.791.23-0.250.963.682.452.55-0.31-0.87-1.13-0.91-0.201.350.58-0.570.02-0.19-0.181.250.300.850.331.831.581.361.260.840.870.670.452.792.483.201.38--2.511.59--3.041.30-4.022.961.746.115.063.522.175.814.392.641.685.354.312.641.25