POSCO Financial Ratios for Analysis 2009-2024 | PKX

Fifteen years of historical annual and quarterly financial ratios and margins for POSCO (PKX).

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
2.082.062.232.122.121.761.631.571.451.481.561.601.711.592.22
0.200.180.190.200.200.180.170.210.220.250.250.250.280.220.21
0.440.420.400.430.430.430.450.500.560.610.570.590.660.530.39
8.339.0415.608.129.7612.3213.7412.6011.2311.2611.0911.7313.2214.9715.79
3.555.1111.533.675.106.426.974.314.143.884.845.747.919.4610.50
3.555.1111.533.675.106.426.974.314.143.884.845.747.919.4610.50
8.549.4516.249.9710.4411.4312.4510.389.678.889.189.7711.2014.3317.42
3.424.7612.353.434.835.556.802.670.312.143.155.306.948.8010.15
2.203.718.692.752.872.604.582.500.250.932.193.755.396.968.80
0.760.860.820.720.820.830.750.660.720.750.730.800.880.890.68
4.854.793.995.485.214.704.814.866.285.145.615.304.875.265.56
6.047.196.295.986.086.205.754.725.164.754.625.046.917.586.61
60.4050.7358.0361.0060.0158.9163.4477.3170.7376.7778.9672.4852.8048.1355.24
3.106.1613.123.674.274.146.152.26-0.211.253.005.808.9611.6310.08
3.366.7214.204.054.764.667.032.60-0.251.473.456.7010.2812.7110.29
1.823.627.772.192.572.453.651.29-0.120.661.633.114.656.376.35
2.475.0810.612.943.423.415.091.77-0.170.932.244.336.439.058.00
157173163109110133133129127141-----
16.2617.6418.3621.7114.9916.6915.7714.8221.3810.6914.1321.084.985.7222.07
-1.523.599.3313.728.8310.889.458.4114.35-0.10-4.741.55-10.30-10.226.66

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.032.032.082.202.302.202.062.012.022.162.232.362.262.162.122.082.072.072.122.071.931.831.761.761.671.681.631.681.581.601.574.701.521.441.452.851.421.421.481.501.511.501.561.541.481.421.601.651.711.681.711.581.591.571.592.532.894.412.225.184.284.08
0.210.200.200.210.220.210.180.180.170.180.190.210.190.200.200.210.220.220.200.190.180.180.180.180.170.170.170.190.190.200.210.080.220.210.220.080.240.250.250.260.260.260.250.240.260.250.250.260.280.280.280.270.240.240.22-0.140.140.210.160.170.18
0.470.460.440.460.460.460.420.480.430.420.400.430.400.440.430.490.510.500.430.410.400.420.430.460.450.440.450.470.480.470.500.090.530.530.560.140.620.630.610.610.600.620.570.560.620.620.590.620.690.690.660.680.600.610.53-0.230.190.390.210.250.25
8.087.365.9110.0810.117.094.807.6011.8813.7314.8318.3115.4313.309.488.465.359.016.8810.099.8911.326.7014.5713.4615.0414.1813.2912.5114.9810.6521.1312.2012.378.7817.7611.3311.9012.6011.4324.4310.1111.1110.2111.9111.4811.3012.2213.3810.2910.9013.4415.6713.379.4216.8728.7225.8221.3119.017.119.99
4.063.23-2.636.316.593.64-0.844.359.1210.589.0115.1012.039.663.804.681.224.85-2.236.476.427.59-0.269.337.799.384.807.496.559.050.7213.965.285.291.6410.134.524.84-6.405.40-113.8111.881.574.185.784.921.986.757.754.133.408.1810.258.34-11.4695.6620.3720.823.2517.902.637.07
4.063.23-2.636.316.593.64-0.844.359.1210.589.0115.1012.039.663.804.681.224.85-2.236.476.427.59-0.269.337.799.384.807.496.559.050.7213.965.285.291.6410.134.524.84-6.405.40-113.8111.881.574.185.784.921.986.757.754.133.408.1810.258.34-11.4695.6620.3720.823.2517.902.637.07
--------------------------------------------------------------
3.894.06-1.224.385.125.17-2.432.9710.1611.559.8716.2813.119.713.124.990.984.54-0.885.345.957.16-1.158.815.789.355.068.195.178.79-0.4712.532.094.37-4.804.932.004.000.572.039.711.612.875.182.172.524.546.934.465.376.851.5110.718.835.5398.2319.5224.6410.6316.987.036.23
2.863.00-1.112.573.433.75-0.592.416.908.027.1011.779.096.384.553.260.292.72-0.762.703.754.62-4.826.213.396.263.515.783.435.590.649.352.212.89-3.405.501.302.24-1.161.467.380.451.703.741.612.003.934.603.093.865.751.347.766.711.3511.0515.0820.687.6816.676.795.01
0.180.170.180.180.200.190.290.200.230.220.230.230.220.190.190.170.170.180.160.200.210.200.220.200.200.200.190.190.190.190.290.120.160.160.270.120.180.180.190.190.090.190.200.180.190.180.190.200.210.210.240.220.230.230.570.190.170.170.290.190.170.18
1.261.201.201.201.201.201.721.121.131.151.111.221.351.361.401.451.331.231.031.221.261.261.331.291.311.311.201.331.351.352.151.451.461.402.401.391.441.321.411.321.371.281.551.411.371.221.301.201.241.271.381.201.261.354.15-1.141.522.571.581.641.09
1.361.321.461.421.461.442.471.571.571.541.741.661.631.501.561.371.361.351.171.411.421.391.651.401.411.451.451.301.281.352.042.121.141.121.922.031.171.111.231.190.531.181.241.161.111.081.191.301.481.361.871.541.561.624.82-2.502.502.862.852.552.30
66.0868.4461.7263.3461.8362.4036.5057.1657.4258.2651.7654.3155.0659.8857.8765.7366.4066.5577.1963.9563.5864.7854.6164.1863.7962.0262.2369.2770.3066.8044.0742.4179.0480.3946.9844.2477.0180.7973.4775.6717176.2172.8777.3381.0483.7275.4369.1060.7366.0548.0258.5357.7955.3918.68-36.0636.0331.4831.5935.2339.14
0.891.01-0.540.911.301.41-0.290.983.063.342.934.913.552.311.461.080.220.92-0.211.031.421.65-1.632.201.222.261.051.911.132.12-0.151.320.490.75-2.170.810.440.76-0.430.531.210.170.611.240.570.691.401.711.231.522.640.563.312.801.40-3.504.503.574.021.521.19
0.971.09-0.580.991.411.54-0.321.083.363.603.175.343.882.541.611.190.251.02-0.241.151.601.85-1.832.461.372.571.202.191.302.44-0.171.340.570.88-2.530.820.520.90-0.500.611.390.190.701.430.660.801.611.971.421.753.030.653.773.191.532.883.514.523.644.051.531.19
0.520.59-0.320.530.750.82-0.170.561.771.931.742.922.171.380.870.630.130.53-0.130.620.860.98-0.961.300.731.350.621.130.671.24-0.091.130.280.43-1.220.670.240.40-0.220.280.650.090.330.680.300.360.750.910.640.791.370.291.771.530.772.142.603.492.253.101.140.88
0.700.80-0.430.721.011.12-0.240.802.532.722.373.872.881.851.170.850.170.71-0.170.831.171.35-1.341.811.011.870.871.540.911.70-0.121.220.380.59-1.690.750.340.57-0.320.390.900.120.460.940.420.511.041.270.891.091.890.412.522.131.092.883.013.852.833.361.260.98
141159157159158157173145155131163138131127109110109109110120134122133135123124133123121119129113116103127110--------------------------
6.800.7216.2611.285.39-0.7117.646.970.720.0218.3611.196.591.6921.7115.119.634.3114.999.847.573.9116.6911.876.354.2215.7785.924.672.3414.8210.689.434.4621.3811.1110.333.8610.135.110.25-1.2513.4810.655.932.5121.0812.396.944.824.681.951.010.525.720.006.674.0426.1912.296.951.86
-1.57-3.93-1.52-0.74-2.15-4.283.590.62-3.84-2.099.335.532.920.0913.729.555.522.018.835.894.872.6610.888.233.993.129.4542.771.690.838.416.736.262.9314.358.0010.511.25-0.09-3.59-4.65-3.86-4.52-3.38-4.36-3.011.550.060.791.90-9.67-8.57-5.39-2.22-10.22-0.811.117.914.471.76-0.44