Children's Place Financial Ratios for Analysis 2009-2024 | PLCE

Fifteen years of historical annual and quarterly financial ratios and margins for Children's Place (PLCE).

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
0.730.870.980.760.761.311.821.862.112.222.322.853.723.663.142.51
1.220.240.180.45-----------0.09
-30.662.121.002.630.730.160.050.03-------0.16
27.7930.0941.4921.8935.0335.2738.0337.6236.2235.3337.1238.2138.4439.4340.1341.21
-5.23-0.0914.39-13.135.155.748.648.265.224.544.324.966.157.727.917.51
-5.23-0.0914.39-13.135.155.748.648.265.224.544.324.966.157.727.917.51
-2.282.9217.44-8.779.159.3012.2811.948.857.987.999.2410.4912.0012.2611.89
-7.10-0.8613.42-13.914.735.608.628.235.184.534.344.966.117.637.577.20
-9.64-0.079.77-9.223.925.214.535.733.353.233.003.504.334.745.385.05
2.001.731.851.341.582.671.991.961.921.841.781.961.981.961.921.73
3.202.672.613.063.714.133.573.894.093.833.444.194.444.824.774.54
48.2434.4687.6138.5157.0155.1871.6756.8365.5855.1768.0297.8698.7110497.2083.01
7.5710.594.179.486.406.615.096.425.576.625.373.733.703.523.764.40
1,714-0.7283.01-150.3231.1732.1117.8820.6210.979.668.6010.1811.9013.1215.0813.49
308-1.30122-672.0945.2832.1117.8820.6210.979.668.6010.1811.9013.1215.0813.49
-19.31-0.1218.04-12.316.2013.899.0111.246.455.935.356.858.589.3410.407.87
-378.79-0.5568.02-83.1931.1732.1117.8820.6210.979.668.6010.1811.9013.1215.0812.26
-0.7212.9616.226.4015.9919.8727.5228.0027.1528.0027.7926.8225.3123.2521.4418.59
7.42-0.638.96-2.4411.378.3311.8110.518.827.367.708.516.136.445.457.45
5.22-4.136.99-4.532.784.098.588.686.794.074.484.773.003.343.275.77

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
0.900.890.730.850.820.840.870.970.940.960.980.970.910.860.760.690.580.620.760.780.770.791.311.331.281.441.821.611.661.861.861.721.752.222.111.901.792.272.222.122.042.492.322.412.142.952.852.683.003.863.723.283.164.483.662.813.413.933.142.742.442.972.51
1.711.261.220.300.370.280.240.190.210.190.180.180.310.340.450.50---------------------------------------------0.040.09
-7.00-11.27-30.663.464.622.792.121.481.811.401.001.131.631.872.633.324.082.230.730.720.790.550.160.190.280.140.050.110.110.060.030.130.090.05-0.060.060.02-0.030.05-------------------0.070.070.16
34.9734.6221.7633.7425.3929.9917.5134.7530.3139.1638.1743.8640.5643.2229.5634.3218.18-7.7132.4337.7533.0236.8530.9539.1134.5036.7136.8341.3134.3739.0736.0741.0633.3539.4335.6039.5931.3837.5734.3939.0130.9736.1535.1540.9532.9938.5837.0341.8331.7940.7435.0641.3333.6442.6340.7140.2232.8942.5740.1543.5733.3641.4339.82
-6.81-10.45-13.579.36-10.69-9.35-14.2011.36-3.635.3111.4420.399.1515.133.045.48-17.48-67.845.7611.040.911.222.5712.362.235.289.1013.090.869.689.3413.10-0.799.455.8912.64-5.495.734.3111.45-4.294.904.6912.50-9.326.735.0910.69-7.428.453.9311.25-4.5911.329.8411.04-3.8011.3010.3613.98-5.928.967.37
-6.81-10.45-13.579.36-10.69-9.35-14.2011.36-3.635.3111.4420.399.1515.133.045.48-17.48-67.845.7611.040.911.222.5712.362.235.289.1013.090.869.689.3413.10-0.799.455.8912.64-5.495.734.3111.45-4.294.904.6912.50-9.326.735.0910.69-7.428.453.9311.25-4.5911.329.8411.04-3.8011.3010.3613.98-5.928.967.37
---------------------------------------------------------------
-9.70-13.33-15.447.71-12.90-11.18-15.3310.62-4.314.8410.3419.688.0114.122.184.71-18.19-68.575.4110.630.370.812.4312.212.025.229.1213.070.789.679.3513.07-0.849.435.8712.59-5.555.694.3011.43-4.304.904.7112.51-9.326.745.1110.68-7.438.443.9311.23-4.6811.269.7810.95-3.9111.1910.2613.87-6.388.156.88
-10.05-14.11-28.318.01-10.23-8.96-11.088.42-3.495.477.6814.135.8210.381.643.13-12.64-44.994.728.200.361.092.279.551.677.23-1.748.993.828.306.579.32-0.546.203.518.44-3.743.853.567.58-2.783.313.358.47-6.184.553.767.45-4.975.644.676.96-2.856.756.256.91-2.386.617.378.16-2.235.858.79
0.350.320.570.490.340.320.460.470.320.320.490.510.370.390.410.350.320.220.430.410.320.320.730.620.530.540.610.480.380.500.570.490.400.480.560.470.380.440.500.490.390.440.470.510.400.470.550.520.410.500.530.550.390.500.530.520.390.480.540.550.340.450.47
0.400.410.980.690.480.450.840.610.430.400.730.710.530.590.860.650.790.821.060.840.730.761.210.840.800.831.110.790.791.031.160.860.831.011.190.840.800.901.060.870.780.860.940.860.791.031.200.980.931.181.251.110.931.281.281.161.081.331.341.040.801.291.26
5.169.4713.709.2910.4512.549.2010.438.5712.5823.2314.4010.6510.2211.9613.5612.456.8715.6413.3010.6110.4215.1113.039.4213.6521.8415.1111.2913.8516.5815.4810.5416.4218.9512.4911.7116.1715.0117.3312.8016.3418.0118.7612.8719.0427.5419.3115.4123.5026.3218.7115.0920.2628.1121.6518.2725.9627.3727.6714.4920.8322.48
17.449.506.579.698.617.189.788.6310.507.163.876.258.458.817.526.647.2313.115.766.778.488.635.966.919.556.594.125.967.976.505.435.818.545.484.757.217.685.576.005.197.035.515.004.806.994.733.274.665.843.833.424.815.964.443.204.164.933.473.293.256.214.324.00
46.631081,42832.59-41.14-22.92-31.8820.20-7.229.2817.3035.4914.3331.178.3117.22-75.82-109.3110.3116.920.611.603.8214.532.329.19-2.098.632.877.316.898.93-0.424.963.317.01-2.592.732.896.15-1.832.252.546.78-4.113.103.085.88-2.963.893.425.55-1.634.584.755.38-1.324.455.806.90-1.244.104.26
39.2249.8325780.54-229.00-52.30-57.6930.38-11.7813.9525.3652.4525.0762.1637.18285410-359.4014.9723.780.872.173.8214.532.329.19-2.098.632.877.316.898.93-0.424.963.317.01-2.592.732.896.15-1.832.252.546.78-4.113.103.085.88-2.963.893.425.55-1.634.584.755.38-1.324.455.806.90-1.244.104.26
-3.49-4.46-16.103.95-3.46-2.84-5.123.95-1.131.733.767.252.144.010.681.10-3.99-9.692.053.350.120.351.655.960.883.89-1.054.351.474.153.764.58-0.222.991.953.94-1.421.711.783.71-1.071.451.584.28-2.472.132.073.89-2.022.832.463.85-1.123.363.383.56-0.933.204.004.57-0.782.662.48
-33.29-28.68-315.7822.92-26.05-16.42-24.2616.36-5.697.5314.1729.099.9420.594.608.67-75.82-109.3110.3116.920.611.603.8214.532.329.19-2.098.632.877.316.898.93-0.424.963.317.01-2.592.732.896.15-1.832.252.546.78-4.113.103.085.88-2.963.893.425.55-1.634.584.755.38-1.324.455.806.90-1.243.943.87
-5.42-2.75-0.729.466.8910.1412.9616.8414.1415.9916.2215.4311.399.916.405.304.227.2315.9916.6715.9117.6719.8721.1319.6520.6627.5229.2628.1528.4228.0027.2926.0427.6927.1527.3425.9027.5728.0028.1826.9427.5727.7927.6225.6827.2026.8226.4625.0626.0525.3124.3423.5424.4523.2522.1322.4722.7421.4420.2019.6619.6418.59
-15.24-8.767.42-3.38-2.610.41-0.63-1.29-4.02-1.368.964.53-0.22-1.10-2.44-3.46-5.69-2.7711.376.471.471.328.335.060.68-0.7211.817.183.931.5910.516.714.001.458.824.191.950.647.363.180.640.197.704.442.851.648.515.962.502.776.133.771.852.196.445.052.412.605.452.64-0.231.877.45
-16.22-9.135.22-5.31-4.06-0.47-4.13-3.66-5.44-2.146.993.06-1.11-1.55-4.53-5.09-6.66-3.162.78-1.21-4.70-4.094.091.70-0.99-1.348.585.092.660.878.685.303.141.086.792.520.970.164.071.11-0.77-0.534.481.881.130.684.772.990.671.873.001.230.031.253.342.690.721.733.271.00-1.151.475.77