Post Holdings Financial Ratios for Analysis 2009-2024 | POST

Fifteen years of historical annual and quarterly financial ratios and margins for Post Holdings (POST).

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
2.361.842.701.992.352.652.783.713.282.902.344.581.661.011.98-
0.620.610.650.700.710.710.700.720.600.600.630.480.430.330.26-
1.661.571.822.342.482.412.372.571.521.501.690.940.770.550.35-
29.0926.9225.0828.6730.7731.5529.6330.0630.7825.2725.7641.0944.7346.6444.4546.76
10.028.577.109.7911.3913.759.179.8910.864.58-8.6110.4214.51-38.0719.1420.07
10.028.577.109.7911.3913.759.179.8910.864.58-8.6110.4214.51-38.0719.1420.07
16.0314.9913.6017.1518.7120.4315.5316.0716.8810.44-1.5218.2621.10-32.0124.7024.79
5.965.9115.304.30-0.972.804.231.42-0.60-3.60-17.712.168.38-44.4714.2014.63
4.634.3112.933.350.022.147.310.67-0.57-2.85-14.870.955.20-43.829.239.43
0.620.600.520.400.390.480.480.440.540.510.310.300.350.360.30-
7.456.477.987.455.446.719.096.376.927.474.705.006.747.767.87-
13.5913.6410.7511.0110.6712.7613.5310.8713.0612.695.8312.4316.9718.8415.10-
26.8526.7533.9533.1534.2128.6026.9733.5727.9628.7662.6329.3721.5119.3824.17-
8.958.1222.744.06-1.964.2915.301.73-0.11-3.87-15.031.014.05-29.574.46-
-9.80-7.95-19.56-2.401.15-2.62-9.41-1.050.113.7610.57-1.71-5.7362.39-14.55-
2.852.696.570.90-0.461.053.590.41-0.04-1.26-4.440.441.83-15.582.75-
3.363.168.051.22-0.571.264.550.49-0.04-1.55-5.610.522.31-19.723.31-
70.2363.7655.6343.6542.6140.7445.8842.2046.3647.9250.9645.8337.66---
13.9311.206.109.019.089.169.475.537.307.964.613.614.174.183.940.00
7.526.702.326.385.745.546.502.965.576.461.812.623.283.753.24-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302009-09-30
2.362.052.161.991.842.062.732.792.703.022.602.591.992.262.322.542.352.853.232.182.652.021.931.562.781.942.244.053.716.435.533.413.283.203.253.042.902.172.751.882.342.655.737.384.583.645.033.511.662.102.001.021.01-----
0.620.620.620.620.610.610.630.630.650.640.640.740.700.710.710.710.710.700.710.660.710.660.660.670.700.700.700.710.720.700.640.600.600.600.600.600.600.630.600.640.630.600.520.520.480.410.410.490.430.420.430.330.33-----
1.661.621.611.601.571.561.681.711.821.771.752.902.342.492.442.412.482.372.521.972.411.971.952.012.372.362.372.482.572.321.761.531.521.481.501.521.501.701.521.771.691.491.101.080.940.700.700.970.770.740.750.550.55-----
28.6329.6428.9929.1328.3426.9825.5426.4924.8623.9226.8524.8022.4129.5130.3031.2324.1532.6829.3732.3731.3432.1132.5230.2229.1428.4929.7831.3029.9530.9529.0030.3429.9331.9632.2029.0325.4526.1226.1723.2021.9323.4829.5438.5538.5740.5041.3044.6244.5445.3944.3144.6943.9945.9848.3049.08--
9.5010.439.5110.657.868.518.509.578.356.927.095.853.4412.4210.7811.413.5212.8810.2713.457.1113.7713.4220.824.1411.4610.1311.237.7714.9810.956.108.5911.4012.7810.643.126.714.723.81-23.071.26-0.078.488.369.4111.6412.7913.3917.1613.2514.27-207.956.7022.5922.71--
9.5010.439.5110.657.868.518.509.578.356.927.095.853.4412.4210.7811.413.5212.8810.2713.457.1113.7713.4220.824.1411.4610.1311.237.7714.9810.956.108.5911.4012.7810.643.126.714.723.81-23.071.26-0.078.488.369.4111.6412.7913.3917.1613.2514.27-207.956.7022.5922.71--
----------------------------------------------------------
4.876.766.305.944.886.734.607.569.2814.4040.27-2.89-0.61-3.7012.038.37-4.373.71-14.849.94-6.442.092.9912.78-0.166.987.292.751.55-7.20-0.3311.83-5.220.17-0.443.14-8.614.80-3.70-6.87-31.61-8.82-8.58-1.28-0.381.942.944.696.8810.507.628.62-215.350.9716.5616.18--
4.065.124.864.483.084.823.346.235.3111.1637.12-1.562.78-4.359.155.5713.462.69-12.816.81-4.231.133.108.76-1.085.885.6020.340.32-4.94-0.447.87-3.20-0.120.84-5.861.632.50-9.46-27.96-6.21-5.16-1.68-1.100.431.733.214.376.534.195.84-201.680.6511.2411.00--
0.160.160.160.160.170.160.140.140.140.130.120.110.090.100.100.120.030.110.120.120.120.130.120.130.120.130.130.120.120.120.130.140.130.130.140.140.140.140.130.140.130.080.080.070.080.080.080.080.090.090.090.080.09-----
1.901.721.771.691.761.742.031.932.162.211.991.621.751.311.311.720.541.481.851.681.711.741.691.972.391.991.881.681.771.671.741.701.761.671.751.822.101.821.681.892.141.241.371.511.471.531.501.311.741.701.961.532.03-----
3.453.633.513.353.803.292.812.912.902.772.952.522.372.222.173.220.963.192.713.223.243.042.773.123.533.032.793.063.012.652.593.053.273.403.293.403.583.043.022.632.521.572.363.503.513.533.343.504.383.863.714.154.63-----
26.1024.7725.6326.8623.7127.3432.0230.9831.0232.5430.5035.7837.9240.6141.5627.9493.8228.2533.2027.9127.7629.6032.4528.8625.5329.6832.2929.4129.8633.9834.7229.5527.4826.5127.3926.4925.1629.6529.8134.2835.6957.4638.1225.7325.6725.4626.9425.6820.5723.3324.2921.7119.45-----
1.992.532.442.231.702.481.592.722.655.0715.13-1.73-0.39-2.733.773.13-0.611.40-6.483.23-2.070.511.373.99-0.503.142.939.710.29-2.16-0.073.41-1.230.110.160.86-2.440.901.21-4.48-12.59-1.35-0.88-0.13-0.060.230.340.610.881.230.830.89-33.43-----
-2.18-2.59-2.51-2.22-1.66-2.48-1.53-2.54-2.28-4.55-13.830.870.231.56-2.22-1.910.36-0.853.87-2.391.26-0.35-0.94-2.620.31-1.66-1.55-6.84-0.171.890.07-3.411.27-0.11-0.16-0.842.36-0.69-0.982.778.851.081.480.400.10-0.45-0.82-0.88-1.24-1.92-1.25-1.8970.52-----
0.630.820.800.730.560.830.490.830.761.494.46-0.35-0.09-0.610.900.75-0.140.34-1.520.90-0.510.140.391.12-0.120.770.722.400.07-0.55-0.021.11-0.400.040.050.28-0.790.270.38-1.26-3.72-0.44-0.35-0.06-0.030.110.170.250.400.570.380.47-17.61-----
0.750.960.940.860.660.970.591.000.941.835.50-0.44-0.12-0.791.100.92-0.180.42-1.851.10-0.610.170.461.33-0.150.940.872.800.08-0.65-0.031.35-0.490.040.070.34-0.980.340.48-1.62-4.70-0.55-0.42-0.06-0.030.130.200.310.500.710.480.60-22.29-----
70.2367.7065.8765.1463.7664.6854.6658.3855.6357.0157.4341.5743.6544.4745.3745.1242.6142.5342.0347.3740.7444.0344.2747.4745.8846.2246.5146.3642.2041.5845.0946.4246.3647.0646.7646.4847.9248.6646.0241.5250.9657.9254.3854.6245.8345.4145.3737.9937.6637.3336.8841.70------
13.9310.396.272.5911.207.013.021.496.103.542.281.709.016.212.491.719.085.901.281.509.166.702.723.189.477.883.472.655.533.18-0.32-0.247.305.312.791.297.964.302.341.154.611.750.550.763.611.990.570.724.173.052.230.764.183.431.751.100.000.00
7.526.063.621.396.704.071.000.702.321.110.911.016.384.281.261.155.743.77-0.380.435.544.030.952.166.505.992.342.042.961.48-1.10-0.565.574.162.161.026.463.111.700.671.81-0.10-0.240.262.621.460.230.573.282.411.780.503.753.151.551.00--