Pilgrim's Pride Financial Ratios for Analysis 2009-2024 | PPC

Fifteen years of historical annual and quarterly financial ratios and margins for Pilgrim's Pride (PPC).

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
1.681.511.381.501.581.721.731.532.062.581.782.112.042.322.69
0.500.530.550.470.470.530.590.400.440.000.250.560.720.540.21
1.001.121.240.890.911.151.450.680.800.000.611.282.641.240.26
6.4410.379.246.939.387.7113.6711.1814.8416.2410.055.37-1.886.704.38
3.016.741.432.036.054.539.968.0212.1214.027.833.08-4.962.690.95
3.016.741.432.036.054.539.968.0212.1214.027.833.08-4.962.690.95
5.489.084.054.868.617.0812.5410.3614.1115.869.624.90-2.186.054.28
2.105.870.631.345.413.049.127.3311.4412.846.821.88-6.460.97-2.45
1.854.270.210.784.002.276.454.467.388.296.532.15-6.591.27-2.14
1.771.891.661.621.611.841.721.972.642.782.652.792.622.142.32
8.187.878.518.287.478.717.418.999.309.109.358.098.736.248.87
13.4413.9114.1714.8814.2218.1918.9421.9720.6921.7618.9518.4117.5518.1021.35
27.1626.2425.7524.5225.6720.0719.2716.6117.6416.7719.2619.8320.8020.1717.10
9.6426.161.213.6918.0012.2238.7023.0152.5432.3936.8319.15-88.768.37-96.91
26.7695.7910.849.7047.2548.8030466.0162.6832.7837.6519.99-96.378.77-152.35
3.298.070.351.276.434.1611.499.5619.9823.0117.335.97-17.212.81-4.98
4.8212.400.541.979.495.7215.9913.7929.5032.3327.568.46-24.583.83-76.83
14.1212.0710.6210.5810.168.117.468.384.958.485.763.512.615.032.04
2.862.791.342.942.671.973.223.133.944.113.390.80-0.570.060.85
0.650.91-0.121.631.340.611.871.843.273.493.060.55-1.05-0.670.82

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
1.821.831.681.751.721.531.511.551.621.531.381.431.391.681.501.801.891.891.581.821.781.681.721.731.871.801.731.661.821.551.531.621.712.282.061.942.332.322.582.472.272.061.782.392.162.222.112.142.162.172.042.162.292.322.322.212.021.821.772.692.712.06
0.460.490.500.540.550.520.530.540.540.550.550.550.470.460.470.520.520.510.470.490.500.520.530.530.560.560.590.600.540.580.400.520.580.420.440.450.460.560.000.200.220.240.250.400.430.540.560.560.590.610.720.690.640.590.540.530.540.550.910.210.260.37
0.850.961.001.201.201.111.121.171.181.221.241.230.880.870.891.081.111.070.910.991.021.091.151.131.281.361.451.531.191.380.681.101.370.740.800.810.861.270.000.250.280.450.610.670.771.171.281.311.441.592.642.301.831.521.241.201.251.2610.880.260.361.98
15.178.807.097.936.464.152.3211.1314.6112.788.739.7110.457.987.2910.214.245.766.5710.1612.948.044.216.299.6710.479.5417.1317.2510.359.6510.1414.1112.108.0913.4721.0318.3717.9719.8515.9810.6610.1611.0412.935.813.455.137.305.831.10-3.30-2.40-2.816.589.157.763.175.159.379.314.64
9.675.744.074.732.330.75-1.887.5911.079.481.363.16-3.384.841.273.070.972.742.806.779.835.030.893.166.537.345.6513.3213.756.725.607.0911.679.624.9010.9418.4215.9615.5917.8813.748.337.718.8310.893.631.252.985.033.28-2.35-6.61-5.13-5.642.916.583.04-1.970.476.726.111.19
9.675.744.074.732.330.75-1.887.5911.079.481.363.16-3.384.841.273.070.972.742.806.779.835.030.893.166.537.345.6513.3213.756.725.607.0911.679.624.9010.9418.4215.9615.5917.8813.748.337.718.8310.893.631.252.985.033.28-2.35-6.61-5.13-5.642.916.583.04-1.970.476.726.111.19
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9.375.203.463.811.06-0.08-3.147.2710.258.391.032.38-4.854.150.291.82-0.333.453.625.638.643.84-1.102.245.115.694.3712.5913.106.064.606.2411.419.204.139.9518.0515.3812.9417.1713.257.447.027.779.462.800.092.133.382.13-3.83-8.61-6.47-6.861.275.181.94-4.79-4.273.313.03-3.35
7.164.002.972.781.400.12-3.755.787.826.610.911.59-4.583.060.001.09-0.212.193.013.955.983.08-0.281.093.764.354.908.338.493.792.083.957.546.032.496.4911.769.957.9211.298.704.867.007.518.732.681.042.083.512.07-4.67-8.59-6.66-6.382.313.371.93-2.772.104.763.00-3.46
0.450.450.460.440.430.450.450.490.500.460.450.430.470.440.420.410.390.420.430.420.440.430.450.450.450.430.440.460.710.710.680.830.670.580.760.630.650.690.680.650.690.660.650.690.750.700.750.710.670.660.640.630.610.590.560.570.580.570.500.570.590.54
2.142.142.122.011.971.972.032.052.152.162.342.222.132.092.132.082.012.132.071.982.092.152.192.142.151.981.981.942.352.413.142.812.092.222.912.172.062.122.192.222.192.272.272.092.001.972.222.001.851.952.062.122.042.011.641.722.012.172.052.062.021.96
4.003.663.503.423.323.013.293.773.803.903.874.063.963.803.843.923.673.803.824.484.704.564.424.784.804.354.824.356.496.577.556.164.685.205.995.604.975.555.355.485.345.084.614.484.804.504.964.694.514.354.264.514.404.234.764.214.444.663.295.235.645.08
22.5324.6125.6826.2927.1329.8927.3823.9023.6823.0623.2322.1622.7323.6823.4522.9624.5323.6623.5720.0819.1719.7220.3718.8418.7520.6918.6620.6913.8713.7011.9314.6219.2317.3215.0316.0718.1216.2116.8216.4116.8417.7319.5220.0818.7420.0018.1319.1919.9620.6921.1319.9520.4321.2518.8921.3920.2519.2927.3517.2115.9517.71
8.725.014.013.931.980.19-5.439.4512.6010.041.412.33-6.423.670.011.39-0.272.723.644.727.483.92-0.411.435.185.867.2213.9320.2610.295.1311.1218.698.616.3411.0320.8322.467.6012.6010.736.199.6311.9016.015.572.464.818.094.97-15.23-24.52-15.46-12.513.955.653.51-4.7717.6052.3845.38-90.99
19.6912.6611.1411.976.610.69-19.8930.9747.9952.4512.6429.55-16.998.940.033.70-0.726.939.5512.6322.0713.93-1.635.7222.2432.0356.6025427.8415.8714.7313.5823.5210.137.5713.2321.2723.117.7012.7710.916.319.8412.2016.505.792.575.038.505.25-16.54-26.33-16.39-13.164.145.943.71-5.0624.5582.3592.46-2,148.44
3.241.791.371.220.610.06-1.682.853.883.010.410.69-2.151.340.000.45-0.090.931.301.672.611.32-0.140.491.691.862.143.936.362.892.133.405.093.482.414.107.686.825.407.305.983.204.535.186.531.860.771.472.351.38-2.95-5.43-4.04-3.761.321.941.18-1.571.062.691.76-1.87
4.712.562.011.790.900.09-2.584.375.804.550.631.05-3.421.980.010.67-0.131.321.922.393.731.89-0.190.672.292.562.985.609.384.333.085.317.905.013.566.1111.189.917.5910.108.374.707.207.119.072.581.092.103.341.93-4.22-7.49-5.50-5.091.802.661.61-2.161.6541.5333.38-56.90
15.8114.7514.1213.0612.9812.2812.0711.5912.0011.5110.6210.7410.6511.2310.589.989.679.9810.169.349.128.608.118.308.258.177.466.884.863.948.383.613.225.394.954.874.473.508.487.846.856.125.765.234.603.763.513.453.303.082.613.103.864.475.034.844.604.442.502.041.580.88
4.161.142.861.680.38-0.682.793.311.750.931.341.340.47-0.592.942.080.570.082.672.141.620.481.971.711.220.003.222.481.340.273.132.171.130.733.943.302.261.144.113.091.600.753.392.301.200.080.800.600.310.13-0.57-0.58-0.62-0.460.060.10-0.07-0.02-0.052.390.72-0.69
3.290.690.65-0.07-0.77-1.180.911.930.940.60-0.120.28-0.19-0.951.631.180.01-0.221.341.170.910.130.610.790.60-0.301.871.460.55-0.221.841.350.800.583.272.851.931.023.492.621.270.583.062.021.02-0.010.550.470.210.07-1.05-1.08-1.06-0.72-0.67-0.35-0.38-0.16-0.412.731.27-0.85