Primo Water Financial Ratios for Analysis 2009-2024 | PRMW

Fifteen years of historical annual and quarterly financial ratios and margins for Primo Water (PRMW).

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
2.030.780.720.811.061.131.001.051.131.081.432.161.941.581.55
0.470.490.500.500.520.520.640.490.700.690.400.490.510.530.37
0.891.151.181.091.161.152.001.222.562.540.760.971.071.160.68
64.1760.1956.5257.0259.1157.1549.6952.3754.7913.1513.1513.8911.8514.7715.64
9.228.486.53-2.674.182.381.930.591.510.754.214.894.315.496.10
9.228.486.53-2.674.182.381.930.591.510.754.214.894.315.496.10
20.3219.4216.917.8513.7612.1710.339.5611.846.119.159.388.569.7410.34
5.124.620.80-7.81-0.350.40-1.48-2.410.05-2.141.142.551.734.353.96
13.441.75-0.20-6.740.1621.38-0.06-4.79-0.290.480.812.141.613.035.10
0.500.460.420.540.530.560.550.410.410.681.471.441.551.181.83
13.4210.327.2510.0211.675.928.956.202.156.967.808.629.807.1313.51
11.369.926.038.798.295.817.965.874.056.8410.2411.2210.588.439.22
32.1436.8060.5741.5444.0562.8345.8362.2290.1753.3435.6332.5334.5143.2939.57
4.434.580.37-11.64-0.931.32-0.41-6.902.432.993.648.467.2511.1721.46
-22.99-13.40-0.5016.952.26-2.160.376.46-1.97-2.0413.0229.7442.2617640.01
1.811.600.13-4.35-0.320.49-0.09-1.530.540.531.553.372.733.919.85
2.352.320.19-5.82-0.450.64-0.15-3.500.720.732.184.303.525.2413.57
9.048.038.218.408.658.596.356.305.897.506.416.535.975.654.93
1.801.471.311.251.521.391.271.131.270.591.621.831.722.072.06
1.130.800.600.520.780.600.450.440.890.121.041.111.211.571.66

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
2.182.132.030.840.780.750.780.760.780.720.720.800.830.810.810.860.790.781.061.051.011.071.131.421.491.541.001.011.001.721.051.082.891.341.131.151.151.051.081.491.371.341.432.352.232.392.162.362.162.121.942.101.761.631.581.371.861.661.551.861.351.20
0.460.470.470.500.500.510.490.500.500.500.500.500.500.500.500.490.490.460.520.520.530.520.520.510.500.500.640.640.710.750.490.670.670.660.700.700.700.700.690.490.480.390.400.490.500.500.490.490.500.510.510.510.510.520.530.540.350.360.370.410.480.53
0.870.880.891.121.211.241.151.191.201.191.181.141.121.091.091.081.120.951.161.181.191.151.151.051.021.022.001.762.773.171.222.342.032.042.562.572.592.692.541.081.110.880.760.970.991.000.970.961.001.041.071.041.081.171.161.270.570.640.680.721.151.49
65.5764.4570.0062.1464.5462.7935259.5658.1656.9599.0555.9956.4955.2955.8058.7655.7657.6359.1460.6459.6156.8479950.9649.9348.7748.8450.4049.4550.0749.6051.9633.0230.6431.6430.7730.8528.3613.2112.9914.3811.8316.0711.9713.5911.1616.2012.5414.7512.109.3611.0613.7513.0312.9513.7817.3115.7614.1215.7616.7015.86
8.087.889.8411.649.195.196907.701.162.9176.307.666.012.744.857.98-24.96-0.843.278.134.720.16-68.794.563.431.09-3.842.840.97-1.782.854.782.102.583.795.910.94-6.183.514.770.913.014.795.782.993.344.906.904.010.784.746.704.592.894.009.216.923.606.647.826.08
8.087.889.8411.649.195.196907.701.162.9176.307.666.012.744.857.98-24.96-0.843.278.134.720.16-68.794.563.431.09-0.023.842.840.97-1.782.854.782.102.583.795.910.94-6.183.514.770.913.014.795.782.993.354.906.904.010.784.746.704.592.894.009.216.923.606.647.826.08
--------------------------------------------------------------
5.636.246.317.594.880.858761.09-3.69-0.8240.763.85-2.22-1.15-2.854.97-29.14-6.47-0.343.051.08-5.63-128.321.562.370.98-3.760.43-1.05-1.58-5.51-0.230.86-1.56-1.330.082.21-1.49-8.130.82-0.36-0.67-2.262.473.510.300.562.914.831.37-1.892.184.421.743.951.627.654.710.783.986.753.98
3.305.5361.955.374.731.415180.22-3.94-1.27-13.273.29-1.58-2.13-4.204.25-29.770.741.842.140.97-4.614.051.641.7964.442.997.32-4.24-6.78-15.31-0.550.97-0.40-0.630.640.28-0.853.440.24-1.07-0.86-2.392.212.93-0.522.484.011.13-2.172.654.141.272.861.195.253.173.633.437.685.42
0.140.130.080.170.120.110.000.160.160.140.010.150.140.130.140.140.130.130.130.140.140.130.010.190.190.170.140.140.140.120.130.120.210.240.240.250.250.230.180.340.320.330.340.350.360.340.330.380.410.350.360.410.400.340.350.320.480.420.440.460.470.43
3.533.471.822.231.511.47-0.432.082.182.150.002.532.652.682.662.692.762.672.861.471.411.54-0.932.192.142.062.292.020.900.812.110.722.071.901.922.062.021.881.802.021.871.681.732.222.031.911.932.332.282.012.372.522.282.082.142.043.052.723.333.033.052.73
2.962.801.842.241.541.570.072.032.011.940.081.921.832.072.271.882.051.682.031.511.481.480.061.841.951.822.001.861.191.261.881.032.252.172.382.322.122.081.772.131.921.992.362.132.112.252.582.292.312.152.492.352.132.132.471.982.092.032.232.272.042.07
30.4532.1248.9740.1558.5657.451,38444.2544.6746.271,11646.9949.1343.4239.6247.8444.0053.6544.3359.5960.9260.961,60449.0346.2149.4544.9048.2875.4471.6647.7887.5840.0541.4037.7738.7742.4643.3450.8942.2646.8745.2738.2042.3042.7039.9434.9139.3138.9341.9236.1738.3242.2342.2336.4145.4743.0444.2440.3639.7044.1243.46
0.911.300.942.591.070.256.750.10-1.76-0.510.401.38-0.63-0.76-1.481.64-9.77-1.850.160.640.24-1.97-0.850.700.980.361.070.18-0.54-1.21-6.26-0.410.90-0.18-0.450.972.70-0.233.830.46-0.76-0.45-1.722.142.970.170.612.514.371.17-2.012.964.721.393.031.385.503.073.763.9811.007.93
-4.88-6.92-4.90-3.84-1.48-0.34-19.77-0.152.440.70-0.55-1.980.911.122.16-2.5415.013.24-0.40-1.03-0.373.201.39-1.31-1.93-0.73-0.98-0.160.340.805.860.33-1.880.200.36-0.78-2.230.14-2.6119.26-22.17-1.62-6.157.4511.630.592.149.0218.315.86-11.6916.3428.6613.0747.7947.689.425.507.027.6026.3428.34
0.380.530.390.930.370.092.360.04-0.62-0.180.140.50-0.23-0.29-0.550.61-3.60-0.740.060.220.08-0.68-0.310.270.390.140.230.04-0.11-0.23-1.39-0.100.25-0.05-0.100.220.60-0.040.680.17-0.26-0.19-0.730.851.170.070.241.031.720.46-0.761.151.730.501.060.472.691.451.731.733.772.42
0.490.690.501.300.530.133.420.05-0.88-0.260.200.69-0.31-0.38-0.740.84-5.01-1.000.080.310.11-0.95-0.410.340.490.180.390.07-0.16-0.30-3.17-0.130.30-0.06-0.130.290.82-0.050.940.24-0.40-0.27-1.031.091.500.080.311.282.180.57-0.971.462.320.671.420.643.581.972.382.345.753.75
9.079.049.048.107.957.898.037.877.928.108.218.208.218.318.408.508.4310.898.658.488.478.478.598.798.899.026.356.275.976.096.307.067.216.355.896.046.187.097.506.056.286.316.416.616.426.346.536.626.336.125.976.146.165.835.655.515.305.094.934.704.433.65
1.020.401.801.620.600.191.471.130.560.151.311.060.550.181.250.760.440.031.520.770.120.111.391.030.480.231.240.980.670.221.050.520.55-0.171.201.510.74-0.010.580.40-0.24-0.561.620.66-0.26-0.611.830.55-0.05-0.451.720.63-0.05-0.272.071.150.490.102.061.500.830.30
0.560.171.130.830.17-0.070.800.180.04-0.090.600.460.170.010.520.240.05-0.210.780.20-0.20-0.040.600.390.090.040.440.340.260.050.410.030.07-0.400.831.100.58-0.300.120.08-0.46-0.651.040.19-0.61-0.821.110.05-0.44-0.641.210.30-0.29-0.401.570.830.260.011.661.270.650.23