PVH Financial Ratios for Analysis 2009-2024 | PVH

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

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
1.181.291.311.531.441.711.621.841.841.951.932.101.671.972.742.48
0.240.300.300.430.320.330.360.400.400.440.470.400.400.490.250.29
0.420.470.450.750.470.490.560.670.700.810.920.710.710.970.340.40
58.1856.7758.1652.9554.3854.9754.9053.2851.8952.5051.5453.7751.8852.2349.3048.18
9.915.2210.46-1.895.939.237.099.819.486.436.2710.938.344.3810.166.90
9.915.2210.46-1.895.939.237.099.819.486.436.2710.938.344.3810.166.90
13.1513.1813.8915.769.2012.7010.7413.7412.699.4010.1013.2510.587.5512.249.12
9.124.3010.63-16.734.488.035.728.228.074.754.028.996.161.648.825.87
7.202.2210.40-15.934.217.736.036.697.145.331.756.974.411.126.753.68
0.830.770.740.540.730.810.750.740.750.760.710.780.870.681.031.13
2.722.162.842.372.802.512.532.912.923.113.103.183.503.124.614.57
11.429.5511.9610.7012.9512.0112.8012.7911.6911.0910.7513.6912.2510.3712.2012.42
31.9638.2330.5134.1128.1830.3828.5128.5431.2232.9233.9426.6629.8035.2029.9229.38
12.964.0018.00-24.057.1412.789.6811.4212.5710.063.3113.3410.912.4113.869.19
-220.76-33.61-112.3865.29-30.82-52.74-26.48-24.11-24.74-16.40-4.45-33.70-16.55-2.751,590-76.73
5.941.707.68-8.563.056.284.514.965.364.051.245.614.080.806.924.17
9.892.7912.52-13.804.888.616.246.867.555.621.757.946.061.1310.336.56
88.8279.9377.1766.4880.3977.2971.7361.1655.8652.8952.7644.6139.9036.4222.5119.40
15.710.5914.909.8013.6811.038.2011.1610.899.474.997.716.735.334.084.59
11.75-3.7911.176.629.856.123.688.327.726.402.124.864.403.833.632.91

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
1.241.551.181.181.091.401.291.351.351.391.311.451.481.461.531.551.521.371.441.401.401.471.711.741.721.761.621.821.801.931.842.172.121.811.842.021.982.141.952.081.872.001.932.362.152.372.101.681.641.761.671.801.771.941.972.192.093.462.742.692.472.692.48
0.240.300.240.240.240.300.300.300.290.300.300.340.360.380.430.430.430.390.320.310.320.320.330.340.340.350.360.380.380.390.400.410.410.380.400.410.420.430.440.440.450.460.470.490.510.510.400.350.380.390.400.420.440.450.490.510.540.210.250.260.270.280.29
0.420.430.420.450.460.450.470.470.420.430.450.520.560.630.750.750.780.710.470.530.510.540.490.560.540.590.560.650.630.660.670.690.700.650.700.740.760.780.810.820.860.920.920.981.051.090.710.620.670.700.710.760.790.850.971.051.150.260.340.350.380.390.40
60.0661.4160.2956.6857.6557.9455.8755.8757.2058.3558.2957.6757.6559.1153.9051.9955.8849.5553.7554.3454.5055.0054.5754.0655.5855.7854.7855.0455.4354.3453.9953.0953.4752.5050.7950.8753.7652.4551.7852.2853.3952.6252.1151.8752.2249.8353.8252.9055.5653.0250.5150.1154.2653.2152.6652.3352.1451.2150.0148.4250.2148.7644.94
8.3810.0013.729.736.499.2111.95-9.388.309.919.1911.0712.069.491.265.76-0.11-20.971.7810.415.785.735.3811.189.9210.552.3211.918.725.6915.318.827.407.388.3311.728.279.410.3012.538.064.307.8011.044.360.966.7114.6811.4710.931.5811.9010.009.980.2411.763.98-3.648.5912.979.728.81-8.62
8.3810.0013.729.736.499.2111.95-9.388.309.919.1911.0712.069.491.265.76-0.11-20.971.7810.415.785.735.3811.189.9210.552.3211.918.725.6915.318.827.407.388.3311.728.279.410.3012.538.064.307.8011.044.360.966.7114.6811.4710.931.5811.9010.009.980.2411.763.98-3.648.5912.979.728.81-8.62
---------------------------------------------------------------
7.469.6013.538.795.428.1911.08-10.217.358.888.2115.1210.928.08-0.394.18-2.14-92.23-4.839.349.424.464.2110.028.679.331.0010.607.294.255.937.525.9413.857.0210.456.777.82-1.2511.106.352.245.589.001.95-1.444.8012.969.348.890.559.997.656.383.829.04-7.56-4.987.2511.808.217.40-9.84
7.627.7610.926.844.276.305.57-8.195.416.2716.0811.997.864.80-2.763.30-3.25-81.61-2.598.088.183.486.399.637.087.754.3410.155.783.544.785.624.6812.086.3510.255.486.072.4910.116.401.80-1.838.71-0.27-0.544.899.916.536.372.406.394.713.963.596.58-6.40-4.464.4011.995.024.43-6.57
0.180.180.220.210.190.190.210.200.180.180.200.180.180.160.160.160.120.110.190.180.170.180.210.210.200.200.210.200.180.180.190.200.170.180.200.200.180.180.190.200.170.170.180.190.170.160.210.240.200.210.230.240.190.200.210.220.170.230.260.300.240.250.26
0.520.560.700.690.520.530.610.550.540.640.750.720.690.590.680.690.420.430.740.670.580.660.650.690.600.670.710.720.620.720.740.840.640.710.790.800.610.760.790.860.670.790.770.930.700.840.860.900.650.910.940.980.670.930.931.050.761.061.161.280.871.011.13
2.292.343.082.222.432.322.632.282.552.433.172.492.732.353.142.592.652.373.402.592.922.693.092.613.192.853.592.753.082.793.292.853.252.803.082.503.022.462.782.452.572.302.702.472.612.333.712.703.142.623.192.663.222.673.132.723.542.563.132.473.062.512.88
39.3538.5029.1840.4737.1138.7234.1839.5535.3536.9928.3536.1432.9638.2328.7134.7933.9537.9626.4834.7430.7933.4629.1234.4228.2131.5925.0832.7329.2432.2427.3931.6227.6732.1129.2236.0229.8336.6632.3336.7034.9639.2033.3836.4934.5138.6224.2833.2828.6634.3128.2433.8227.9133.6728.7833.1425.4235.1128.7936.4529.4535.9331.25
3.042.995.313.201.872.652.77-3.872.212.537.395.413.612.06-1.231.49-1.13-24.31-1.183.493.291.422.724.272.963.221.954.552.341.442.092.631.884.762.954.882.322.571.184.922.790.79-0.874.51-0.13-0.252.485.683.353.491.554.342.652.322.344.49-3.58-1.822.317.312.522.41-3.80
-67.90-43.81-90.42-52.42-17.16-29.42-23.2634.86-16.68-18.24-46.13-25.46-14.08-6.173.33-4.162.9067.275.09-14.18-12.15-5.88-11.22-15.66-9.58-9.57-5.33-11.44-5.30-3.06-4.42-5.34-3.64-9.20-5.80-9.34-4.07-4.43-1.92-8.13-4.18-1.111.17-6.140.160.30-6.27-12.54-6.07-6.05-2.35-6.43-3.59-2.95-2.67-4.893.29-7.97265-1,945.16-32.29-23.1231.72
1.411.402.431.450.821.181.18-1.640.971.123.152.181.420.78-0.440.52-0.39-8.92-0.501.491.400.611.342.051.411.530.912.051.040.640.911.140.812.131.262.070.961.070.482.001.090.30-0.321.69-0.05-0.091.042.401.341.410.581.620.960.840.781.45-1.09-1.011.163.631.191.13-1.72
2.302.104.052.441.421.861.93-2.691.571.785.143.602.331.27-0.700.85-0.64-14.89-0.812.392.240.961.832.831.952.091.262.831.440.871.261.561.112.951.772.871.341.460.662.751.550.42-0.462.30-0.06-0.121.483.572.002.060.862.341.391.181.102.02-1.52-1.441.725.421.831.74-2.71
92.8890.3088.8284.3583.0281.6579.9375.5879.3678.1477.1773.5270.4567.8566.4865.7764.4763.5480.3981.6578.8776.7077.2974.8472.5572.1171.7368.1165.6862.4861.1660.3359.8060.0455.8655.3853.3653.7652.8955.6054.9854.4152.7653.4249.8850.8644.6143.1339.4240.2139.9041.0640.1439.6636.4236.0732.6126.1222.5122.1120.4319.8519.40
3.99-1.1415.715.133.13-1.190.59-4.25-2.43-4.4214.908.104.58-2.619.805.973.49-2.0013.685.824.23-0.9611.033.963.99-1.618.202.622.25-0.7311.167.155.031.3310.894.673.870.729.473.892.05-0.624.990.430.54-1.697.713.862.82-0.016.732.381.93-0.135.331.961.47-0.784.081.531.55-0.424.59
2.66-1.8111.752.441.28-2.10-3.79-7.26-4.06-5.1811.175.733.06-3.296.623.751.97-2.799.853.483.02-1.986.120.461.87-2.593.68-0.380.27-1.598.325.343.970.777.722.642.660.146.401.810.81-1.232.12-1.58-0.76-2.264.862.001.71-0.544.400.760.92-0.613.831.191.03-0.873.631.171.30-0.542.91