Papa John's Financial Ratios for Analysis 2009-2024 | PZZA

Fifteen years of historical annual and quarterly financial ratios and margins for Papa John's (PZZA).

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
0.760.950.891.060.871.041.281.141.151.381.281.151.171.570.96
2.311.781.534.569.282.021.310.970.860.700.530.330.200.330.35
-1.78-2.30-2.91-1.37-1.19-2.04-4.4030.596.052.331.140.490.250.500.54
35.6033.5535.9234.1132.3530.6827.3228.1424.6623.1639.9740.0743.5940.9641.67
6.895.198.134.981.521.908.479.608.327.367.407.437.147.708.83
6.895.198.134.981.521.908.479.608.327.367.407.437.147.708.83
9.897.6610.497.724.444.6910.9211.9910.799.869.849.889.8310.5811.74
4.853.997.304.160.310.407.879.277.287.157.377.336.967.407.81
3.843.200.202.30-0.470.155.796.014.614.564.764.594.494.674.98
2.442.432.342.082.222.793.213.343.313.173.103.063.122.702.74
38.0733.7537.8939.4839.7942.3842.3349.0057.2144.8337.5036.2834.2038.2240.39
19.9918.8822.7919.8421.7417.6426.0227.6125.7524.3727.0530.0743.2344.4248.76
18.2619.3316.0218.4016.7920.6914.0313.2214.1814.9813.4912.148.448.227.49
-18.66-25.62-72.46-22.71-1.79-1.34-100.541,11319478.7152.8136.3627.8928.1631.07
-15.93-20.32-49.37-17.43-1.43-1.05-55.24-144.06-218.8646512464.3643.4645.0652.27
9.468.0214.116.950.770.6819.1721.2816.5915.4015.7215.0514.9813.4314.60
24.5020.0838.4780.9414.781.3731.2735.2327.5623.6024.6524.4722.3918.8020.24
-13.65-7.79-4.82-8.20-9.93-9.69-3.120.271.102.483.324.084.363.913.44
5.823.305.235.701.952.863.704.004.262.942.292.182.001.751.86
3.621.103.294.610.761.562.262.523.291.771.141.291.421.161.26

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.800.820.800.760.820.820.900.950.910.961.030.890.850.831.141.061.070.980.860.870.880.920.911.040.931.081.151.281.211.291.211.141.141.161.341.151.281.301.491.381.461.461.381.281.251.501.241.151.091.221.251.170.900.970.901.571.040.530.560.961.090.900.79
2.282.332.322.312.372.412.381.781.841.741.621.531.461.543.244.565.358.0614.679.2812.7511.0410.442.021.981.821.781.311.140.930.930.971.041.061.020.860.800.750.710.700.680.660.580.530.410.440.390.330.190.190.190.200.190.180.180.330.34--0.350.340.360.40
-1.81-1.77-1.78-1.78-1.78-1.76-1.76-2.30-2.21-2.38-2.63-2.91-3.19-3.02-1.55-1.37-1.31-1.22-1.14-1.19-1.18-1.20-1.20-2.04-2.10-2.30-2.36-4.40-8.7013.4013.0630.59-26.82-18.31-55.626.053.903.022.482.332.161.931.401.140.710.790.630.490.240.230.230.250.240.210.210.500.510.490.490.540.520.600.71
33.6636.9336.9636.6235.9335.0534.6933.4733.1233.7133.8935.4335.4736.6036.1834.2333.8734.9533.3033.7930.9732.7631.8330.0428.8332.2831.3026.9826.4728.2627.5836.7124.4225.3525.7825.0423.6425.1724.73-23.7841.7539.7839.0728.0943.9844.5544.5237.1640.2841.5141.7154.7339.0039.8040.7340.7840.1341.2241.6740.8542.6542.0541.22
12.875.566.567.456.106.797.176.883.817.442.667.227.528.679.164.195.196.633.78-0.031.223.561.38-1.84-3.685.796.257.837.768.569.7211.697.908.7110.019.657.057.778.717.866.457.097.977.346.197.728.337.366.517.648.237.745.556.538.717.755.058.129.787.577.669.1610.80
12.875.566.567.456.106.797.176.883.817.442.667.227.528.679.164.195.196.633.78-0.031.223.561.38-1.84-3.685.796.257.837.768.569.7211.697.908.7110.019.657.057.778.717.866.457.097.977.346.197.728.337.366.517.648.237.745.556.538.717.755.058.129.787.577.669.1610.80
---------------------------------------------------------------
10.773.414.415.393.924.595.465.502.326.281.876.086.757.968.443.414.425.842.81-1.160.172.49-0.19-3.84-5.254.455.126.867.178.169.3211.507.498.329.669.346.744.398.437.616.206.897.837.206.147.628.527.236.417.378.317.655.346.478.347.734.597.729.424.927.178.6810.35
8.252.412.854.573.033.454.254.451.624.831.925.275.65-15.515.302.042.423.411.21-1.34-0.761.22-0.95-3.20-3.452.593.866.075.095.546.427.445.025.376.135.874.612.715.144.944.094.404.784.584.124.915.434.734.004.495.135.193.534.115.115.112.874.705.903.664.585.286.35
0.590.610.610.650.600.590.610.610.620.630.610.600.580.600.560.540.580.610.570.570.550.550.540.670.700.770.780.840.780.830.870.860.850.870.870.840.790.790.860.840.790.790.860.840.770.780.800.840.790.780.800.780.790.770.820.690.690.690.690.690.620.670.72
9.218.518.5110.028.898.919.278.468.049.109.209.769.8810.9411.8510.2110.909.219.1710.0411.0610.1010.3910.239.3510.7410.9311.1511.1912.6914.3311.0713.1214.0114.2914.4912.2112.5212.3519.236.617.198.8112.118.478.918.2510.419.089.4610.186.9010.8411.3410.639.7610.1510.7911.0610.368.479.6311.01
4.865.285.335.354.725.344.974.734.805.715.915.836.406.706.675.146.646.205.025.614.574.914.624.226.006.837.156.826.766.987.427.087.077.417.556.556.806.247.236.496.827.877.487.297.278.087.948.239.8411.5010.9510.8711.1211.0911.0311.3111.0512.2511.5112.3311.3812.1512.22
18.5117.0516.8816.8319.0816.8518.0919.0418.7615.7615.2215.4414.0613.4413.4917.5113.5614.5117.9416.0619.6918.3519.4721.3415.0013.1812.5913.1913.3112.9012.1412.7112.7312.1511.9113.7313.2314.4112.4513.8713.2011.4312.0412.3412.3811.1411.3410.949.147.828.228.288.098.128.167.968.147.357.827.307.917.407.36
-10.05-2.81-3.34-5.96-3.47-3.84-4.74-8.77-3.27-11.01-5.48-14.81-22.29-22.71-14.70-4.97-6.01-7.52-2.760.53-0.08-2.730.514.354.68-4.82-7.26-27.35-49.48110133350-194.94-139.52-492.6462.2730.9516.1025.9822.6516.3316.4316.2414.288.7810.7611.7710.146.627.148.367.995.475.817.657.774.416.968.805.856.518.4711.89
-8.49-2.40-2.85-5.09-2.98-3.29-4.13-6.95-2.58-8.45-4.08-10.09-14.01-14.67-10.99-3.82-4.65-5.91-2.210.42-0.06-2.160.403.403.58-3.60-5.38-15.02-17.09-39.56-47.27-45.27-23.07-23.06-30.02-70.17-102.01-256.0720413480.0467.3243.6533.5716.4420.1221.4717.9510.6511.1812.7512.458.448.7211.5412.447.2110.9913.819.8410.7214.7622.21
4.851.501.763.021.822.042.612.751.023.081.292.883.433.933.841.522.012.901.25-0.230.041.19-0.22-2.22-2.332.163.125.224.114.755.796.694.544.955.715.323.842.484.834.433.453.684.384.253.304.014.584.203.353.794.394.293.013.414.493.712.143.474.372.753.063.784.84
12.833.744.407.824.755.416.576.872.758.123.417.8610.3412.2432.9817.7226.1653.0937.68-4.390.9327.38-4.82-4.45-4.583.955.668.516.817.629.4411.077.558.069.028.846.324.007.476.795.165.606.766.675.146.007.226.825.345.806.816.424.424.786.305.192.926.968.803.814.315.397.19
-12.73-13.68-13.69-13.65-14.16-14.37-14.69-7.79-7.38-6.63-5.84-4.82-3.79-4.08-7.35-8.20-8.40-9.02-10.21-9.93-10.38-10.12-9.97-9.69-8.76-7.94-7.78-3.12-1.300.630.610.27-0.32-0.47-0.151.101.571.972.352.482.592.663.063.323.963.893.964.084.544.624.604.364.364.454.413.91---3.44---
1.701.280.365.823.872.871.193.302.161.270.705.235.273.691.915.705.112.691.041.951.581.010.442.863.332.281.093.703.142.091.274.003.252.120.884.263.001.940.992.942.051.300.622.291.691.060.662.182.001.350.902.001.731.030.521.751.190.850.481.861.470.970.58
1.760.44-0.033.622.321.810.651.100.790.410.423.294.153.071.704.614.382.260.860.760.710.450.161.562.361.610.822.261.961.270.862.522.211.480.623.292.341.530.811.771.140.670.361.140.820.490.371.291.441.040.771.421.320.790.421.160.740.530.311.261.090.700.48