Southern Copper Financial Ratios for Analysis 2009-2024 | SCCO

Fifteen years of historical annual and quarterly financial ratios and margins for Southern Copper (SCCO).

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
3.194.202.733.482.832.612.712.572.702.074.365.023.113.282.97
0.460.430.430.470.490.470.490.500.530.410.430.470.400.410.25
0.840.770.800.901.010.900.971.011.120.720.760.880.680.710.33
52.6353.7364.3850.7850.5051.9651.1243.6041.9850.9251.7758.4859.4858.6650.04
42.3644.1555.4739.0837.7940.6039.3629.0828.0338.5842.5446.6253.1750.5739.77
42.3644.1555.4739.0837.7940.6039.3629.0828.0338.5842.5446.6253.1750.5739.77
50.7952.0762.8448.8048.2850.1049.4441.1038.1546.2749.1951.5057.3956.0447.10
39.9742.2852.1034.3933.3136.4934.6023.3523.5735.7439.8644.5950.5847.2037.61
24.5126.2631.0719.6720.3921.7410.9514.4314.5923.0327.1929.0134.2630.1824.89
0.590.580.600.470.440.500.480.410.400.510.540.640.850.630.62
4.614.594.004.143.383.303.123.003.423.404.143.984.343.944.09
8.066.827.567.037.997.306.828.059.159.319.968.877.726.888.57
45.3153.5448.2951.9645.6850.0253.5645.3639.8739.2236.6541.1547.3053.0242.58
32.5432.5041.5621.6921.7523.4111.9113.2713.9922.9229.2040.5458.0839.9624.00
33.1233.0542.2722.1222.2323.9512.2113.6214.4123.4229.7941.4859.7241.1524.73
14.5615.3318.649.319.0910.845.315.885.8811.7414.7718.7029.0819.2315.43
17.7318.3923.6011.4211.1312.316.056.596.5913.6316.6321.5934.6223.4618.10
9.5810.4310.519.318.788.477.877.526.767.116.595.614.754.554.49
4.573.595.503.562.452.862.531.181.101.622.182.342.412.211.12
3.282.374.352.811.541.431.22-0.25-0.34-0.210.181.131.711.750.65

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
2.772.813.313.193.704.504.174.203.343.293.342.733.293.803.663.483.734.332.982.832.922.242.832.612.713.152.812.713.013.302.802.572.732.952.502.703.483.801.912.072.413.233.974.365.075.834.735.024.794.053.563.114.184.693.453.284.825.683.422.973.402.912.44
0.390.400.450.460.440.440.430.430.450.450.430.430.450.450.460.470.480.490.490.490.490.450.470.470.470.480.480.490.470.480.490.500.510.520.520.530.520.500.410.410.410.400.420.430.440.450.450.470.290.370.380.400.400.410.410.410.410.420.250.250.260.270.28
0.700.730.820.840.800.790.760.770.860.850.800.800.800.820.860.900.930.951.031.011.010.880.890.900.900.910.930.970.900.940.971.011.041.061.101.121.071.050.750.720.720.700.730.760.780.810.830.880.420.600.610.680.670.680.700.710.710.720.330.330.350.370.39
58.2759.9555.4749.0353.0850.1257.2657.2147.2445.9661.7363.2565.4065.9862.7355.4055.4345.3044.4246.7051.2552.2951.8649.4452.2053.6452.3955.8753.3947.3946.7348.2240.6443.7041.6330.6540.8348.8846.6749.5350.5351.1552.6149.5852.0949.5755.4757.0856.7959.7660.0260.8861.2161.3754.0064.2656.2154.7058.1052.3853.9949.1239.64
49.4851.5445.7637.8442.6739.1548.4548.5836.5035.0553.1954.2056.2457.8353.3745.3644.3332.3331.0134.0738.3939.2539.5636.8040.4242.8742.0044.5241.3134.3836.0133.6325.8728.8427.8114.9525.3136.3834.2735.7137.1040.1541.5639.6242.1540.1647.6949.2228.8452.7553.8754.0355.1155.4447.6156.8547.9346.0649.9246.5744.1736.7723.17
49.4851.5445.7637.8442.6739.1548.4548.5836.5035.0553.1954.2056.2457.8353.3745.3644.3332.3331.0134.0738.3939.2539.5636.8040.4242.8742.0044.5241.3134.3836.0133.6325.8728.8427.8114.9525.3136.3834.2735.7137.1040.1541.5639.6242.1540.1647.6949.2228.8452.7553.8754.0355.1155.4447.6156.8547.9346.0649.9246.5744.1736.7723.17
---------------------------------------------------------------
48.6849.0844.4534.3140.6136.8546.6348.5134.7531.7150.6150.7352.9154.5050.0241.5639.6227.3625.4127.8133.8236.1435.6531.9836.2239.1238.2639.8836.7829.8930.6425.8421.4724.0421.928.6119.4732.5732.1733.4633.5837.5338.5936.9039.1238.0744.8445.7327.4151.4152.0350.9752.5653.4044.8353.7843.4041.7848.2644.7041.8434.8620.46
30.5930.4728.3119.3824.7223.8029.1132.0024.0618.7428.3929.5032.3632.2030.1625.1023.7714.5312.4916.4820.9522.1322.1417.3121.4322.2925.57-15.4223.9719.5919.8512.2914.1116.6214.874.858.6821.3122.1523.6621.9922.6723.8826.4624.8626.4330.5232.2114.0333.9534.4132.1737.9836.5329.8632.8429.0326.7131.4331.9827.1321.2212.65
0.160.180.150.140.150.140.160.160.130.130.150.150.150.160.150.140.130.110.110.110.110.120.110.120.120.130.130.140.120.110.120.110.110.100.100.100.090.100.110.130.130.130.120.140.130.130.150.160.140.200.210.210.220.230.200.180.170.160.200.190.200.150.12
1.231.231.141.151.211.161.221.191.081.161.031.071.021.101.071.100.971.000.890.930.850.810.820.830.820.850.830.790.780.830.860.720.850.770.781.020.830.860.810.890.970.960.861.120.941.041.041.021.041.071.191.031.091.141.170.991.281.191.091.191.270.920.84
1.841.831.861.872.071.992.111.911.872.012.201.951.701.921.912.072.051.902.182.032.021.941.691.741.831.911.821.911.722.062.062.092.112.371.992.282.192.382.162.372.462.292.232.572.382.472.412.200.542.022.191.892.162.052.382.002.872.792.452.612.472.462.61
48.8149.1848.2948.1643.5045.2742.7447.0348.1844.7340.8746.1153.0446.8147.0743.5243.8347.2741.3344.2544.4646.3253.1551.6549.2447.1949.3647.1452.4443.7243.7443.0142.6838.0145.3139.5441.0337.8641.7638.0436.5239.2840.3935.0537.8836.4437.2840.9916644.4941.0947.6441.6443.9637.8544.9131.3632.3036.7034.5136.4736.5734.53
10.0111.149.715.987.976.909.9611.116.835.659.5810.1910.6911.7410.128.147.193.803.204.485.705.965.824.455.596.267.39-4.656.084.755.152.943.463.983.431.171.795.075.005.985.545.665.667.336.397.169.7811.133.3212.3513.8713.3516.1016.4212.1212.669.438.209.859.388.565.112.40
10.1511.319.886.088.107.0210.1311.306.955.759.7510.3710.8711.9610.318.317.343.883.274.585.826.095.954.565.726.417.57-4.776.214.865.283.023.554.093.541.211.865.185.106.115.655.775.777.476.527.319.9911.393.3812.6614.2213.7316.5516.8912.4713.039.718.4510.149.668.835.292.48
4.895.374.402.673.673.244.715.243.052.544.404.574.815.294.463.503.131.651.331.872.372.642.502.062.592.933.36-2.082.882.222.331.301.521.741.450.490.772.222.523.062.822.942.883.713.163.514.615.142.026.757.346.698.318.475.916.094.824.236.426.035.543.231.48
6.106.665.333.264.423.875.656.293.753.125.445.795.936.455.434.293.731.951.632.292.923.273.082.342.943.283.82-2.363.202.452.611.461.701.931.630.550.862.512.933.563.303.393.274.173.593.975.355.932.357.748.627.969.689.767.167.435.524.787.437.076.353.731.73
11.4410.969.749.6810.0010.1910.4810.439.779.8410.5210.5110.4410.219.709.319.058.798.668.788.808.698.578.478.498.418.187.878.498.117.847.527.347.156.926.767.007.257.037.117.117.116.816.596.376.145.955.617.735.345.244.754.814.664.564.554.494.434.514.494.233.973.81
3.912.080.844.573.922.561.523.592.201.451.055.503.922.361.003.562.161.150.612.451.751.010.482.862.291.350.832.531.641.080.631.180.810.420.081.101.020.690.281.621.330.810.412.181.601.050.702.342.101.280.842.411.850.830.592.211.580.960.351.120.34-0.10-0.22
2.901.380.573.282.951.931.212.371.360.900.794.353.031.780.702.811.710.870.481.541.070.550.251.431.230.650.451.220.730.440.31-0.25-0.26-0.30-0.20-0.34-0.030.04-0.03-0.210.02-0.010.010.180.200.230.331.131.320.810.631.711.470.630.511.751.260.770.270.65-0.02-0.33-0.30