Sonoco Products Financial Ratios for Analysis 2009-2024 | SON

Fifteen years of historical annual and quarterly financial ratios and margins for Sonoco Products (SON).

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
1.761.351.091.211.081.401.561.681.421.511.561.441.551.481.24
0.560.570.390.390.400.400.430.400.400.440.360.420.460.290.25
1.271.550.870.890.930.780.840.680.740.830.580.910.900.410.42
21.1719.8619.0019.9819.6819.3119.0319.7818.7218.1017.7217.4416.8218.6118.52
10.569.328.716.838.698.128.198.377.717.547.197.137.178.207.03
10.569.328.716.838.698.128.198.377.717.547.197.137.178.207.03
15.5813.5713.0911.8213.1412.5012.5112.6612.0011.5011.2511.2911.1712.3111.85
9.077.88-2.884.887.097.026.259.236.616.496.025.886.326.175.96
7.006.43-1.533.965.435.823.485.995.044.504.324.064.834.884.21
0.941.031.100.991.051.181.111.221.241.201.221.151.131.261.17
6.915.308.069.308.578.818.6010.2910.479.789.7710.379.479.0910.16
6.707.546.576.876.626.356.387.157.367.257.447.346.927.647.76
54.4548.4455.6053.1455.1457.5157.2451.0549.6150.3749.0349.7552.7547.8047.06
19.5722.53-4.4710.8516.1217.7610.2618.5216.3515.0812.3713.0015.3013.3611.24
-204.70-135.71-33.50104-15,141.7028311312117050558.171691,36037.4834.32
6.626.62-1.633.935.716.873.897.346.245.415.314.685.466.145.07
8.709.74-2.716.579.7310.635.8811.189.848.397.967.518.209.548.42
24.8321.2319.0019.0218.1217.7517.4015.6715.1914.9516.7014.9114.2215.0013.79
8.935.163.006.974.215.843.453.924.424.055.213.942.403.663.87
6.071.920.565.182.424.171.634.842.862.413.642.150.702.242.84

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
1.301.311.761.891.551.471.351.371.361.311.091.191.171.271.211.521.421.111.081.201.241.361.401.661.531.611.561.591.621.581.681.671.541.441.421.441.491.621.511.581.561.581.561.411.391.341.441.601.631.531.551.581.581.571.481.331.321.271.241.421.431.34
0.510.520.560.580.540.550.570.580.580.590.390.390.400.400.390.460.470.400.400.390.390.400.400.420.420.420.430.430.410.420.400.390.400.390.400.420.420.440.440.350.350.350.360.370.380.380.420.440.470.450.460.320.310.320.290.260.250.250.250.300.330.35
1.241.271.271.391.371.441.551.621.611.650.870.790.880.890.891.141.250.930.930.840.830.780.780.760.810.820.840.810.780.780.680.690.690.710.740.800.820.840.830.590.590.570.580.690.710.730.910.810.900.850.900.480.460.490.410.420.410.410.420.450.520.57
22.0120.6120.7621.3020.9521.6518.7319.4220.2320.9818.3218.2118.9920.5419.9619.5819.9120.4618.8619.6120.2519.9818.7619.0220.2319.2218.8119.0919.2119.0219.5819.4720.0720.0018.8918.4619.2518.2718.7417.6218.3517.6317.0418.2518.1517.4516.6217.2518.0117.8916.3616.6116.9417.3817.7118.9819.0618.8019.3518.6018.3217.59
8.656.878.279.5311.0213.287.579.6310.329.557.288.949.788.891.258.138.339.986.2610.239.548.656.947.449.658.446.959.308.487.998.898.677.648.306.316.407.9310.296.788.407.927.066.168.177.516.906.588.067.376.505.837.547.298.027.748.078.958.097.588.046.635.58
8.656.878.279.5311.0213.287.579.6310.329.557.288.949.788.891.258.138.339.986.2610.239.548.656.947.449.658.446.959.308.487.998.898.677.648.306.316.407.9310.296.788.407.927.066.168.177.516.906.588.067.376.505.837.547.298.027.748.078.958.097.588.046.635.58
--------------------------------------------------------------
7.144.986.279.758.9211.185.668.219.028.396.027.90-32.887.04-0.666.156.228.174.628.617.967.065.776.388.517.445.568.044.676.6515.967.646.527.185.205.296.849.195.747.386.876.005.047.006.335.695.386.826.105.234.706.806.577.242.577.278.107.196.647.035.474.38
5.593.984.977.646.728.575.806.476.886.514.537.85-24.165.34-0.856.364.436.173.436.805.975.455.735.316.545.680.445.503.484.589.185.414.674.894.423.535.167.113.725.314.764.243.704.994.484.083.504.924.273.552.616.874.745.143.065.615.845.194.705.123.892.89
0.230.230.230.240.240.250.240.270.270.250.280.290.280.260.260.230.220.260.260.270.270.270.300.290.300.280.290.290.290.280.290.300.300.300.320.300.300.290.310.310.310.300.310.300.310.300.290.290.300.300.280.340.330.330.340.320.320.300.330.300.280.27
1.731.741.681.631.431.251.241.501.571.612.092.182.222.272.442.371.902.072.112.192.122.102.232.372.312.292.222.272.282.212.462.592.422.442.672.552.412.442.552.582.402.372.492.562.572.462.622.502.422.422.392.392.382.342.512.412.552.422.802.582.372.09
1.521.571.621.611.691.741.741.741.701.591.691.661.671.601.811.671.561.561.611.541.541.551.601.571.591.541.641.651.641.661.711.681.691.711.881.711.741.661.901.701.681.661.881.701.751.751.831.681.761.741.741.801.761.802.091.821.881.812.161.931.931.88
59.3157.2755.6556.0353.3251.6651.6751.7152.8956.4753.2554.0953.8956.1249.8653.9357.6257.7655.8358.4658.6057.9456.3957.2856.6058.4854.7254.5454.9554.2252.7153.4853.4152.6747.9352.6251.7254.1347.3252.9553.5854.2847.8453.0851.2951.3849.0753.5251.0051.6951.8049.8850.9950.0743.1249.3947.8149.8241.6646.7246.6047.78
3.722.693.365.604.996.724.686.336.806.023.666.00-18.343.78-0.594.433.044.572.504.984.394.104.363.975.014.170.354.172.603.386.754.153.603.803.672.934.195.713.263.913.392.892.753.853.593.152.803.843.502.902.074.993.353.712.303.954.163.473.413.902.652.02
-69.13-33.19-35.20-44.16-148.24-77.32-28.22-29.41-28.95-21.9627.4143.67-172.4326.02-5.6660.50239-273.49-2,345.2856.0037.9248.1769.6435.2258.9733.783.8641.7418.9930.4744.2022.3429.1731.6038.2345.2555.4793.4110916.0214.0712.3012.9125.6130.6732.6236.3441.9572.3959.6718412.978.6610.036.4611.1311.5610.1310.4113.039.928.54
1.270.911.141.801.632.101.381.761.891.661.332.27-6.691.37-0.211.440.961.600.881.851.641.491.691.561.941.610.131.611.021.302.681.631.431.491.401.071.542.071.171.691.471.261.181.501.391.211.011.461.281.060.742.301.581.701.061.791.881.551.541.631.090.80
1.821.291.502.362.293.012.032.632.832.492.223.65-11.082.28-0.362.371.602.731.513.042.672.472.612.322.932.430.202.401.521.954.082.522.182.312.211.712.423.171.812.532.201.871.772.422.221.941.622.151.871.591.113.412.322.511.652.943.122.602.552.731.771.31
24.8524.7124.8323.8823.4722.5221.2319.8419.8619.6819.0018.9218.4419.0119.0218.7418.0217.5018.1218.5318.5218.0017.7518.3917.9818.0417.4017.6916.9216.1915.6715.9115.7115.7415.1914.8515.2914.8614.9517.1317.2717.0416.7015.7015.1315.0214.9115.2514.5614.7114.2215.4816.0415.5815.0014.9014.1013.9613.7913.1912.4411.76
2.781.688.936.243.530.995.163.261.870.013.002.211.021.376.974.832.790.874.212.360.400.915.844.472.491.193.452.791.020.673.923.431.830.654.423.111.690.594.052.591.020.445.214.072.371.333.942.851.370.952.401.290.31-0.133.662.541.130.723.873.541.800.75
0.970.816.074.402.620.871.920.920.41-0.670.560.740.090.985.183.762.080.562.420.94-0.600.504.173.361.670.831.631.390.060.184.842.100.890.132.862.041.150.492.411.340.220.103.642.771.490.792.151.510.410.530.700.07-0.47-0.512.241.550.550.442.842.721.240.41