Sunoco LP Financial Ratios for Analysis 2009-2024 | SUN

Fifteen years of historical annual and quarterly financial ratios and margins for Sunoco LP (SUN).

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
1.401.411.341.301.241.053.741.201.661.721.131.151.39-0.85
0.790.790.800.830.800.790.660.670.270.220.700.700.01-0.40
3.663.794.014.924.053.811.912.060.370.292.342.360.01-0.66
5.925.367.679.867.336.609.4511.587.885.881.581.191.111.354.83
2.752.644.263.892.802.031.951.452.030.610.910.540.440.550.66
2.752.644.263.892.802.031.951.452.030.610.910.540.440.550.66
3.603.415.305.723.943.143.523.323.271.511.110.710.590.730.66
1.861.953.152.201.780.540.17-0.161.490.460.830.520.430.54-2.01
1.351.542.531.261.42-1.680.30-4.070.700.460.820.210.270.34-1.11
3.383.773.032.033.053.481.411.151.411.7611.5212.1516.75-2.50
24.4129.6630.4225.2736.7142.4424.9220.8724.5223.163981,432546-44.51
26.3328.4332.7135.0040.3841.3516.8418.4239.3441.3537.7946.6928.02-11.18
13.8612.8411.1610.439.048.8321.6719.819.288.839.667.8213.03-32.65
40.2950.4264.6133.5441.297.4016.742.552.96-0.7846.4622.439.15--4.30
-33.82-38.09-40.34-13.95-21.69-3.91665-43.4117.49-2.7410941.5714.75--7.63
5.776.959.014.035.761.193.910.641.76-0.499.494.944.58--2.00
8.6410.5312.915.678.201.544.990.842.16-0.6113.966.689.07--4.59
9.709.388.106.347.637.9119.3622.3753.491103.633.58---
7.056.626.436.005.215.273.044.988.6717.154.610.750.000.000.00
4.894.804.774.673.794.492.113.804.356.17-5.70-1.08---

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302010-12-31
1.261.651.401.681.531.481.411.411.451.881.341.251.391.331.301.041.071.201.241.211.241.321.051.231.070.903.744.024.631.301.201.231.181.781.171.411.501.261.721.161.211.441.131.131.061.071.154.37-----
0.630.770.790.760.790.780.790.780.780.800.800.790.800.810.830.820.830.850.800.800.790.790.790.750.740.710.660.660.670.640.670.610.590.580.670.500.580.430.220.240.750.750.700.700.700.700.700.73-----
1.703.393.663.233.673.473.793.453.613.904.013.663.904.404.924.684.965.814.054.033.853.753.812.942.852.451.911.962.081.772.061.601.471.362.060.991.390.770.290.312.982.932.342.312.332.352.362.65-----
9.158.802.648.345.476.994.585.054.417.966.846.428.0410.1111.0510.9817.213.306.956.746.0110.025.116.996.737.509.3610.318.969.129.558.8610.6915.5773.4810.6910.6415.899.173.051.611.821.801.581.511.431.391.161.310.92-1.16-
2.435.40-0.765.352.453.711.622.272.214.793.553.204.925.885.645.2410.00-2.512.392.702.174.12-0.983.342.782.562.204.18-0.691.99-4.202.494.902.876.971.902.412.861.03-0.550.830.960.970.910.940.820.880.490.540.25-0.50-
2.435.40-0.765.352.453.711.622.272.214.793.553.204.925.885.645.2410.00-2.512.392.702.174.12-0.983.342.782.562.204.18-0.691.99-4.202.494.902.876.971.902.412.861.03-0.550.830.960.970.910.940.820.880.490.540.25-0.50-
-----------------------------------------------------
10.534.31-1.724.481.672.760.861.551.654.052.202.393.964.523.563.747.93-3.821.391.661.342.90-1.992.602.00-1.250.642.51-2.56-0.07-5.900.322.832.005.661.322.001.990.89-0.730.710.830.870.830.870.760.840.480.530.25-0.50-
7.993.51-2.613.971.512.240.610.961.313.631.641.763.353.861.722.896.63-3.911.541.090.802.41-2.842.351.06-8.966.833.49-8.71-0.78-23.462.083.391.944.570.560.681.930.520.040.700.830.850.820.860.750.300.050.340.16-0.32-
0.430.740.830.860.850.820.871.001.130.820.850.860.790.650.480.550.410.660.750.790.820.680.790.920.920.760.350.370.350.330.290.240.240.36-0.090.791.431.450.912.053.002.682.863.032.902.832.963.61-----
5.395.266.186.375.836.496.888.079.877.068.649.078.287.265.957.646.0817.389.109.5710.268.479.849.449.427.996.307.657.404.985.334.043.827.85-0.3812.5012.6451.3311.4995.7034.7433.3698.4074.2149.3544.77348387-----
5.875.986.445.4710.379.096.548.918.507.329.218.708.758.248.3410.877.5418.919.979.547.787.509.436.266.666.144.255.185.306.174.605.505.4010.03-1.5114.3019.7132.4021.2722.8110.937.709.3711.7212.2511.0311.3729.06-----
15.3215.0413.9816.458.689.9013.7610.1010.5812.309.7710.3410.2910.9210.798.2811.944.769.039.4311.5611.999.5414.3913.5214.6721.1717.3616.9914.5819.5616.3816.658.97-59.646.294.572.784.233.958.2411.699.607.687.358.167.913.10-----
11.5720.52-10.8423.058.7114.105.848.4912.3522.8812.3313.0021.3122.0613.1315.7525.40-23.4410.958.667.0613.47-9.1812.0610.26-8.3711.406.59-1.610.56-4.371.181.992.01-1.561.407.635.46-0.76-2.3212.1112.6811.9511.9812.4310.6310.955.27-----
23.52-26.659.10-27.95-7.47-11.98-4.41-6.89-9.91-18.72-7.70-7.92-12.34-10.69-5.46-6.57-10.107.80-5.75-4.52-3.77-7.544.86-9.16-7.766.7645337.00-10.25-0.8174.43-1.92-3.63-4.782.04-11.55-233.8960.57-2.65-67.0829.8831.5627.9327.1722.5419.5920.2911.14-----
3.463.11-1.553.691.282.150.811.261.753.271.721.863.002.861.581.953.07-2.571.531.201.012.01-1.482.211.88-1.592.661.46-0.350.14-1.100.370.650.70-0.390.562.612.80-0.47-1.592.092.232.442.492.512.142.411.18-----
4.314.68-2.335.441.873.151.221.912.684.672.462.794.354.102.222.784.28-3.452.171.731.462.84-1.913.072.67-2.433.401.92-0.450.18-1.430.450.810.85-0.510.713.203.11-0.59-1.783.053.233.593.633.733.173.261.44-----
31.8411.1211.6411.749.949.959.389.769.789.438.108.027.817.006.346.386.215.497.637.687.868.167.919.559.269.4219.3618.4218.1320.9622.3725.1225.5927.5919.1633.3534.2332.4211040.413.613.643.633.653.563.543.583.14-----
1.833.357.054.894.903.846.627.543.980.276.436.063.261.816.005.523.050.465.213.512.200.445.273.313.074.873.043.280.19-0.144.981.800.631.868.677.994.861.8517.153.971.07-3.114.614.463.421.560.752.360.000.000.000.000.00
0.912.904.893.634.133.444.806.613.460.014.775.292.861.664.674.632.38-0.013.792.631.780.204.492.882.724.702.112.57-0.17-0.383.801.400.420.784.350.43-2.960.786.17-5.93-4.75-5.68-5.70-4.66-1.78-0.95-1.081.63-----