Sysco Financial Ratios for Analysis 2009-2024 | SYY

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

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
1.201.241.201.471.841.331.211.322.271.221.531.701.781.601.691.69
0.860.840.880.870.920.760.750.760.680.300.310.340.370.330.390.42
6.445.187.707.1412.473.263.323.442.141.390.520.560.640.570.650.72
18.5318.2817.9518.2418.7218.9818.8819.0717.9517.5717.5918.0118.3618.8019.3019.09
4.063.983.422.821.423.883.943.713.672.533.413.734.464.915.315.08
4.063.983.422.821.423.883.943.713.672.533.413.734.464.915.315.08
5.355.174.734.533.575.185.295.405.083.724.614.895.445.946.356.12
3.252.992.551.140.553.343.333.192.852.073.173.484.214.654.974.81
2.482.321.981.020.412.792.442.061.891.412.002.232.652.933.172.87
3.163.343.112.402.343.353.253.123.012.713.543.503.493.453.613.63
13.7313.9212.6911.3513.8915.1415.2414.9615.6614.9114.7315.2015.8815.4016.9718.06
14.7514.9714.0813.5317.6214.3114.1913.7414.9014.5213.6913.9514.2913.5714.2314.93
24.7524.3825.9226.9720.7125.5125.7226.5624.5025.1426.6726.1625.5526.9025.6524.45
10588.1098.3233.7618.6066.9057.0747.9727.2913.0617.6919.1223.9424.4830.8330.61
-43.63-50.61-33.04-16.71-6.42-74.38-58.92-44.4282.5421.8329.6831.9938.6038.8954.3458.09
7.857.766.152.450.959.327.926.435.683.827.097.839.2410.1211.4410.41
14.6214.3211.874.321.5315.7614.2411.388.789.1212.2212.6715.0616.4918.7317.85
3.783.982.723.032.284.884.824.496.228.858.998.868.007.956.505.85
5.945.633.483.713.154.614.074.073.442.612.532.552.381.851.492.65
4.444.152.302.911.803.322.822.862.571.741.691.711.070.810.531.91

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.261.201.341.371.291.241.211.241.201.201.241.331.381.471.651.791.731.841.491.251.391.331.301.251.301.211.441.381.401.321.451.591.522.271.691.751.771.222.652.671.571.531.741.801.721.701.741.771.761.781.601.731.591.601.731.791.681.691.781.851.761.691.68
0.840.860.850.830.830.840.870.880.900.880.890.900.860.870.890.900.910.920.830.760.780.760.780.790.750.750.790.790.790.760.780.770.720.680.520.520.360.300.580.570.330.310.360.360.360.340.330.360.360.370.330.360.340.330.390.400.380.390.380.390.400.420.43
5.606.445.815.045.125.186.977.699.707.708.419.086.667.149.109.7010.5812.475.353.523.543.263.674.073.303.323.883.904.013.443.683.372.602.141.101.110.581.391.441.420.570.520.590.570.600.560.540.630.620.640.590.610.560.570.640.670.630.650.610.630.670.720.74
18.3218.6718.6218.2218.5918.6818.1818.0118.2418.1717.8317.7218.0618.0717.9518.1518.8517.6618.7218.8219.2319.2518.7918.7719.0819.0418.6518.7319.0719.1418.7419.1119.2718.3417.8517.7517.8117.9017.5217.2517.5917.5517.6917.4817.6317.8617.7818.0818.3119.1417.8218.0218.4018.7518.7718.7718.9319.9318.8219.1119.2419.4018.73
3.944.753.733.634.104.893.693.453.854.082.932.733.843.592.001.833.56-6.000.443.684.374.663.613.064.134.473.363.674.233.883.223.664.064.013.153.563.930.982.792.613.743.462.953.134.083.963.093.544.324.674.184.174.815.384.384.665.195.644.835.215.485.954.64
3.944.753.733.634.104.893.693.453.854.082.932.733.843.592.001.833.56-6.000.443.684.374.663.613.064.134.473.363.674.233.883.223.664.064.013.153.563.930.982.792.613.743.462.953.134.083.963.093.544.324.674.184.174.815.384.384.665.195.644.835.215.485.954.64
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3.133.912.862.833.384.852.940.963.113.392.281.303.080.880.870.702.20-8.30-0.213.173.804.412.942.403.543.872.543.133.733.352.663.143.582.432.723.233.040.552.271.953.513.262.632.903.863.782.803.264.064.433.933.934.535.134.154.374.895.304.514.875.135.624.36
2.392.982.192.152.563.722.280.762.432.691.791.032.300.940.750.581.84-6.97-0.022.552.973.463.001.812.832.932.301.972.512.121.762.042.321.581.812.241.950.591.511.312.242.071.601.882.442.441.842.052.592.802.472.442.863.232.652.753.073.262.773.033.593.472.59
0.790.830.780.780.840.860.830.840.860.860.760.760.740.750.540.510.520.390.670.780.810.860.810.810.820.850.770.790.800.810.750.760.780.820.900.930.940.690.650.670.920.940.860.860.900.920.860.870.880.910.880.890.920.920.890.910.921.000.860.870.880.900.86
3.353.573.333.343.443.583.343.273.343.503.153.263.333.583.013.053.052.363.013.483.653.893.563.623.673.973.583.693.733.893.733.593.734.223.653.653.633.783.663.583.603.893.673.703.803.983.723.633.824.103.843.794.044.093.873.884.224.684.154.014.204.444.15
3.533.853.483.643.673.873.613.773.583.893.503.783.824.263.673.993.782.953.723.433.473.683.353.543.553.703.323.653.383.583.083.373.334.043.423.623.563.703.363.423.413.623.213.423.423.643.223.413.473.723.403.553.463.603.343.583.463.953.403.513.533.683.43
25.4823.4125.8324.7224.5223.2624.9223.8825.1123.1425.6923.8323.5721.1424.5222.5823.8130.4724.2126.2625.9224.4426.8825.4225.3324.3127.1224.6926.6225.1529.1926.6827.0122.3026.3124.8325.3024.3426.7926.2826.3724.9028.0226.3526.3024.6927.9826.4125.9224.1726.5125.3326.0225.0226.9825.1625.9822.7626.5025.6425.5224.4526.26
22.2032.9120.2117.2723.6636.5227.279.8341.7436.9122.9513.7122.599.736.374.7216.68-53.38-0.1615.1718.4921.4118.6312.3416.3417.9114.0412.5216.4512.8110.2211.1110.726.205.476.914.611.393.332.965.244.833.463.985.495.453.914.525.866.605.325.346.507.156.146.467.518.836.156.838.789.146.79
-11.63-13.66-9.98-10.32-14.50-20.98-10.95-3.49-11.02-12.41-6.85-4.08-10.34-4.82-2.69-2.04-6.6318.440.13-16.30-20.24-23.80-17.96-10.25-19.22-18.49-11.91-10.19-13.19-11.86-9.44-11.79-16.2018.7512.8015.137.752.325.494.928.828.105.816.609.249.136.307.529.4210.648.378.4710.3511.3510.3011.1613.0515.5610.5211.8715.7717.3512.30
1.892.461.721.682.163.211.890.642.102.311.360.781.710.710.400.300.95-2.73-0.021.982.392.982.421.472.322.481.771.562.001.721.331.561.801.291.632.081.830.410.990.882.051.931.381.622.192.231.591.782.292.552.182.182.642.952.362.502.813.282.382.633.153.112.23
3.484.582.992.883.925.943.631.204.094.462.541.423.071.240.680.481.58-4.40-0.033.614.095.044.192.624.084.472.952.693.453.042.302.552.981.992.633.322.940.971.411.263.513.332.202.563.543.612.612.873.744.153.563.414.304.813.763.884.625.363.814.195.285.333.90
4.493.784.214.774.223.983.112.832.202.722.602.413.273.032.732.802.552.284.004.974.814.884.604.225.074.824.524.354.284.494.354.585.506.227.036.968.908.858.959.049.068.998.969.088.958.868.698.378.338.008.338.037.927.957.226.876.796.506.816.646.285.855.65
0.115.942.741.690.175.632.800.990.313.481.460.730.213.712.881.831.823.152.101.460.334.612.631.750.514.072.121.770.164.071.991.160.453.441.730.82-0.442.611.440.760.112.531.440.780.292.551.280.660.362.381.550.920.431.851.140.480.381.490.800.250.072.651.67
0.024.441.721.04-0.144.151.920.430.032.300.850.390.062.912.431.541.691.800.950.720.003.321.921.340.322.821.451.29-0.102.861.260.660.212.571.120.41-0.631.740.730.26-0.091.690.820.360.071.710.670.220.101.070.480.190.050.810.39-0.050.140.530.07-0.17-0.111.911.14