CVR Partners, LP Financial Ratios for Analysis 2009-2024 | UAN

Fifteen years of historical annual and quarterly financial ratios and margins for CVR Partners, LP (UAN).

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
2.202.111.621.551.651.582.102.133.803.264.963.366.401.59-
0.640.570.640.670.600.560.530.500.240.230.220.220.20--
1.811.331.782.021.511.261.141.000.320.300.280.280.26--
45.8152.0044.2228.8433.7629.4227.0831.5240.7942.7852.9953.1357.4132.9539.24
29.5538.2925.25-9.976.771.80-3.116.8923.7727.7238.5738.2944.9711.2823.45
29.5538.2925.25-9.976.771.80-3.116.8923.7727.7238.5738.2944.9711.2823.45
41.3648.2139.5724.6427.4323.1320.1824.0833.9437.1746.7745.4751.4321.5132.42
25.3534.3414.69-28.05-8.66-14.26-21.94-7.4721.4625.4936.6837.1443.7418.4727.78
25.3034.3214.67-28.06-8.65-14.25-22.00-7.5621.4525.5036.6537.1243.7318.4627.78
0.700.760.470.340.360.280.270.270.540.520.550.490.460.40-
5.345.175.685.885.543.904.544.194.564.804.604.895.556.10-
16.279.246.039.4811.805.6933.5725.5940.2441.8542.8844.4232.4935.84-
22.4439.5160.5538.4830.9464.1110.8714.269.078.728.518.2211.2310.19-
56.9369.6422.84-31.24-8.34-10.01-13.24-4.3116.0918.4026.9625.1527.068.28-
56.9369.6422.84-31.24-9.24-10.90-14.30-4.6118.0120.4229.7327.7029.539.22-
17.6826.066.93-9.51-3.07-3.99-5.90-2.0511.5713.1619.9918.0120.097.37-
20.2829.928.20-10.35-3.32-4.43-6.19-2.1612.1614.1321.0019.6521.558.28-
28.6538.9632.0429.3537.0444.1248.5455.1652.7256.6160.1761.0767.02133-
23.0428.4617.661.763.462.850.924.3510.7216.2517.6218.2419.140.000.00
20.7524.2515.760.111.821.11-0.372.108.4113.3911.657.0216.52--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
2.153.092.292.201.802.762.392.111.312.961.471.621.701.931.331.551.692.191.441.651.892.741.541.581.671.991.752.102.022.931.882.132.272.814.773.800.510.784.253.264.024.183.814.964.574.883.123.363.706.494.956.405.118.602.031.59----
0.660.640.650.640.640.610.580.570.620.540.600.640.670.680.690.670.650.640.610.600.580.560.570.560.560.550.540.530.520.510.500.500.490.480.250.24--0.230.230.230.230.230.220.220.210.210.220.210.210.210.200.200.21------
1.911.801.841.811.771.551.361.331.631.191.491.782.002.172.202.021.881.771.591.511.401.281.311.261.251.221.181.141.081.031.021.000.980.930.330.320.340.310.300.300.310.300.290.280.290.270.270.280.270.260.260.260.260.26------
34.4945.0836.5631.8331.4951.2858.4061.0911.6963.2259.3753.1848.6142.499.9825.0624.1541.0521.2720.5421.9147.9736.2733.6431.2728.5323.4418.2713.9038.7732.4427.7633.2624.7145.1850.293.3449.8046.0750.1137.7539.9742.8549.8546.9254.9859.2139.8756.8659.1754.7359.4959.8760.3246.8217.2539.6541.0529.08-
8.7825.2515.7112.146.2336.4648.3348.06-7.6351.6146.6338.0332.0121.96-22.99-1.16-3.91-24.50-6.62-10.56-8.4925.0910.278.153.16-0.85-4.28-15.20-22.9612.466.27-1.393.043.0926.8930.84-23.9435.5333.8235.6021.6024.3528.7635.2230.8141.7245.2123.5843.1244.2740.1548.5948.5948.7729.22-24.5822.7529.297.75-
8.7825.2515.7112.146.2336.4648.3348.06-7.6351.6146.6338.0332.0121.96-22.99-1.16-3.91-24.50-6.62-10.56-8.4925.0910.278.153.16-0.85-4.28-15.20-22.9612.466.27-1.393.043.0926.8930.84-23.9435.5333.8235.6021.6024.3528.7635.2230.8141.7245.2123.5843.1244.2740.1548.5948.5948.7729.22-24.5822.7529.297.75-
------------------------------------------------------------
3.0419.739.837.190.5832.7145.0444.82-12.6448.2442.1432.5724.215.09-41.64-18.71-23.82-39.59-27.61-28.83-25.9213.79-6.74-1.44-16.44-17.64-23.90-34.72-45.59-3.54-12.09-17.07-16.85-14.1324.6928.37-27.3133.4232.0133.3219.0822.1926.7233.2528.4739.9143.6822.6742.0943.1338.6647.0547.0247.3729.18-15.7029.1835.4115.75-
3.0419.739.857.040.5632.7145.0244.94-12.6648.1942.0232.5524.215.09-41.67-18.70-23.84-39.60-27.62-28.91-25.9413.78-6.62-1.40-16.45-17.66-23.86-35.05-45.54-3.52-12.11-17.13-17.11-14.2024.6828.38-27.3233.4332.0033.4019.0622.1826.7133.1528.4839.8943.6722.6942.0743.0938.6447.0447.0047.3729.17-15.6829.1735.4015.68-
0.130.140.130.150.130.180.200.190.140.220.200.170.140.140.060.090.080.100.070.080.080.120.070.080.070.080.060.060.050.080.060.060.060.090.140.120.090.140.160.130.120.130.140.140.120.140.120.110.110.130.120.130.110.130.120.09----
1.090.911.121.401.211.131.091.072.121.051.391.691.261.580.961.601.311.331.071.421.221.280.811.020.971.351.061.201.040.960.901.050.921.701.230.871.301.141.481.041.261.501.371.281.121.221.031.401.091.471.631.531.201.411.471.65----
3.482.763.423.383.615.394.292.352.876.785.112.144.393.963.932.454.286.985.052.515.945.995.431.593.893.385.347.935.626.785.646.106.177.468.069.186.277.779.4910.439.989.757.5611.168.8417.907.139.939.4517.3413.789.4010.1613.747.757.83----
25.8832.5826.2826.6224.9316.6820.9838.3631.3413.2817.6042.0920.4822.7322.8936.7721.0512.9017.8235.8315.1515.0216.5856.5623.1626.6316.8511.3416.0113.2815.9414.7614.5812.0611.169.8014.3511.589.498.639.029.2311.908.0710.185.0312.629.069.525.196.539.588.866.5511.6211.50----
1.328.644.233.290.2416.9925.3023.16-5.9125.5025.4917.9711.232.38-8.80-5.37-5.64-11.68-5.20-5.93-5.083.86-1.27-0.27-2.62-3.20-3.59-4.98-5.47-0.57-1.68-2.33-2.10-2.534.704.86-3.686.627.196.003.114.084.996.354.497.697.583.446.777.356.338.427.427.893.95-1.54----
1.328.644.233.290.2416.9925.3023.16-5.9125.5025.4917.9711.232.38-8.80-5.37-5.64-11.68-5.80-6.57-5.594.21-1.38-0.30-2.86-3.48-3.89-5.39-5.89-0.61-1.80-2.49-2.24-2.695.265.44-4.147.357.986.663.464.525.517.004.968.448.303.787.438.056.929.198.098.624.37-1.71----
0.392.731.291.020.075.879.138.67-1.8310.518.495.463.280.69-2.46-1.63-1.81-3.99-1.83-2.19-1.951.59-0.49-0.11-1.08-1.37-1.54-2.22-2.48-0.27-0.78-1.11-1.01-1.263.413.49-2.574.825.244.292.262.983.624.703.325.725.392.464.835.494.606.255.395.963.49-1.37----
0.463.081.491.170.096.6610.739.95-2.2511.6710.256.453.740.75-2.75-1.78-1.96-4.21-2.01-2.37-2.121.69-0.55-0.12-1.16-1.44-1.65-2.33-2.63-0.28-0.83-1.17-1.06-1.313.553.67-3.686.625.524.612.383.143.864.943.506.055.982.685.345.835.026.715.916.273.95-1.54----
27.1928.7328.1628.6529.2633.3338.1038.9631.7143.6334.7732.0429.2127.6526.9929.3530.2631.6935.1937.0439.9343.3642.3944.1244.2445.4046.8648.5450.9653.7554.2555.1656.4559.3352.5152.7250.1355.8456.6156.6155.9057.4458.8560.1760.0063.1064.2161.0763.7965.3265.4667.0267.0266.33140133----
13.034.834.0123.0424.7318.1012.3428.4628.7820.4015.6517.6611.262.152.391.762.630.602.453.466.063.064.582.852.39-1.101.280.922.480.612.654.354.192.573.2310.727.817.653.4716.2510.898.204.8717.6213.1810.197.8518.2417.0510.917.3519.1414.766.870.000.000.000.000.000.00
11.263.483.2520.7523.4317.3812.0224.2525.6219.1014.9115.7610.301.652.110.111.27-0.301.861.825.232.564.271.111.08-1.851.05-0.371.47-0.152.292.102.581.533.008.416.126.833.1013.399.067.184.4011.658.295.855.387.029.355.554.3116.5213.326.04------