Ultrapar Participacoes S.A Financial Ratios for Analysis 2009-2024 | UGP

Fifteen years of historical annual and quarterly financial ratios and margins for Ultrapar Participacoes S.A (UGP).

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
1.661.451.981.892.902.562.172.372.591.672.101.911.602.562.14
0.440.440.580.610.600.570.510.510.490.390.440.430.370.470.41
0.951.091.691.941.621.551.401.331.121.081.061.030.991.040.90
7.395.124.476.916.846.799.099.068.888.027.847.657.247.447.49
3.622.321.632.231.462.093.584.023.913.323.453.022.942.932.53
3.622.321.632.231.462.093.584.023.913.323.453.022.942.932.53
5.023.392.734.173.153.425.075.465.264.634.734.314.134.183.75
2.841.310.921.850.881.953.022.942.972.692.962.682.382.501.82
1.941.250.781.100.421.271.972.021.991.852.021.881.761.801.30
3.303.942.812.242.862.972.823.203.613.483.723.523.543.273.25
27.2027.7826.7519.6622.3925.2020.8325.4827.6332.3735.2738.3134.4534.6935.46
18.6923.1122.9416.9717.4418.0515.2017.4619.7820.9021.6023.3724.0124.7622.40
19.5315.7915.9121.5120.9320.2224.0120.9118.4617.4616.9015.6215.2014.7416.30
17.9512.637.829.364.1011.5516.1918.3518.9713.0916.7616.6414.7614.7910.50
21.9415.009.1011.414.9915.2426.2630.2832.3322.1325.0524.7320.3819.9812.76
6.584.222.102.561.293.715.556.507.225.196.706.545.995.894.59
10.067.043.263.621.654.987.958.979.597.999.399.479.367.856.24
2.582.171.781.772.292.472.742.212.19------
0.700.350.440.560.680.360.650.660.891.030.921.180.960.800.64
0.610.690.290.410.450.220.310.400.690.790.630.810.620.480.44

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
1.571.551.681.661.811.971.871.451.531.571.711.981.771.762.001.891.972.412.782.902.973.012.762.562.352.272.742.172.512.512.332.372.683.202.132.592.582.492.141.672.092.142.422.102.262.332.041.911.801.862.011.602.212.312.272.562.863.252.962.142.312.561.44
0.430.430.420.440.460.480.480.440.470.480.520.580.600.590.630.610.630.640.640.600.600.590.590.570.560.530.560.510.530.510.480.510.460.480.440.490.490.440.440.390.360.400.440.440.440.440.420.430.390.380.400.370.430.420.430.470.470.470.430.410.390.390.30
1.001.021.000.951.051.131.081.091.211.291.561.691.791.782.051.942.102.061.961.621.651.601.691.551.631.571.561.401.431.371.251.331.071.061.091.121.221.041.141.080.790.991.041.061.081.060.981.030.960.950.970.991.010.981.011.041.061.030.880.900.850.810.87
6.456.526.789.098.825.655.616.844.045.024.67-0.715.645.247.166.567.896.626.596.927.006.486.976.566.826.447.338.9010.128.259.019.469.178.778.809.748.658.349.789.558.778.007.508.497.948.487.897.607.788.147.906.917.757.027.647.407.197.827.287.256.926.817.34
3.142.783.135.334.861.732.183.941.432.211.752.411.800.132.442.252.911.262.27-0.272.671.402.013.182.331.911.023.494.652.533.584.383.873.764.052.723.263.11-3.22-9.41-7.070.738.83-2.753.61-7.382.256.242.11-1.90-5.376.91-4.802.443.00-0.145.424.562.703.5510.537.7513.07
3.142.783.135.334.861.732.183.941.432.211.752.411.800.132.442.252.911.262.27-0.272.671.402.013.182.331.911.023.494.652.533.584.383.873.764.052.723.263.11-3.22-9.41-7.070.738.83-2.753.61-7.382.256.242.11-1.90-5.376.91-4.802.443.00-0.145.424.562.703.5510.537.7513.07
---------------------------------------------------------------
2.852.112.194.823.931.011.203.350.580.880.441.910.830.131.002.922.120.671.43-1.351.930.971.983.732.081.610.492.964.081.972.973.332.842.642.923.732.392.583.523.582.952.682.203.603.013.062.703.002.962.612.402.042.682.422.482.942.532.541.881.881.901.331.70
1.841.351.423.242.660.720.862.300.191.231.441.541.16-0.110.551.951.280.260.75-1.231.280.501.132.341.371.070.361.872.701.281.972.271.941.891.972.401.541.782.212.071.891.791.552.302.051.861.822.092.041.781.541.731.731.741.792.191.941.891.411.431.380.971.42
0.900.840.830.880.890.860.900.961.151.020.840.620.850.790.640.580.570.470.650.720.730.690.670.730.800.790.730.750.790.780.810.820.940.940.970.840.920.950.810.750.850.920.960.891.010.880.920.930.990.900.850.900.900.930.840.870.900.880.921.021.001.000.71
6.977.586.487.127.577.577.626.678.705.837.086.185.405.534.955.145.404.995.885.666.576.225.956.177.026.895.765.526.226.806.546.467.027.246.576.497.027.176.747.858.217.767.318.979.5010.067.969.7310.189.168.728.419.878.527.939.509.259.329.1111.109.709.116.76
6.225.194.554.994.995.125.355.656.966.836.015.035.534.844.564.424.143.474.554.424.494.374.284.414.064.133.894.024.424.764.494.454.774.965.034.584.875.285.604.484.956.845.685.155.834.704.656.165.795.685.536.116.006.706.226.566.736.406.237.076.625.974.94
14.4617.3419.7718.0518.0217.5916.8215.9312.9313.1914.9717.9016.2718.6119.7220.3621.7425.9119.7920.3820.0520.6021.0420.4122.1621.7923.1422.3920.3818.9020.0320.2418.8718.1417.8819.6518.4617.0416.0620.1018.1613.1515.8517.4715.4319.1619.3314.6215.5415.8416.2614.7415.0013.4314.4813.7213.3714.0514.4512.7413.5915.0718.22
4.553.313.177.866.731.892.216.811.593.521.063.013.67-0.181.384.212.820.531.78-2.843.051.202.445.163.382.520.774.026.072.744.205.244.514.374.785.283.694.054.543.893.933.843.605.105.123.984.034.934.833.763.123.833.753.843.644.774.253.862.843.353.002.052.15
5.303.813.649.618.122.272.668.081.904.161.253.504.41-0.221.685.133.440.652.19-3.453.971.563.196.804.493.291.016.519.824.456.838.647.397.107.998.996.226.657.526.596.576.256.067.627.565.775.887.336.935.224.315.295.083.843.646.455.623.862.844.073.002.052.15
1.781.281.242.882.450.700.812.270.531.090.310.811.00-0.050.371.150.760.150.51-0.890.970.390.781.661.080.840.261.382.131.011.611.861.841.791.922.011.411.681.791.541.601.651.492.042.071.631.671.942.031.601.321.551.561.621.511.901.741.661.301.461.390.971.01
2.591.871.844.413.630.991.153.790.841.810.511.251.46-0.070.511.631.060.190.65-1.141.220.491.002.221.501.170.341.972.881.352.192.562.432.282.692.671.902.252.532.382.512.302.002.862.852.232.332.812.962.321.872.432.152.222.072.532.252.061.621.991.831.261.50
2.542.552.602.582.492.342.142.171.992.061.891.781.751.701.641.771.641.591.932.292.282.314.742.472.182.452.622.742.602.522.522.212.392.211.92----------------------------
0.240.12-0.100.700.390.03-0.120.350.08-0.15-0.210.440.332.020.020.560.450.310.190.680.570.340.120.360.340.16-0.030.650.510.360.120.660.400.18-0.040.900.410.230.081.030.590.24-0.010.930.520.23-0.041.180.620.380.120.960.600.280.110.800.510.240.020.650.600.320.15
0.070.17-0.150.610.32-0.01-0.160.69-0.060.19-0.240.290.191.23-0.020.410.360.250.160.450.420.250.070.220.140.02-0.110.310.280.220.050.400.220.08-0.090.700.300.150.050.790.400.13-0.060.640.370.14-0.090.810.390.250.040.620.310.030.010.480.260.07-0.070.450.440.220.10