United Natural Foods Financial Ratios for Analysis 2009-2024 | UNFI

Fifteen years of historical annual and quarterly financial ratios and margins for United Natural Foods (UNFI).

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
1.441.571.431.561.692.562.362.602.932.662.802.831.821.371.40
0.530.540.590.690.660.160.180.280.280.260.130.110.000.070.09
1.141.201.542.322.020.190.230.390.400.360.150.120.190.470.48
13.6514.4614.6214.6414.4114.8615.4115.1015.4016.6016.9017.4918.2118.5519.12
0.401.461.09-0.73-0.882.192.442.652.963.103.062.962.863.063.18
0.401.461.09-0.73-0.882.192.442.652.963.103.062.962.863.063.18
1.402.452.151.941.543.163.363.483.743.823.763.723.643.793.96
0.021.070.68-1.29-1.532.052.312.462.813.052.872.882.792.982.90
0.080.860.55-1.03-1.281.591.401.481.701.851.781.741.691.821.71
4.093.793.583.503.113.453.212.973.222.973.513.503.233.003.26
11.4110.5110.249.938.737.677.607.047.106.797.187.477.206.967.62
34.0523.8324.4323.7120.9417.6417.6417.3017.2515.3917.8617.1617.6217.3119.25
10.7215.3214.9415.3917.4320.6920.6921.1021.1623.7220.4421.2720.7221.0918.96
1.7214.179.84-21.98-18.758.827.748.2810.0510.099.819.338.8210.8410.87
2.9926.6524.71-165.131,01512.6211.8113.5114.0315.0512.7212.4712.3817.3717.32
0.413.331.98-3.31-3.935.494.514.415.465.486.236.115.475.465.59
0.816.474.00-6.76-6.367.456.335.977.247.428.548.358.8110.069.89
29.8130.7426.8420.8828.4436.6233.2330.1627.5724.9822.2819.9717.9314.4812.66
10.285.4310.238.495.572.145.385.890.971.250.901.351.041.522.52
5.225.086.438.014.611.294.285.07-1.58-1.58-0.400.710.190.261.77

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
2024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.511.531.541.441.501.561.701.571.671.511.491.431.581.591.661.561.501.681.691.691.731.681.592.562.592.332.252.362.382.702.502.602.592.962.562.932.732.682.572.662.892.822.622.802.612.672.452.831.831.771.651.821.781.751.661.371.461.471.381.401.291.26
0.560.560.580.530.530.530.580.540.570.580.600.590.650.670.710.690.700.730.740.660.670.680.640.160.210.200.200.180.220.260.270.280.230.240.260.280.280.290.300.260.200.190.190.130.140.150.130.110.000.000.000.000.050.050.060.070.080.080.090.090.090.10
1.291.301.371.141.121.141.381.201.361.461.591.541.902.062.432.322.332.742.812.022.092.182.170.190.270.250.260.230.290.350.380.390.300.320.350.400.410.430.430.360.250.240.230.150.170.170.150.120.220.260.260.190.270.290.250.470.400.420.430.480.580.70
13.6013.3113.6413.0213.3213.6814.5514.4813.9714.5014.8914.9114.6314.4214.5114.9214.9414.2614.4117.0813.2212.3914.3814.4015.4114.7014.9415.7515.4615.0915.3215.6015.1214.5315.1215.3515.4114.8416.0116.4416.7316.2916.9317.3216.7916.7216.7317.2117.6217.3417.8318.5818.1517.8218.2718.5518.5118.5518.6018.9918.9719.12
0.080.21-0.21-1.010.440.811.310.941.701.691.530.671.391.550.751.201.770.27-6.612.191.17-6.64-0.661.813.101.592.242.632.742.022.342.823.102.042.603.163.262.452.932.913.512.973.003.423.442.702.593.203.502.922.142.543.232.852.822.663.433.073.073.353.423.05
0.080.21-0.21-1.010.440.811.310.941.701.691.530.671.391.550.751.201.770.27-6.612.191.17-6.64-0.661.813.101.592.242.632.742.022.342.823.102.042.603.163.262.452.932.913.512.973.003.423.442.702.593.203.502.922.142.543.232.852.822.663.433.073.073.353.423.05
--------------------------------------------------------------
-0.35-0.24-0.64-1.390.090.400.960.611.341.251.090.641.001.09-0.020.701.30-0.42-7.221.560.42-7.40-0.891.672.941.442.132.712.551.842.132.612.941.842.412.893.292.282.743.053.402.832.893.243.342.602.203.093.452.822.052.443.232.762.712.793.302.912.933.183.212.66
-0.28-0.19-0.52-0.920.090.240.880.540.930.891.090.640.720.86-0.020.771.25-0.48-6.100.260.96-5.56-0.671.151.962.001.241.661.541.111.281.571.801.111.451.751.971.381.661.892.041.701.731.952.021.561.531.872.091.711.251.481.941.681.651.781.981.741.761.821.891.61
0.991.010.961.000.981.020.920.950.920.950.870.900.880.920.860.900.910.840.791.030.810.830.330.870.860.830.810.810.810.800.770.780.810.820.780.810.830.800.790.770.870.840.820.950.890.860.840.900.880.830.770.830.830.800.760.790.840.820.790.810.790.75
2.902.922.462.812.642.692.342.642.432.612.352.552.472.652.342.542.952.582.322.792.342.401.021.951.871.891.791.911.921.961.791.831.841.861.631.791.891.861.701.771.781.801.591.931.801.791.631.921.791.791.541.831.791.751.601.831.831.861.751.891.721.69
7.727.857.468.347.627.885.585.995.905.985.606.115.996.075.736.075.705.985.546.905.685.622.574.474.174.024.104.454.334.444.264.524.464.494.234.344.144.084.074.004.234.044.024.844.304.044.164.404.133.993.934.514.314.304.164.554.674.534.474.764.504.39
11.6611.4612.0710.7911.8111.4216.1415.0215.2615.0616.0714.7415.0214.8215.7014.8315.7815.0416.2513.0515.8416.0234.9620.1321.5822.4121.9320.2120.8120.2721.1119.9120.2020.0321.2920.7221.7422.0422.1222.5221.2622.2522.3718.6120.9422.3021.6120.4421.7922.5822.8819.9720.9020.9121.6519.7719.2619.8620.1518.9219.9920.51
-1.19-0.83-2.30-3.840.431.193.652.293.814.044.852.713.844.72-4.908.09-1.27-34.494.652.14-24.49-1.171.622.862.881.792.312.251.601.882.282.571.572.122.613.092.132.582.683.032.412.452.922.982.202.152.573.062.411.711.982.752.302.202.803.222.702.772.853.182.67
-2.01-1.42-3.99-6.690.762.116.614.307.348.4211.106.8013.4820.65-36.8249.17-13.82-373.02-251.43-242.2669913.712.324.144.242.693.533.492.543.053.733.792.152.933.654.373.073.784.003.893.133.223.783.912.932.883.434.153.322.372.773.903.313.224.484.824.144.324.555.224.50
-0.26-0.18-0.50-0.910.100.290.820.540.860.870.960.540.660.77-0.741.23-0.18-4.870.970.45-4.91-0.251.011.691.661.001.351.250.890.991.221.450.911.141.421.631.111.321.461.791.431.421.851.811.351.291.681.831.420.961.231.611.341.251.411.671.421.381.471.501.21
-0.52-0.36-0.97-1.810.210.561.541.041.621.691.931.101.331.55-1.512.45-0.34-9.131.580.71-7.94-0.421.372.272.311.421.891.751.191.371.651.991.201.581.882.211.511.821.972.421.951.992.542.551.881.872.303.062.411.711.972.612.172.082.602.982.482.532.602.882.41
28.2528.4828.6029.8131.1130.9630.6330.7430.5528.9227.3226.8423.0921.8920.4520.8821.3620.5220.9928.4429.9429.1936.0236.6235.9334.8133.6233.2332.1931.4330.6930.1629.5828.6428.2327.5727.0126.0825.6024.9824.1923.3622.8322.2821.5520.8720.3619.9719.3818.6818.2017.9317.5616.8816.3914.4813.9913.4413.0412.6612.2911.86
0.91-1.20-4.3310.286.664.43-4.255.43-0.510.70-1.3310.235.553.50-1.058.498.190.73-2.535.571.510.51-2.122.14-0.62-0.07-0.795.383.211.91-0.145.894.082.470.110.97-0.12-1.05-1.971.25-0.41-0.72-1.000.90-0.73-0.98-1.121.35-0.71-1.18-1.911.04-0.67-1.07-0.731.520.760.600.402.520.950.39
-2.51-3.38-5.435.223.282.15-5.235.080.69-0.98-2.236.433.772.64-1.728.016.43-0.74-3.354.612.152.240.521.29-1.20-0.37-0.894.282.421.46-0.335.073.512.07-0.04-1.58-2.06-2.15-2.52-1.58-2.45-2.25-1.67-0.40-1.38-1.34-1.210.71-1.11-1.44-2.070.19-1.17-1.36-0.900.260.050.240.181.770.36-0.01