Union Pacific Financial Ratios for Analysis 2009-2024 | UNP

Fifteen years of historical annual and quarterly financial ratios and margins for Union Pacific (UNP).

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
0.810.720.621.010.800.901.020.991.291.171.051.161.121.161.37
0.680.720.660.600.570.510.390.420.400.340.290.310.320.340.36
2.202.742.101.581.391.100.680.750.690.540.450.450.480.520.59
57.1957.6862.2962.7959.0356.0756.7257.2456.0153.4251.4850.1347.5049.1047.18
37.6639.8742.8340.1139.4037.3038.1636.3236.9136.4933.9032.2329.2729.3623.89
37.6639.8742.8340.1139.4037.3038.1636.3236.9136.4933.9032.2329.2729.3623.89
47.2748.9052.9551.4249.6146.9048.0746.5446.1444.4341.9940.6437.5438.1333.98
34.1336.4738.8835.7335.6933.9035.9333.9335.1034.7832.0930.1926.9226.1321.03
26.4528.1329.9227.3827.2726.1350.4321.2321.8821.5919.9818.8416.8316.3913.36
0.360.380.340.310.350.390.370.360.400.460.440.440.430.390.34
13.9014.2113.2411.3911.8413.5212.2711.8913.0415.6916.3215.8116.7216.1715.73
11.6313.1512.6612.9813.6113.0114.2315.8516.0914.8915.5315.7213.9614.3321.24
31.3727.7528.8328.1226.8228.0625.6623.0322.6924.5123.5023.2226.1525.4717.19
43.1457.5446.0631.5432.6529.2143.1021.2423.0524.4520.6719.8417.7215.6511.25
43.1457.5446.0631.5432.6529.2143.1021.2423.0524.4520.6719.8417.7215.6511.25
9.5010.6910.278.579.6010.0918.537.608.749.898.828.367.306.454.48
13.8815.9715.6312.5514.0714.4326.1312.3813.9116.1214.5813.7512.0710.397.15
24.2519.8622.1725.2626.1928.1731.8324.4324.3823.9923.2721.1719.3518.0716.63
13.7315.0013.7812.5812.1911.529.029.018.458.207.326.476.004.083.17
7.829.209.308.487.417.045.194.973.393.533.682.632.781.680.93

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.050.930.810.720.710.650.720.770.660.710.620.750.860.761.011.060.960.820.800.890.720.750.901.061.030.821.021.161.140.930.991.411.481.551.291.121.461.321.171.251.191.121.051.111.191.291.161.021.010.911.121.131.171.251.161.231.221.411.371.171.181.12
0.650.670.680.690.710.710.720.730.700.720.660.660.660.610.600.600.620.620.570.570.560.570.510.500.520.390.390.450.440.420.420.430.420.420.400.380.380.360.340.340.330.310.290.300.310.320.310.310.310.300.320.320.320.330.340.340.340.360.360.370.380.37
1.932.042.202.352.522.712.742.852.522.712.102.112.011.641.581.631.731.741.391.431.391.421.101.091.150.720.680.880.800.760.750.770.740.740.690.650.640.580.540.530.510.480.450.460.480.490.450.490.490.470.480.510.490.510.520.560.540.560.590.600.620.59
59.1158.6558.2256.7256.6857.1056.9656.8157.6659.4561.5462.3863.7261.4764.1163.0662.4661.4859.8659.9059.2957.0656.5456.9355.6855.0556.5557.4357.4355.4257.4558.4756.4856.4757.1257.9354.9554.1155.0354.4053.3750.6652.0452.4551.8649.4750.7051.1550.6847.9149.1448.7446.7745.0348.6250.8849.0447.6947.0748.8447.1745.53
39.9539.3339.0836.6436.9637.8839.0340.1039.8040.5642.5643.6944.9339.8539.0241.2938.9740.9840.2940.5040.3936.4038.3938.2837.0135.4241.2338.3338.0634.8437.4637.8834.8034.9336.8339.7035.9035.2238.5737.6936.5132.8835.0435.2134.3330.8732.8633.4333.0229.5431.6630.9428.6525.3229.7731.7830.5824.9226.6126.1822.6519.65
39.9539.3339.0836.6436.9637.8839.0340.1039.8040.5642.5643.6944.9339.8539.0241.2938.9740.9840.2940.5040.3936.4038.3938.2837.0135.4241.2338.3338.0634.8437.4637.8834.8034.9336.8339.7035.9035.2238.5737.6936.5132.8835.0435.2134.3330.8732.8633.4333.0229.5431.6630.9428.6525.3229.7731.7830.5824.9226.6126.1822.6519.65
--------------------------------------------------------------
36.3635.4835.4632.8132.8435.3735.1337.1937.3636.1338.8639.1742.0835.0734.8836.0435.2536.6836.0336.6436.7833.2535.0235.0234.1731.2538.3936.6735.6032.8935.4334.8932.7932.4334.2237.4135.7033.0437.3535.6834.5831.2033.4533.2332.3229.2131.2431.3930.8427.2129.9528.4826.1422.5226.7628.8827.4021.0323.1522.3122.1916.19
27.8527.2126.8225.7226.3126.9226.5028.8629.2727.8229.8430.0632.6726.8126.8427.7126.6728.1926.9228.1928.0625.8426.9926.8726.6023.9313422.0822.2520.8922.1421.8620.5220.2721.4523.3722.1820.5023.2622.1621.4619.3020.8520.6520.2218.0919.7319.5019.1916.8818.8717.7216.1614.2317.5717.6517.0013.0114.6214.0014.0810.60
0.090.090.090.090.090.090.090.100.100.090.090.090.090.080.080.080.070.080.080.090.090.090.100.100.100.090.090.090.090.090.090.090.090.090.100.100.100.110.120.120.120.110.110.110.110.110.110.110.110.110.110.110.110.100.100.100.100.090.090.090.080.09
3.043.243.463.343.483.573.593.573.363.273.553.152.902.922.892.802.382.912.792.872.942.963.373.243.263.053.163.103.083.013.073.113.152.943.033.163.213.463.893.833.803.954.133.884.034.083.923.843.993.904.234.314.104.244.244.304.304.104.183.833.444.17
2.842.792.973.073.273.103.273.203.062.993.333.323.303.113.423.143.063.133.273.343.093.223.283.313.473.493.653.793.874.014.113.833.473.563.843.693.593.593.823.783.613.663.983.793.733.503.943.383.493.853.653.583.403.523.723.403.353.265.645.055.256.23
31.7332.2630.2929.3027.5629.0527.5428.1329.4630.0727.0327.1527.2428.9726.3528.6329.4328.7327.5426.9229.0927.9527.4427.2125.9325.8224.6623.7623.2622.4321.9123.5025.9125.2523.4324.4025.0825.0723.5623.8024.9324.6222.6023.7224.1525.7222.8226.6625.8123.3624.6825.1226.4425.5624.1626.4826.9027.6515.9717.8217.1414.44
10.1510.4811.1710.9111.8913.0913.4716.1414.4413.7012.0812.0212.578.258.147.926.889.227.748.638.647.847.617.727.585.3729.286.235.955.445.745.584.794.785.406.315.745.476.756.366.025.115.535.545.394.755.215.335.254.605.194.874.293.544.364.464.103.003.273.132.902.31
10.1510.4811.1710.9111.8913.0913.4716.1414.4413.7012.0812.0212.578.258.147.926.889.227.748.638.647.847.617.727.585.3729.286.235.955.445.745.584.794.785.406.315.745.476.756.366.025.115.535.545.394.755.215.335.254.605.194.874.293.544.364.464.103.003.273.132.902.31
2.472.442.462.302.382.472.502.902.852.542.692.682.902.172.212.141.782.372.272.512.542.272.632.692.572.2712.592.082.071.922.052.011.761.762.052.422.222.172.732.612.502.142.362.352.261.972.202.212.161.902.142.011.781.471.801.811.671.211.301.231.120.90
3.513.503.603.383.513.733.744.364.333.834.104.034.283.243.243.152.643.483.333.673.823.383.763.833.663.2717.753.403.353.153.353.192.782.783.263.893.553.494.454.204.063.533.903.903.743.253.613.683.613.223.533.312.902.362.902.942.691.932.081.971.801.46
27.0425.6824.2522.9721.6520.4219.8619.0720.3318.9422.1721.6021.9124.4425.2625.4824.2423.5726.1925.9025.7825.0428.1727.9926.9231.5731.8324.2524.4724.3724.4324.5824.4824.3524.3824.0724.1424.0023.9924.1923.8523.4823.2722.5422.1021.5621.1720.7520.1519.6619.3519.2018.7618.3918.0717.6817.3317.0116.6316.2815.8815.53
6.613.4813.739.816.333.0115.0011.386.653.5313.7810.006.392.9312.588.856.473.1412.198.925.512.7211.528.605.282.449.026.774.292.319.016.574.202.578.456.504.312.348.205.973.561.947.325.263.441.626.474.592.911.466.004.442.681.314.082.731.670.643.172.171.490.71
3.822.177.825.583.691.759.207.054.222.249.307.194.742.158.485.644.271.987.415.463.351.687.045.383.211.275.193.792.401.344.973.582.301.763.392.881.981.133.532.441.320.993.682.421.640.812.631.401.040.642.782.131.280.681.681.080.660.200.930.440.360.10