UPS Financial Ratios for Analysis 2009-2024 | UPS

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

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
1.101.221.421.191.111.151.221.181.231.301.881.861.891.961.49
0.520.470.580.970.870.870.950.970.820.820.630.700.610.570.53
1.290.991.5436.857.697.4923.7237.475.754.991.682.721.571.351.24
76.6373.5173.5975.6876.0974.1675.9978.0879.5776.4577.0076.5976.3478.3280.53
10.0513.0513.179.0810.529.7711.3112.4813.148.5312.692.4811.4511.397.74
10.0513.0513.179.0810.529.7711.3112.4813.148.5312.692.4811.4511.397.74
13.7516.2316.2012.2713.7112.8514.7316.0916.7111.8316.065.9114.8015.0011.60
9.4314.7817.062.187.638.3810.728.3112.587.9612.041.8010.8810.686.78
7.3711.5113.251.595.996.677.375.558.305.217.891.497.166.744.34
1.281.411.401.361.281.441.461.531.521.641.531.391.531.471.42
---------------
8.117.977.767.877.767.266.447.408.188.748.538.868.508.807.65
45.0145.7747.0546.3647.0550.2756.7149.3444.6241.7542.8141.2142.9341.4547.72
38.7458.3190.3420113515847979819414167.3917.0553.5241.4825.57
73.4290.33159-27.01-164.63-168.16-101.93-67.28-195.56-347.3112441.2486.0262.1939.27
9.4716.2418.572.157.679.5810.768.4812.648.5612.072.0810.969.946.17
18.5231.1137.855.9217.6920.8623.0326.6935.0825.2425.255.1020.9018.0112.03
20.3023.0616.410.773.833.541.190.492.812.387.034.977.388.147.74
11.9216.1917.1712.019.9414.611.697.308.206.207.707.457.143.825.26
6.1410.7313.375.842.677.43-4.264.055.603.735.645.325.142.743.73

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
1.141.251.101.101.221.321.341.221.391.471.521.421.481.391.291.191.291.241.221.111.111.091.131.151.141.211.221.221.061.121.011.181.181.321.251.231.141.341.311.301.461.481.591.881.761.841.801.861.591.751.791.891.681.701.661.961.581.431.371.491.411.421.29
0.550.540.530.520.500.490.500.470.510.520.560.580.630.660.750.970.810.840.880.870.800.820.850.870.870.900.940.950.900.920.960.970.810.810.820.820.840.830.840.820.640.640.610.630.750.750.730.700.590.590.600.610.590.560.560.570.500.520.530.530.560.570.56
1.301.301.181.291.101.041.110.991.201.261.421.541.832.093.3136.854.596.168.637.694.295.296.657.497.459.6416.7923.7212.2914.1930.7937.475.545.426.235.757.506.687.094.992.172.121.931.683.453.283.132.721.971.691.601.571.581.461.461.351.131.291.311.241.461.601.78
76.8276.4776.8576.6976.4377.5975.8574.8773.3472.4973.2271.7073.2374.5675.2574.2075.8476.6976.4176.0676.5676.0175.7073.6274.0974.3174.7073.9676.0977.2677.0774.0778.9779.7880.3178.8379.6080.3379.6275.9276.4376.8176.7176.1977.3777.5576.9675.5776.9177.1576.8375.8476.1976.2377.1877.5278.1778.6179.0878.6980.2981.5381.86
8.928.917.439.946.3812.6011.0811.8212.8814.2713.3414.0112.4913.9112.078.1811.1310.815.9410.3711.6211.878.1210.109.9010.168.8810.8711.2012.7910.4310.1713.6313.9312.6412.7813.9413.9111.974.7413.675.2410.9812.7413.3412.9011.76-19.095.8613.4111.948.4512.6513.2311.7011.7813.2511.498.887.808.338.266.56
8.928.917.439.946.3812.6011.0811.8212.8814.2713.3414.0112.4913.9112.078.1811.1310.815.9410.3711.6211.878.1210.109.9010.168.8810.8711.2012.7910.4310.1713.6313.9312.6412.7813.9413.9111.974.7413.675.2410.9812.7413.3412.9011.76-19.095.8613.4111.948.4512.6513.2311.7011.7813.2511.498.887.808.338.266.56
---------------------------------------------------------------
8.598.577.088.286.0212.3311.0016.5213.5314.9313.9114.2712.9114.6727.08-17.2211.8911.526.93-0.9612.0412.218.392.7410.8311.039.717.2311.9813.3011.03-3.0113.0813.3412.1212.2613.3813.3211.384.1613.084.7910.3312.1812.6812.1911.08-19.805.1612.7711.277.8312.1412.6711.1111.1512.6310.658.137.197.556.395.93
6.926.465.136.445.359.448.2712.7710.6911.5010.9211.1410.0511.4220.92-13.449.218.645.35-0.529.559.346.472.288.648.517.865.787.788.697.52-1.418.518.677.848.298.838.737.342.858.503.186.617.798.117.937.72-12.003.598.367.385.128.148.287.277.228.136.924.544.634.924.113.67
0.330.310.320.350.300.310.320.380.350.350.350.400.350.360.360.400.340.330.300.360.340.340.330.400.370.390.380.420.390.400.400.440.390.380.370.420.370.380.370.450.400.410.370.410.360.370.350.370.330.360.370.410.370.380.360.400.370.370.360.390.350.330.32
--5.59------------------------------------------------------------
2.422.412.272.222.232.302.232.152.202.172.182.212.212.312.262.322.362.222.222.152.252.082.032.012.232.282.171.832.332.432.402.122.382.392.312.252.352.512.442.392.452.442.372.302.422.482.392.382.362.412.332.272.362.222.182.392.172.162.092.092.162.212.15
37.2037.3239.6140.5140.4339.1240.4341.8940.8841.4141.3540.6440.6638.9539.7938.8638.1140.6040.5541.8040.0743.2444.3744.8840.3239.5541.5249.0738.6037.0337.5742.5037.8137.6038.9639.9938.2835.8736.8637.7236.6736.8737.9139.0737.2236.2337.6337.7538.1837.3638.6239.6838.1740.6041.3537.7341.5541.7442.9743.0641.6140.6741.87
9.128.266.579.275.8810.399.4517.4415.2117.4717.2521.6819.3224.7366.94-500.3034.9140.4029.13-3.2331.4038.1031.8814.9248.2463.0397.8210781.81109208-57.8145.9047.8945.6053.4364.5362.5055.5520.9921.518.1314.5517.9930.0129.5025.65-36.936.1614.4512.9410.2013.6213.1111.1112.0411.6210.667.007.457.796.555.91
16.4314.6812.6817.579.2416.1414.5827.0123.6528.0428.6238.2335.8351.2031067.32-392.18-109.27-36.573.93-514.71-111.66-45.89-15.90-54.46-42.32-29.61-22.78-30.00-31.45-23.334.88-57.57-54.53-44.72-53.73-41.66-109.43-90.24-51.8945.6017.7827.9633.1315613383.76-89.329.7122.5120.6916.4020.6919.3816.5518.0516.9916.0910.8411.4312.4010.349.31
2.252.031.652.271.602.962.634.853.724.063.804.463.544.137.57-5.363.142.851.58-0.183.283.192.130.913.233.283.022.403.043.483.04-0.613.313.312.893.473.223.302.751.283.381.302.463.222.932.922.73-4.501.203.002.702.093.043.112.652.883.012.541.641.801.701.371.19
4.143.783.114.432.965.284.759.307.438.307.579.087.088.4016.48-14.746.766.413.51-0.426.416.784.661.976.496.616.175.157.928.918.64-1.938.908.948.059.6410.4810.368.703.777.832.925.656.747.547.406.87-11.052.505.925.223.985.655.714.885.235.775.113.303.503.442.842.58
19.8019.9019.8120.3022.5223.4423.3523.0619.6418.7517.6716.4113.8812.418.230.776.495.073.853.836.505.154.053.543.642.741.601.191.791.470.650.493.173.012.812.812.192.202.052.386.226.116.817.033.933.874.284.978.008.067.827.388.168.498.358.148.628.007.697.747.106.836.81
7.966.193.8711.929.126.502.7216.1912.389.475.1017.1713.389.635.1712.0110.656.842.939.946.544.842.6214.6110.838.314.671.695.082.990.277.306.095.272.998.207.104.673.016.204.551.982.467.705.363.601.837.455.263.972.357.145.433.321.283.823.913.001.545.264.223.142.20
5.933.932.686.145.694.442.0310.739.787.894.4713.3711.458.714.235.846.974.471.862.671.631.560.887.435.725.062.93-4.260.840.71-0.784.054.094.202.515.605.293.622.623.733.011.112.115.643.762.591.375.323.673.021.925.143.882.390.892.743.192.381.283.733.082.491.83