WESCO Financial Ratios for Analysis 2009-2024 | WCC

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

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
2.482.182.081.842.342.252.312.412.382.212.102.092.052.141.96
0.510.550.550.570.360.350.380.410.450.410.450.520.320.390.38
1.061.221.251.470.570.580.660.720.860.750.861.140.520.660.73
21.6421.7620.8218.8818.9219.1719.3319.7419.8720.4220.5720.2420.1919.7219.46
6.286.714.402.824.144.314.154.514.975.916.405.065.444.173.89
6.286.714.402.824.144.314.154.514.975.916.405.065.444.173.89
7.167.625.603.894.935.084.995.516.006.887.425.716.064.774.79
4.435.313.191.003.373.443.291.794.044.875.064.284.563.112.97
3.163.752.240.572.672.782.131.382.803.503.683.073.202.282.27
1.491.451.441.041.671.781.621.661.651.661.621.421.991.791.85
4.914.795.414.626.706.976.487.177.447.667.586.617.806.907.34
5.505.235.474.556.506.355.936.526.116.016.305.806.165.976.64
66.3669.8466.7980.1356.1357.5261.5355.9859.7360.7157.9862.9659.2961.1355.00
15.2219.3812.353.009.8410.587.715.1511.7514.2815.6712.9914.5810.0510.55
-870.57-117.35-33.89-5.22105247-714.30-62.93-66.91-116.16-67.65-27.991084,488204
5.095.823.700.844.434.893.442.284.565.795.954.366.374.094.21
7.418.805.501.306.326.844.763.046.498.368.616.219.876.166.59
98.8687.6674.8166.6454.0447.2245.0240.3942.0643.3439.8735.2630.9926.7121.31
9.430.211.2911.675.166.293.086.215.624.725.995.643.382.766.84
7.68-1.680.3410.594.535.782.786.015.254.615.665.212.712.456.53

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
2.212.282.212.482.362.402.392.182.212.122.112.081.981.822.051.842.202.362.672.342.332.302.182.252.382.392.372.312.312.392.392.412.342.382.312.382.332.342.232.212.172.162.082.102.142.112.102.092.092.052.042.052.142.202.032.141.821.821.861.962.232.301.63
0.500.520.510.510.520.540.550.550.550.550.550.550.560.550.570.570.600.620.410.360.380.400.360.350.360.370.380.380.390.390.390.41-0.410.420.450.450.440.420.410.440.450.450.450.470.490.500.520.310.280.300.320.360.380.370.390.310.320.350.380.420.530.49
1.001.081.041.061.101.151.221.221.261.241.241.251.281.321.361.471.531.640.720.570.640.680.580.580.580.610.640.660.680.660.670.720.040.740.790.860.850.800.760.750.790.830.850.860.910.981.041.140.500.430.470.520.600.630.610.660.550.570.640.730.751.161.32
22.0921.8621.2721.3921.6521.6221.8921.9222.1221.6921.2720.7721.3221.0020.0718.7018.9718.8719.1218.5718.6319.0219.5019.4119.2119.0119.0619.1919.2719.1719.7519.4419.6819.8520.0019.5319.7919.9120.2420.1520.3220.5320.7020.0120.4920.7321.0820.5120.4520.0719.9120.6419.9720.1319.9920.3019.4619.3019.8019.1519.1719.3220.19
6.115.904.925.776.746.336.276.877.376.765.764.544.854.763.302.254.300.733.093.994.364.563.614.504.724.333.674.064.444.333.764.494.994.603.914.835.534.714.806.226.415.785.135.886.405.807.573.066.225.745.205.765.815.584.524.514.624.083.333.764.014.113.69
6.115.904.925.776.746.336.276.877.376.765.764.544.854.763.302.254.300.733.093.994.364.563.614.504.724.333.674.064.444.333.764.494.994.603.914.835.534.714.806.226.415.785.135.886.405.807.573.066.225.745.205.765.815.584.524.514.624.083.333.764.014.113.69
---------------------------------------------------------------
4.995.852.753.804.934.604.375.235.985.494.454.103.493.311.630.472.52-2.172.263.223.733.752.733.663.893.492.683.203.603.472.843.60-2.813.592.854.304.473.743.655.215.414.763.994.085.184.656.361.955.465.064.645.004.854.663.643.323.593.082.372.623.463.012.77
3.463.971.902.333.883.113.313.684.143.763.383.162.232.281.110.141.60-1.711.752.533.002.952.162.893.232.752.231.132.682.592.132.64-1.702.612.032.603.302.702.593.733.893.432.873.083.583.454.651.613.833.523.303.453.413.292.612.622.542.211.671.922.922.281.97
0.360.360.340.360.370.380.370.380.390.400.370.380.380.370.340.350.350.180.380.420.430.420.390.440.430.450.420.420.420.410.390.400.400.410.380.410.410.410.390.420.420.410.380.400.410.410.390.360.480.520.510.520.520.500.480.470.500.500.450.450.460.460.46
1.181.221.191.201.251.261.161.241.221.361.351.441.451.491.411.551.420.711.681.691.821.731.581.711.801.821.701.691.751.781.671.761.791.841.681.851.831.811.781.941.961.871.771.911.931.861.801.651.992.052.032.012.001.921.811.801.931.911.821.811.881.811.68
1.361.361.381.341.341.361.331.361.361.361.351.461.441.481.441.531.520.791.521.631.541.511.461.561.541.591.561.541.521.571.571.591.581.631.541.511.581.621.511.521.541.541.491.581.561.561.501.451.531.581.541.601.581.591.551.571.571.641.531.631.571.561.56
66.0465.9965.1566.9267.0866.2867.6766.3666.2866.0966.4561.8362.4260.8862.5758.9959.1411459.0755.1058.5559.4961.6757.6558.6256.4557.6158.3559.3657.2357.2656.4756.7955.2458.3159.4857.1255.6859.7659.1958.4958.5460.2557.1357.6357.5860.1562.1258.6957.0458.5056.3456.9456.7458.2057.3257.2555.0358.6755.3657.3757.6557.53
4.064.802.332.834.794.014.304.935.735.384.584.443.363.381.740.612.49-1.111.552.332.942.961.912.732.992.662.011.052.542.361.842.43-1.562.571.822.743.542.712.553.844.233.642.923.283.983.985.201.714.104.013.754.074.204.013.113.033.072.641.872.183.503.223.00
2,591-138.41-325.21-161.93-101.69-52.24-34.20-29.85-30.60-22.83-15.42-12.19-7.52-6.94-3.20-1.06-4.031.6415.7824.8143.7281.4328.9063.7346.7671.66180-97.30-111.99-184.42-70.83-29.7220.62-22.90-11.87-15.59-21.12-19.29-19.75-31.20-26.64-18.24-12.12-14.18-14.35-11.66-13.41-3.6829.7719.8822.5930.3136.8846.8373.871,35323.5428.7023.4842.18225-20.90-13.36
1.341.540.750.951.541.271.321.481.711.591.381.330.960.970.500.170.67-0.290.651.051.271.250.841.261.391.220.910.471.121.070.841.08-0.671.060.741.061.341.071.011.561.651.401.101.251.481.411.800.571.851.851.681.781.761.661.261.231.281.100.760.871.351.050.90
2.042.321.141.382.281.861.942.242.562.422.061.981.481.520.740.260.99-0.420.911.501.821.791.231.761.931.681.250.651.541.441.121.44-1.561.511.051.511.941.531.472.252.392.021.601.802.112.032.590.822.832.902.632.762.682.501.961.862.131.811.221.362.021.511.52
10398.7097.9598.8695.6093.5989.5587.6675.9781.0678.2474.8171.0670.0867.7566.6464.2161.9652.5954.0452.3350.2648.9747.2247.7445.9845.3145.0244.8343.6742.1840.3941.0145.9944.8342.0641.7442.8241.5043.3447.5547.0839.9239.8739.3337.2336.7035.2635.3333.6632.4230.9929.6526.3225.2726.7125.7724.7524.1921.3122.7419.4318.36
16.5610.2714.389.438.121.19-4.860.21-7.84-5.83-3.301.293.321.982.3311.678.303.100.755.162.75-0.200.636.293.671.831.113.081.701.370.966.215.012.851.685.623.542.561.734.722.630.950.885.993.422.291.535.643.742.261.143.381.480.450.632.761.661.491.576.846.804.793.16
15.149.4613.997.686.900.34-5.13-1.68-8.97-6.44-3.590.342.831.592.1310.597.452.470.374.532.04-0.690.405.783.171.480.952.781.361.170.876.014.702.701.605.253.212.311.634.612.320.730.785.663.032.061.425.213.352.011.052.710.990.130.522.451.461.371.526.536.564.653.10