World Kinect Financial Ratios for Analysis 2009-2024 | WKC

Fifteen years of historical annual and quarterly financial ratios and margins for World Kinect (WKC).

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
1.111.141.301.571.321.351.451.761.851.641.521.531.541.521.54
0.290.290.200.210.230.260.340.380.280.260.210.190.170.020.01
0.520.590.270.270.330.380.520.610.410.370.280.250.210.040.02
2.221.842.524.183.022.562.773.332.831.891.811.731.832.313.33
0.410.460.460.680.810.650.140.700.810.640.640.660.740.951.36
0.410.460.460.680.810.650.140.700.810.640.640.660.740.951.36
0.630.650.711.101.050.860.661.001.020.770.740.750.861.051.51
0.140.250.320.790.640.47-0.060.530.720.630.590.620.690.931.33
0.110.190.240.540.490.32-0.510.470.570.520.490.490.560.771.04
6.477.235.274.526.147.006.034.996.718.898.779.489.367.456.46
70.2074.3163.9256.6660.1874.0464.8857.0282.2197.2962.3066.8771.9288.3586.12
17.4417.9213.3016.4412.7314.5112.4511.5316.7618.8116.3717.7516.0213.8011.61
20.9320.3627.4322.2028.6725.1629.3131.6721.7819.4022.2920.5622.7826.4631.44
2.755.823.875.739.567.04-9.806.528.9511.8612.3413.0614.7913.0016.03
13.0427.498.5727.7841.8726.88-40.5118.7219.1925.7023.4224.3222.3120.3123.21
0.731.421.252.443.022.27-3.052.343.774.534.374.905.395.716.73
1.954.113.104.547.345.18-6.494.066.438.729.7410.6212.3312.7315.82
32.6032.1131.0730.4129.0527.3425.6727.7526.9225.8723.3621.3718.9316.1912.35
4.402.212.749.443.44-2.70-1.960.736.331.983.682.03-1.99-0.561.30
2.980.962.128.642.22-3.76-2.750.215.611.272.531.63-2.27-0.761.19

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
1.161.151.141.111.121.131.111.141.111.161.141.301.371.401.461.571.631.821.681.321.361.351.361.351.321.351.411.451.631.691.711.761.931.842.001.851.761.681.701.641.521.481.531.521.521.471.431.531.491.581.521.541.531.491.461.521.691.521.521.541.521.521.66
0.280.280.290.290.290.290.260.290.260.350.310.200.200.200.200.210.210.360.380.230.270.270.260.260.280.290.310.340.370.340.350.380.360.280.280.280.310.280.270.260.290.280.290.210.210.170.130.190.150.180.160.170.170.120.050.020.010.010.010.010.010.010.02
0.430.430.450.460.440.450.360.590.360.540.450.270.270.270.270.270.270.600.650.330.370.380.370.380.420.430.470.520.590.540.550.610.580.410.410.410.470.410.370.370.420.390.420.280.280.220.170.250.190.230.200.210.230.150.070.040.020.010.020.020.030.030.03
2.562.242.321.942.302.572.102.042.061.481.862.162.372.603.223.514.776.773.233.063.282.842.892.632.562.432.652.592.812.862.822.853.203.294.273.392.902.242.932.301.831.691.781.881.781.801.791.641.821.791.661.741.801.901.932.122.252.452.522.882.963.614.34
0.690.410.58-0.130.600.690.520.570.640.310.330.330.500.440.630.350.870.370.880.651.000.800.810.630.750.600.62-1.320.720.630.610.310.790.691.180.980.850.490.970.800.630.530.610.620.610.660.660.550.720.750.630.690.750.760.780.830.901.021.081.241.281.431.64
0.690.410.58-0.130.600.690.520.570.640.310.330.330.500.440.630.350.870.370.880.651.000.800.810.630.750.600.62-1.320.720.630.610.310.790.691.180.980.850.490.970.800.630.530.610.620.610.660.660.550.720.750.630.690.750.760.780.830.901.021.081.241.281.431.64
---------------------------------------------------------------
0.471.060.28-0.390.380.370.210.200.400.130.260.210.390.280.46-0.012.40-0.100.720.610.760.610.590.430.590.410.42-1.540.520.430.440.030.650.561.060.880.770.400.880.900.580.500.590.580.560.610.620.500.680.690.580.640.680.710.740.810.881.021.061.211.231.401.58
0.320.990.25-0.290.290.270.180.150.270.140.210.160.260.250.32-0.081.83-0.320.520.600.520.390.430.300.370.280.34-2.18-0.450.370.380.030.580.451.000.660.560.360.760.710.480.430.480.500.490.490.480.430.520.510.490.540.550.580.580.680.740.840.860.970.911.101.28
1.501.531.531.631.641.581.671.701.971.951.551.671.511.351.211.041.020.651.461.561.611.641.511.761.741.761.681.591.491.531.561.441.441.401.171.491.571.671.532.002.122.052.002.202.252.312.312.422.372.472.412.522.632.592.332.272.202.262.122.031.921.611.48
16.4916.5816.3417.7118.2919.3619.7517.4321.0818.6617.8620.3518.5616.1817.2813.1814.679.5423.3115.2915.4916.5414.0818.5914.9617.7115.1417.1115.8917.7817.3116.5314.7817.1714.8918.1218.3218.4316.8921.8516.9215.8717.7215.5916.7818.6715.7717.0816.4416.9520.7019.3921.8519.9122.2326.9722.1730.4931.3227.1630.6333.3342.10
4.244.234.094.394.254.444.164.214.944.333.534.224.113.863.573.803.602.234.043.243.473.443.183.653.363.443.443.283.313.613.713.323.593.273.103.713.833.603.334.244.133.883.814.104.174.054.084.534.164.534.144.324.214.223.644.204.293.943.783.643.703.323.43
21.2421.2722.0220.5121.1820.2721.6121.3618.2320.7925.5121.3221.9023.3125.2123.7024.9840.3522.2927.8125.9626.1428.3024.6826.8126.1726.1427.4527.2224.9524.2627.0725.0927.5529.0124.2323.5024.9827.0021.2121.8023.1823.6421.9621.5722.2322.0419.8721.6219.8821.7420.8621.3521.3424.7621.4121.0022.8423.7824.7024.3027.1226.27
1.715.251.39-1.791.801.551.121.052.261.291.350.811.160.900.97-0.194.29-0.592.253.002.662.072.011.622.181.641.77-11.15-1.961.521.570.102.181.532.622.322.281.532.903.743.012.602.923.183.033.213.212.923.543.813.483.944.154.043.493.483.424.634.424.734.174.174.05
5.8018.225.45-8.458.177.434.974.9811.577.517.911.795.484.484.51-0.9420.09-4.5116.9713.1312.4410.799.996.198.826.797.73-46.08-6.674.855.030.285.143.175.584.974.953.256.118.116.635.456.356.045.385.675.795.445.405.595.135.946.386.335.465.444.556.436.286.856.196.345.63
0.501.490.38-0.470.470.440.300.260.550.280.330.260.400.340.38-0.081.88-0.220.760.950.850.650.650.520.650.510.57-3.47-0.660.570.590.040.830.631.170.980.860.571.141.430.990.840.961.131.081.161.161.101.271.411.241.431.491.511.371.531.601.911.831.991.741.781.89
1.233.770.99-1.261.271.100.830.741.660.840.930.650.930.720.77-0.153.40-0.371.392.301.951.511.491.191.561.161.22-7.39-1.241.001.020.061.391.101.881.671.561.092.132.752.131.882.072.512.402.682.782.373.013.142.923.283.433.573.313.413.394.604.364.674.114.113.98
35.3034.4732.7032.6032.8132.6432.4332.1131.4331.0230.8831.0730.7330.8030.8430.4130.3328.7329.2729.0528.5127.8527.6627.3426.5926.1826.1625.6728.5929.0728.3927.7528.0827.7527.8326.9226.4926.4626.1125.8725.1424.6924.0623.3623.0022.4321.9421.3720.7319.9719.4118.9318.2217.6316.8716.1915.4913.4612.9012.3511.7511.3210.82
2.362.971.834.404.422.982.282.213.68-0.47-1.132.743.532.201.639.447.713.870.153.442.572.030.16-2.70-4.67-3.36-3.37-1.96-2.80-0.010.930.733.172.871.986.334.632.501.501.981.811.431.283.682.972.111.522.030.67-0.790.68-1.99-3.03-1.92-2.04-0.56-0.530.390.271.301.952.021.51
1.512.431.542.983.292.241.980.962.78-1.07-1.392.123.081.981.598.647.003.35-0.122.221.661.47-0.16-3.76-5.33-3.79-3.60-2.75-3.36-0.470.780.212.752.541.785.614.112.191.311.271.291.151.162.532.271.771.341.630.41-0.930.62-2.27-3.25-2.03-2.07-0.76-0.660.320.261.191.861.971.49