Zoetis Financial Ratios for Analysis 2010-2024 | ZTS

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

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
20232022202120202019201820172016201520142013201220112010
3.362.373.863.052.633.603.853.032.153.192.372.552.74-
0.570.600.590.640.690.750.740.750.800.730.790.110.13-
1.321.801.451.912.382.952.772.984.462.723.800.140.15-
70.0369.6370.3869.1868.1867.1966.5565.9263.5364.1263.4163.9560.9759.69
34.3632.8732.0029.9028.7729.0128.7425.1211.4417.1415.1316.379.314.97
37.1635.6134.8833.3632.3332.5532.0328.5214.0419.5817.6117.0910.164.97
42.9141.3640.6439.9738.9137.8436.5933.4318.2223.8522.1921.7015.0010.13
34.3632.8732.0029.9028.7729.0128.7425.1211.4417.1415.1316.379.314.97
27.4326.1626.2024.5423.9624.5216.2816.807.1112.1811.0510.065.793.07
0.600.540.560.490.540.540.620.640.600.730.700.690.74-
1.001.051.201.261.411.371.241.111.181.331.291.161.55-
6.556.656.866.595.765.625.325.355.094.884.014.824.86-
55.7154.8953.1855.3963.3264.9268.6468.1871.7774.7591.0775.7675.10-
46.8847.9444.7643.3655.3965.1748.2654.6431.0743.9052.2910.796.64-
262762524-259.27-84.55-59.83-86.81-67.69-21.81-160.38-61.1219.9313.63-
16.3814.1414.6312.0212.9913.2110.0410.714.288.917.676.964.34-
20.2519.2718.2715.7817.3316.5012.7913.736.1011.8310.939.585.75-
10.899.499.627.945.694.563.673.042.192.671.928.08--
5.094.064.644.443.733.682.731.431.321.251.360.910.990.51
3.522.823.653.542.813.102.351.180.880.911.010.660.790.67

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312010-12-31
3.693.453.333.363.873.503.272.372.272.182.253.864.543.373.293.052.823.472.772.634.394.174.053.604.064.384.273.852.802.011.963.033.243.202.842.152.082.112.273.193.363.142.862.372.362.332.292.55-----
0.560.570.570.570.560.590.590.600.530.530.530.590.580.600.620.640.650.710.680.690.710.730.740.750.750.710.720.740.710.680.690.750.740.770.790.800.720.730.710.730.720.740.770.790.810.820.830.11-----
1.261.321.301.321.291.421.461.801.411.441.411.451.411.651.761.912.132.582.352.382.412.672.782.953.042.502.512.772.822.622.732.982.803.263.764.462.903.032.792.722.632.853.333.804.224.445.040.14-----
70.6471.7170.6467.1070.3472.1670.6067.9969.6869.5471.3569.5070.5570.8470.6666.7469.4370.8770.0868.3469.7669.9464.4065.2268.0468.4167.2868.7067.7165.3364.0163.3566.9666.9766.5261.0765.3263.6664.2562.8064.1364.3465.4562.8465.1062.6663.1263.1864.7765.4562.46--
36.6033.0434.1129.3733.3340.0034.8529.0233.3232.6536.6125.7233.1232.6536.7223.2433.4331.1432.4026.1133.3329.4126.1926.7328.2430.8830.5329.4530.6627.1927.3818.0926.8327.4828.575.4222.49-2.3020.8711.7419.6717.2720.6910.0516.7716.7917.616.9720.9023.0316.33--
38.9935.5436.7632.0436.0842.6638.0032.0635.9635.2339.2728.4735.9335.5839.7626.4536.9034.8835.8529.4536.8732.9730.0330.5031.8934.1333.9732.8833.8530.4230.7121.3030.1430.8832.278.4024.880.1723.4114.0222.0719.7823.3412.4419.4019.6619.636.9721.5923.7717.10--
-----------------------------------------------------
36.6033.0434.1129.3733.3340.0034.8529.0233.3232.6536.6125.7233.1232.6536.7223.2433.4331.1432.4026.1133.3329.4126.1926.7328.2430.8830.5329.4530.6627.1927.3818.0926.8327.4828.575.4222.49-2.3020.8711.7419.6717.2720.6910.0516.7716.7917.616.2920.9023.0316.33--
28.5626.4327.3523.7227.7130.7827.6022.6026.4225.7829.9621.0527.7426.2829.8819.8726.8224.3527.5822.9427.3423.9821.4422.0623.4527.1425.775.5522.1219.4619.3312.0619.2618.5417.561.7315.57-3.1514.979.5513.7211.7414.138.3711.8811.4912.84-0.8515.9015.8110.60--
0.170.170.150.150.150.160.150.140.150.150.140.140.150.140.140.130.130.120.130.150.140.140.130.150.140.160.160.170.150.160.160.170.160.160.160.160.180.180.170.200.190.180.170.190.180.180.180.19-----
0.290.270.240.280.230.220.230.280.260.280.280.310.310.320.320.370.340.280.310.380.330.330.380.390.330.310.310.320.290.290.290.310.260.260.270.340.300.300.290.380.310.310.290.360.300.330.360.32-----
1.691.711.691.701.711.651.691.681.681.591.631.741.731.671.661.781.761.571.591.541.541.561.501.511.591.451.451.461.341.301.291.401.361.361.281.361.171.181.221.351.141.051.001.100.990.981.011.31-----
53.1852.7253.1453.0352.5954.5853.3753.6053.4556.6255.3851.8452.1054.0654.1250.4551.0057.2156.6258.3958.5257.8360.0059.6256.4961.8962.1361.5267.4269.1569.7564.3566.3666.1670.3366.1976.9576.0673.9166.8278.6285.3490.2581.6790.5791.8689.4268.88-----
13.2212.5811.8610.4811.7514.5012.2710.4511.3311.5512.759.0911.7911.7413.649.4913.2812.5915.3714.1816.1715.3913.4715.7916.3819.2717.724.4814.6614.1514.6210.2714.8316.3417.191.8315.15-3.0012.649.4212.0210.8314.1010.8115.1315.5519.34-0.25-----
53.0762.7160.0258.5065.2110212616681.11113109106136-8,516.67-195.10-56.74-54.62-26.39-25.62-21.65-23.96-18.46-14.22-14.50-13.67-50.46-41.82-8.06-35.71-25.76-21.85-12.73-20.07-16.96-13.77-1.29-32.315.44-27.55-34.43-47.71-29.26-23.13-12.64-14.10-12.89-12.54-0.46-----
4.824.414.173.664.234.874.013.083.863.844.292.974.033.634.042.633.492.883.673.333.843.382.873.203.324.444.030.933.193.173.122.013.072.982.740.252.84-0.552.571.912.562.132.421.592.092.042.28-0.16-----
5.865.425.164.535.136.004.994.205.355.406.013.714.904.675.233.454.703.694.854.444.754.193.564.004.055.515.051.194.254.524.462.583.913.843.610.364.24-0.813.632.543.322.823.272.262.912.873.21-0.22-----
11.5910.9311.0610.8911.0410.039.719.499.999.779.899.629.899.188.627.947.596.295.805.695.625.054.844.564.404.114.073.674.143.573.333.043.232.772.392.192.522.412.612.672.772.562.191.921.731.651.458.08-----
4.522.411.305.093.161.581.184.062.501.370.654.643.221.850.844.442.941.770.853.732.521.470.813.682.481.350.792.731.500.610.241.430.860.380.101.320.770.360.121.250.480.27-0.051.360.770.540.560.910.290.14-0.010.000.00
3.551.810.993.522.010.750.712.821.610.810.413.652.571.450.683.542.361.430.702.811.951.120.673.102.091.100.702.351.210.420.161.180.720.350.160.880.490.190.030.910.230.11-0.141.010.510.390.520.660.130.03-0.07--