Church & Dwight Financial Ratios for Analysis 2011-2026 | CHD

Fifteen years of historical annual and quarterly financial ratios and margins for Church & Dwight (CHD).

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
20242023202220212020201920182017201620152014201320122011
1.701.081.180.590.800.880.811.070.761.041.121.711.291.97
0.340.360.430.330.380.400.380.490.260.260.250.220.240.11
0.510.620.770.790.720.770.861.070.570.520.520.350.440.12
45.6944.1141.8643.6145.2345.5344.4045.8045.5444.5344.0645.0244.2044.17
13.2218.0211.1220.7921.0319.2819.1019.4020.7319.8619.4419.4818.6617.92
13.2218.0211.1220.7921.0319.2819.1019.4020.7319.8619.4419.4818.6617.92
17.1321.8615.1925.0124.9123.3322.5022.7223.8122.8322.2122.3121.5620.72
12.3816.499.7319.8819.8917.7517.3518.3420.2118.7218.9518.7118.5717.99
9.5812.887.7015.9416.0514.1313.7119.6913.1412.0912.5512.3511.9711.26
0.690.680.640.650.660.650.680.630.800.800.760.750.710.88
5.415.354.835.475.415.696.026.197.376.877.507.016.737.65
10.1711.1412.7412.8012.2812.2312.0110.9212.1712.2910.219.679.6410.39
35.9132.7728.6528.5229.7329.8530.4033.4329.9929.7035.7437.7337.8635.13
13.4219.6011.8625.5926.0223.0923.1733.5223.2120.2819.6917.1516.9715.17
-60.91-40.23-17.48-32.64-33.88-28.49-31.36-36.06-51.11-68.26-83.53-311.78-85.82115
6.598.824.9610.3510.609.259.3712.3610.549.649.499.268.549.93
8.9112.476.8017.0816.2613.7514.3517.2017.1815.1114.8313.3712.9113.52
17.7415.8614.3113.3312.3110.879.948.967.797.787.888.287.437.17
4.684.163.593.983.933.433.052.662.502.271.961.771.831.50
3.983.262.873.513.563.142.802.492.312.041.711.531.571.24

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
2025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.091.841.951.701.621.531.331.081.471.411.181.181.081.010.650.590.740.820.870.801.491.281.030.880.800.780.810.810.930.790.721.071.050.720.650.761.020.880.781.041.090.960.891.121.081.341.451.711.661.571.391.292.201.751.871.972.031.89
0.340.330.330.340.340.340.350.360.370.380.400.430.360.370.320.330.260.310.360.380.360.380.390.400.410.410.380.380.430.450.460.490.520.330.260.260.250.260.270.260.260.260.270.250.240.240.240.220.230.230.240.240.240.110.110.110.110.11
0.520.500.480.510.530.510.540.620.590.610.660.770.680.790.710.790.510.580.650.720.560.630.990.770.850.850.760.860.891.001.101.071.240.820.660.570.440.540.600.520.480.540.640.520.500.400.380.350.360.370.410.440.440.140.120.120.120.12
45.0642.9544.9644.7545.2247.1245.7044.5944.3943.9343.5041.9641.7341.1542.5942.4644.1743.4444.4743.0345.5446.8645.6645.8046.6044.6145.0744.1544.3444.2644.8846.6045.3045.7045.5245.5445.4346.5044.6445.4944.7744.0443.7645.0143.6644.0943.4045.1945.3844.5744.9244.2645.1643.5143.8043.2944.2144.45
16.0617.3720.1316.23-6.0622.2920.2914.1417.5720.1920.42-13.8219.2719.7421.6412.8922.9823.5024.4214.7122.0620.9927.0017.0619.9017.3623.0518.0019.6816.9121.9020.7820.5313.7222.3619.3522.5119.9821.1419.3722.1216.8021.1918.9321.0517.1020.7217.5820.8517.8421.7216.6220.0517.5820.6616.0618.0217.45
16.0617.3720.1316.23-6.0622.2920.2914.1417.5720.1920.42-13.8219.2719.7421.6412.8922.9823.5024.4214.7122.0620.9927.0017.0619.9017.3623.0518.0019.6816.9121.9020.7820.5313.7222.3619.3522.5119.9821.1419.3722.1216.8021.1918.9321.0517.1020.7217.5820.8517.8421.7216.6220.0517.5820.6616.0618.0217.45
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14.9016.6319.2316.00-6.7121.2118.9012.7716.0718.5318.80-15.5917.8018.6020.5211.9922.0622.6023.4913.6621.0719.7625.7015.5318.4115.7821.5516.3918.0515.1219.9519.2319.3213.0121.6818.9222.1019.4920.3818.8821.5514.1120.3518.4920.5816.7020.0416.9220.2816.7920.9416.0820.1317.6820.7416.1417.9717.63
11.4912.6815.0011.96-4.9716.1115.1510.0612.1915.2114.21-11.4714.2014.1215.7611.5517.5717.1717.8111.6017.4215.8819.7212.6214.4412.8316.8213.2914.1011.8415.6939.2613.788.1214.9912.3214.2412.7213.3112.4913.978.7013.2012.3213.7710.9913.1211.2113.4111.0013.829.9812.9511.3913.878.7311.3612.24
0.170.170.160.180.170.170.180.180.170.170.170.170.160.160.160.170.180.170.170.170.180.170.160.170.160.160.180.180.170.170.170.170.160.190.200.210.200.200.200.210.200.200.190.200.190.200.190.190.190.190.190.200.190.220.220.230.220.22
1.351.381.281.431.261.271.371.381.211.211.241.291.141.181.241.471.321.291.271.491.361.391.601.491.501.491.441.571.481.551.551.671.581.671.711.891.661.621.621.741.741.751.781.941.811.671.671.801.701.711.661.861.771.741.832.071.741.74
2.622.472.462.632.722.572.762.903.163.163.333.403.373.273.193.383.223.293.053.253.333.473.303.212.832.812.723.112.872.952.792.992.562.962.873.123.283.153.073.162.612.492.412.682.622.362.272.492.482.412.342.672.612.562.552.762.682.47
34.3836.5136.6534.1833.0835.0132.6531.0328.4928.5327.0226.4526.7327.5628.2426.6627.9327.3429.4827.7127.0425.9627.3028.0331.7631.9933.1328.9331.3630.5232.3130.1335.1430.4531.3128.8327.4228.6129.3628.4534.5436.1737.3533.5834.3538.1739.6436.1336.2237.4138.3933.6934.5435.2035.2732.5733.6436.38
4.314.354.844.34-1.795.665.553.994.385.665.54-4.725.075.266.014.896.566.466.874.976.736.338.165.416.155.327.035.826.225.487.3618.296.833.946.795.585.855.555.885.395.873.745.625.075.554.404.854.014.844.035.163.924.563.994.723.133.824.05
-9.28-22.32-29.66-19.696.48-17.75-14.21-8.18-10.32-11.71-9.396.95-9.42-8.70-8.75-6.24-13.27-11.48-10.52-6.48-14.02-10.67-11.59-6.68-6.85-6.08-10.04-7.88-7.57-5.84-7.24-19.68-5.87-5.84-12.13-12.29-19.40-14.71-13.10-18.15-20.61-10.94-14.38-21.51-22.26-22.96-33.62-72.89-51.36-28.87-29.09-19.8230.9735.2136.5223.7825.8032.71
1.992.172.462.13-0.872.782.661.792.042.602.46-1.972.262.222.571.983.122.962.992.033.062.743.072.172.382.082.952.352.452.062.666.742.241.562.932.542.902.592.632.562.851.742.472.452.682.232.512.162.572.142.651.972.452.543.062.052.532.70
2.832.893.262.88-1.173.743.612.542.753.503.35-2.703.233.314.083.264.874.464.393.114.303.944.963.223.603.144.383.603.523.024.009.393.292.665.004.134.404.114.314.024.372.764.103.824.233.333.713.133.753.103.942.983.473.554.202.793.413.61
17.5918.0418.4817.7417.1217.5916.7715.8616.4415.9015.0214.3115.1814.6414.0213.3314.3413.7613.1012.3112.9312.1411.4710.8710.4310.5510.169.949.579.068.778.967.827.417.687.798.217.827.497.787.827.547.317.887.817.567.788.288.047.757.557.437.387.137.217.177.267.10
3.501.690.754.683.532.021.074.163.202.051.113.592.171.260.623.982.621.380.403.933.152.380.943.432.441.390.553.052.261.290.622.661.660.980.512.501.881.130.672.271.530.930.541.961.500.750.361.771.330.570.261.831.110.670.391.501.090.59
3.231.530.683.983.051.740.883.262.711.801.012.871.771.100.563.512.361.200.303.562.962.290.903.142.281.300.502.802.141.220.582.491.580.930.502.311.781.060.642.041.360.800.451.711.370.690.341.531.230.500.221.570.940.520.341.240.950.51