Johnson & Johnson Financial Ratios for Analysis 2011-2026 | JNJ

Fifteen years of historical annual and quarterly financial ratios and margins for Johnson & Johnson (JNJ).

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
202520242023202220212020201920182017201620152014201320122011
1.031.111.160.991.351.211.261.471.412.472.172.232.201.902.38
0.330.300.270.260.290.340.310.320.340.240.150.180.150.150.19
0.590.510.430.520.460.560.470.510.570.390.280.270.250.250.34
67.8869.0768.8269.2570.2865.5866.4266.7966.7269.6969.2769.4068.6767.7868.69
34.5918.7917.6924.2024.3619.9821.1222.0623.1227.5527.3927.6621.6920.4919.01
36.7421.1420.0725.1624.6620.3521.9424.0424.8429.0728.3628.4722.4721.3820.03
44.7129.4028.8633.8734.0429.1130.4832.5432.2234.2933.7133.7128.2326.8324.88
34.5918.7917.6924.2024.3619.9821.1222.0623.1227.5527.3927.6621.6920.4919.01
28.4615.8441.2822.4326.5217.8218.4218.751.7023.0121.9921.9619.4016.1414.87
0.470.490.510.430.430.470.520.530.490.510.530.570.540.550.57
2.132.212.372.402.253.043.063.152.902.682.672.782.842.893.24
5.485.985.735.705.156.085.675.795.676.156.536.776.095.946.15
66.5760.9963.7564.0670.8460.0064.4163.0864.4159.4055.9153.9459.9561.4059.39
32.8719.6819.3821.3124.0523.2525.4225.602.16--23.4018.6816.2216.94
-152.03-136.19-680.25722-233.76-55.49-69.32-83.54-5.2179.7664.8678.8659.3477.0342.41
13.467.817.958.749.788.419.5910.000.8311.7111.5512.5210.428.668.51
22.1613.7714.0815.7917.1215.3417.5917.501.4317.8118.3419.2315.8313.7813.81
33.8629.7028.5729.3928.1624.0422.5922.4422.4326.0225.8225.0626.2523.3320.95
10.109.998.907.968.758.818.728.147.676.736.966.536.055.475.15
8.408.457.276.657.657.678.647.977.146.036.966.854.964.974.59

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.031.071.011.261.111.031.071.171.161.211.121.070.991.431.421.391.351.341.391.281.211.481.251.311.261.261.331.441.471.721.651.581.411.321.342.522.472.733.082.832.172.512.492.442.232.612.472.412.202.022.162.101.901.871.752.692.382.462.51
0.330.330.330.330.300.310.310.260.270.270.310.330.260.270.270.280.290.300.300.310.340.340.280.290.310.320.310.320.320.310.320.320.340.270.280.280.240.240.250.220.150.160.170.180.180.150.150.150.150.120.120.150.150.150.160.170.190.170.18
0.590.580.650.670.510.510.580.480.430.420.600.750.520.430.430.440.460.480.480.510.560.590.480.450.470.500.480.500.510.480.510.510.570.480.480.460.390.370.360.320.280.280.270.280.270.200.220.230.250.220.220.240.250.260.290.320.340.300.30
67.5669.5667.8766.4068.3569.0169.4069.5568.2369.0669.9768.0076.8369.1367.0367.5784.6268.9367.4568.3665.2366.9364.1265.8765.6166.8766.2566.9665.8767.6266.7566.9464.0664.7668.9769.5568.8669.2171.1369.5268.1569.4569.8869.6067.9470.7669.0269.8967.5669.5969.3068.2765.8167.1868.7869.5567.1668.3168.84
20.2231.2327.3462.2617.2614.8525.6117.3722.5624.4329.30-6.1619.8025.8724.3125.0212.6716.4928.5833.287.3320.8821.4931.4620.337.9534.2422.0915.3121.7423.8727.3912.6824.3825.2031.3823.8829.6426.5330.2821.1024.1032.2832.0914.8136.8828.8629.9414.9820.8626.8124.3417.6621.0812.3531.261.9625.6920.62
22.0533.2029.7364.7119.1217.0128.5719.8024.9627.0931.83-4.2023.2426.8724.7425.1613.4216.6328.8033.637.7721.1421.8431.9021.138.6135.0723.0917.5023.7925.6929.2614.4525.9226.9733.2125.4531.2628.0431.6722.3025.0133.1532.9915.6637.6829.5930.7915.8121.5627.5725.1818.3721.9613.3132.283.3026.6321.50
-----------------------------------------------------------
20.2231.2327.3462.2617.2614.8525.6117.3722.5624.4329.30-6.1619.8025.8724.3125.0212.6716.4928.5833.287.3320.8821.4931.4620.337.9534.2422.0915.3121.7423.8727.3912.6824.3825.2031.3823.8829.6426.5330.2821.1024.1032.2832.0914.8136.8828.8629.9414.9820.8626.8124.3417.6621.0812.3531.261.9625.6920.62
20.8321.4723.3250.2415.2411.9920.8815.2218.9312223.90-0.3328.0522.2920.0421.9848.4815.7126.9327.767.7316.8619.7828.0119.338.4627.2718.7314.9219.3318.9821.83-53.0519.1620.3124.8921.0623.9721.6325.4918.0519.6425.3924.8613.8125.7222.1926.0919.1716.9721.4419.9814.6217.418.5524.231.3420.0116.73
0.120.120.120.110.130.130.120.120.130.130.110.110.070.110.140.130.050.130.130.130.130.120.120.130.130.130.130.130.130.130.130.130.130.130.120.120.130.130.130.130.130.130.130.140.140.140.140.140.140.140.140.140.140.140.140.140.140.140.15
0.560.520.570.580.570.550.560.570.610.590.500.520.280.530.690.690.140.700.750.710.840.730.700.800.790.750.750.730.810.760.790.730.830.730.600.610.690.650.630.650.700.640.650.650.720.640.740.680.760.660.700.720.800.720.670.720.850.790.81
1.431.361.331.371.521.391.421.431.441.441.281.280.891.261.491.500.641.571.571.491.661.451.251.391.431.401.401.421.451.451.481.411.501.491.421.441.551.511.531.531.661.501.491.511.661.591.591.501.571.461.541.521.551.531.501.471.541.521.51
62.9466.0667.6565.8659.3264.7863.3362.9162.5662.3870.1770.4310171.5260.4759.9114157.5057.4160.2354.3662.2471.8864.7062.8264.2664.1463.4562.2262.1360.9763.7260.1260.2563.4662.3158.1559.5958.7458.7254.2459.8160.5659.7454.1656.6156.5960.2057.4361.5958.4759.2057.9758.9860.0561.2458.5859.3459.55
6.276.507.0614.084.803.846.554.656.016.057.04-0.692.735.786.306.892.245.229.029.412.755.515.769.466.743.019.226.365.096.096.296.90-17.815.095.326.29-5.875.526.14-4.696.356.363.616.205.546.174.754.275.505.233.964.122.336.370.385.204.47
-29.02-29.43-28.43-353.21-33.22-19.06-37.68-369.05-210.925,192-35.192.2292.46490-2,218.43-110.83-21.79-28.05-38.09-29.56-6.55-21.10-19.79-29.70-18.39-7.65-25.25-19.33-16.61-26.74-22.58-21.5642.90-31.64-26.8527.5818.3919.4616.2017.8613.5313.8319.9622.1412.1816.5814.9517.6615.1016.1319.5321.2018.8119.9314.3314.550.9611.7510.09
2.572.672.865.681.911.512.591.892.472.592.80-0.251.122.462.712.890.912.053.563.590.992.082.293.742.541.133.612.501.992.532.552.79-6.812.422.503.052.703.042.863.272.412.523.423.361.933.603.203.552.652.353.082.882.122.211.223.370.192.862.48
4.234.344.709.443.362.664.543.424.374.434.87-0.462.024.224.604.971.603.656.286.451.813.664.126.694.662.066.344.333.484.184.284.69-11.793.743.854.544.114.444.124.803.833.925.305.222.975.294.745.264.033.754.834.473.363.501.965.260.314.293.66
33.8632.9532.6132.4729.7029.1429.7229.0928.5729.5929.4127.2729.3928.5129.0428.4128.1626.6926.4425.0124.0424.4923.9223.2822.5922.1323.0122.2022.4424.0923.4523.5822.4327.5526.7826.1026.0226.7326.4726.4025.8225.8625.6924.4525.0627.3127.6527.0826.2524.7524.7523.8523.3323.0821.9722.3520.9522.5222.67
10.107.093.331.729.997.123.841.508.905.852.831.257.965.953.581.498.756.613.511.528.815.692.551.268.726.373.531.318.145.853.561.327.675.463.171.066.734.352.420.786.965.162.971.026.534.923.291.366.054.612.530.805.474.272.521.015.153.902.24
8.406.032.711.518.456.223.341.267.274.792.120.936.655.163.151.367.656.023.201.507.674.972.101.038.646.704.091.167.975.323.321.097.144.982.760.876.033.902.160.566.964.992.930.866.855.712.981.164.963.922.110.634.973.952.370.964.593.531.91