MercadoLibre Financial Ratios for Analysis 2011-2026 | MELI

Fifteen years of historical annual and quarterly financial ratios and margins for MercadoLibre (MELI).

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
1.171.211.271.281.401.472.161.301.331.511.691.821.461.621.69
-0.400.420.590.590.340.240.640.490.410.460.440.010.000.00
-1.311.462.602.300.850.412.181.130.730.870.800.050.000.00
44.5046.0950.2448.2242.5143.0048.0048.4259.1563.5867.0171.4372.4873.7575.90
11.0812.6614.619.926.243.22-6.67-4.834.6321.4421.3621.6532.4934.7033.38
-12.6614.619.926.243.22-6.67-4.834.6321.4421.3621.6532.4934.7033.38
-15.6318.0813.659.125.86-3.48-0.857.9924.8824.9224.6935.0037.1035.81
-11.7110.287.243.412.04-4.67-4.554.4421.9523.0921.8834.5137.5336.28
6.919.206.534.471.17-0.03-7.88-2.541.1316.1516.2313.0424.8627.1025.68
-0.820.860.780.700.610.480.640.730.620.650.580.800.780.84
-37.8431.5836.7216.0619.17138161195279968----
-2.032.352.262.253.063.842.931.952.494.064.226.066.717.35
-18015516216211994.9812518714789.8186.4660.1954.3749.66
29.5943.9232.1426.385.42-0.06-8.67-10.874.2331.8031.1620.4234.2234.9735.04
-46.1534.3529.236.20-0.06-9.14-15.966.5543.8847.2427.5441.7145.6251.00
4.687.585.603.510.82-0.02-3.60-1.630.829.9710.547.5119.8421.1721.58
-26.4018.7110.822.21-0.04-6.58-3.902.1618.6616.6911.3933.9734.9635.02
-85.8260.5836.3530.3633.1239.897.457.389.717.698.067.786.564.97
-15610157.2719.3823.769.265.196.094.315.014.463.233.172.03
-13990.7948.417.8718.806.452.994.402.573.603.680.652.791.60

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
2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.161.171.171.201.201.211.251.281.271.271.271.281.281.281.341.301.401.401.231.181.221.471.641.792.232.162.732.542.821.301.621.151.181.331.441.421.481.511.531.591.571.691.701.581.821.822.012.551.491.461.441.571.581.621.781.771.811.691.671.58
--0.350.380.360.400.440.400.400.420.440.520.550.590.630.610.620.590.940.961.020.340.260.250.250.240.230.220.210.640.620.680.550.490.430.400.390.410.430.450.460.460.450.450.460.440.450.450.010.010.000.000.000.000.000.000.000.000.000.00
--1.261.281.291.311.341.271.321.461.632.122.372.602.872.812.582.3022.2429.23-71.520.850.710.670.500.410.360.360.342.182.043.101.781.130.820.710.670.730.770.820.850.870.820.840.870.800.830.840.030.050.060.040.000.000.000.000.000.000.000.00
43.6643.2043.3145.5746.6945.3745.9146.6246.7146.5053.3551.0750.6646.0150.1149.4447.7340.0543.4344.2742.8936.8143.0448.6347.9745.7347.1549.9750.0347.8447.7747.6350.7156.8057.6660.4362.6163.5063.0963.2664.8265.0566.3167.4069.8170.4670.6672.4172.6673.1172.2572.3072.1173.5973.5873.1174.8176.0375.4275.58
6.9110.159.7712.1512.8613.5310.4914.3112.197.6019.9918.6613.1211.8311.009.636.181.138.619.756.60-1.877.4511.32-4.55-10.22-13.59-2.292.14-0.19-3.10-8.42-9.17-18.049.0310.5823.4825.2423.2716.1219.3418.6426.8522.4517.2828.0331.87-4.4829.4738.7130.3931.6027.8137.7134.6635.8929.7733.5036.7131.06
--9.7712.1512.8613.5310.4914.3112.197.6019.9918.6613.1211.8311.009.636.181.138.619.756.60-1.877.4511.32-4.55-10.22-13.59-2.292.14-0.19-3.10-8.42-9.17-18.049.0310.5823.4825.2423.2716.1219.3418.6426.8522.4517.2828.0331.87-4.4829.4738.7130.3931.6027.8137.7134.6635.8929.7733.5036.7131.06
------------------------------------------------------------
--8.5810.5411.9012.599.7913.1711.105.2213.5213.1710.049.497.366.284.94-1.556.788.100.73-3.344.7210.17-2.56-9.34-11.101.343.24-1.60-4.03-5.65-7.90-18.0612.024.3825.8326.3922.6514.1323.6029.3428.2421.6911.0630.9635.02-14.4733.8941.4633.5036.3024.6840.7036.9639.5532.1335.6743.0032.37
4.716.385.687.708.3210.557.4710.477.943.749.147.316.315.084.804.742.89-2.165.113.99-2.47-3.611.266.26-3.39-8.16-24.392.791.27-0.55-2.84-3.36-4.02-18.919.071.8717.9920.0416.867.9419.1921.5627.0612.611.1621.1622.82-19.4126.2330.2823.8026.7217.0229.1026.7728.5723.4524.9932.2121.36
--0.200.210.210.240.230.250.230.250.240.240.220.240.220.230.200.210.270.280.270.200.190.160.150.140.140.120.110.190.180.220.190.210.190.190.180.190.180.180.150.180.160.150.150.170.160.150.190.230.220.210.200.220.230.220.220.240.250.22
--7.898.528.8411.188.9210.5410.359.917.457.437.9011.538.397.174.925.054.645.605.997.1013.6221.6628.0142.4231.4545.8578.8448.4025.0922.1347.0660.6955.9110923384.8161.3874.09132285421-----------------
--0.500.500.530.590.590.650.600.690.670.710.660.680.610.590.530.680.820.941.011.021.191.061.201.131.210.820.990.870.920.750.470.580.630.900.800.750.900.780.651.130.700.870.791.221.181.401.361.731.911.351.681.861.731.992.082.132.853.03
--17917917115215313815113113512713613314715217113311095.4989.1687.9675.8684.8774.8479.7674.6911090.7310397.3812019115714499.9411211910111513779.8612910311473.5376.4864.2566.0352.1047.1766.5453.5548.2852.0445.1643.3242.3331.6129.70
5.738.286.779.159.8714.699.9214.5210.155.3713.1011.639.859.037.917.784.09-3.0077.2583.92112-3.080.863.09-1.13-2.72-7.170.760.54-0.69-2.95-7.27-5.11-20.796.811.1610.0611.979.854.358.5711.4812.565.650.529.609.90-7.658.6711.898.999.725.8410.449.7210.258.269.8612.657.50
--7.099.6110.3815.4310.4315.3610.825.7414.0212.6910.8310.018.878.794.70-3.44839-242.6025.47-3.280.913.27-1.19-2.87-7.540.800.56-1.02-4.30-21.70-9.45-32.209.661.5713.4716.5214.276.6313.0017.4018.939.340.7112.9513.48-10.7310.4014.4911.2112.377.6213.6113.0914.1811.7514.3619.0211.19
0.891.311.151.591.782.541.752.651.800.942.231.721.421.201.081.070.59-0.461.401.11-0.65-0.780.261.03-0.47-1.13-3.290.350.27-0.10-0.50-0.74-0.75-4.051.710.353.273.763.101.392.793.884.271.910.183.533.59-2.885.076.895.125.673.486.326.056.375.216.078.084.80
--4.375.696.288.835.598.716.133.137.295.544.433.702.953.001.54-1.224.543.64-2.09-2.020.642.31-0.85-2.07-5.490.590.42-0.25-1.12-2.31-2.28-10.623.870.696.177.035.602.404.666.156.963.080.285.355.41-4.188.6211.808.999.725.8410.439.7210.248.269.8612.647.49
--12311398.7085.8278.9472.1166.8760.5854.2844.9640.6336.3532.4331.3931.5430.362.491.63-0.6133.1235.0836.3837.5539.8941.0043.5144.897.457.563.505.737.389.2010.4010.929.718.958.268.007.698.237.807.508.067.727.587.927.787.347.006.796.566.075.615.384.974.714.48
--13677.8720.3415698.5166.9529.8210163.9744.4016.7757.2727.2413.38-4.6219.385.32-0.02-5.3123.7618.6211.36-1.729.267.503.363.015.194.402.43-0.846.095.495.132.374.313.341.02-0.275.012.522.190.864.463.141.990.633.232.781.340.683.171.901.320.432.031.410.76
--11866.8514.9713987.5660.4026.9090.7957.4240.4315.0348.4120.588.70-7.347.87-3.25-5.30-7.5818.8015.429.45-2.636.455.471.922.292.992.841.37-1.364.404.314.342.082.571.950.17-0.623.601.691.650.703.682.581.660.470.651.060.480.622.791.631.140.351.601.020.46