Skip to content

Quick ratio at other companies

Abbott logo
AbbottABT
-0.3×
Johnson & Johnson logo
Johnson & JohnsonJNJ
0.8×-0.3×
PBH
Prestige Consumer HealthcarePBH
2.3×-0.6×
Kenvue logo
KenvueKVUE
0.7×+0.1×
Bath & Body Works logo
Bath & Body WorksBBWI
0.8×+0.1×
Ollie's Bargain Outlet Holdings, Inc. logo
Ollie's Bargain Outlet Holdings, Inc.OLLI
0.7×-0.4×

Other financials

Income statement

See full
Revenue$969.2M-7.2%
Gross profit$325.5M-17.0%
Operating income-$372.3M-894%
Net income-$398.6M-6,128%
EPS (diluted)-$2.87-5,640%

Balance sheet

See full
Cash & equivalents$357.2M-12.9%
Total debt$3.8B-0.6%
Total equity$2.5B-42.7%
Total assets$8.0B-18.2%

Cash flow

See full
Operating cash flow-$113.6M-76.1%
CapEx$13.8M-45.9%
Free cash flow-$127.4M-41.6%

Valuation

See full
Market cap$1.35B-62.9%
Enterprise value$4.82B-32.0%
P/S0.3×-0.5×

Profitability

See full
Gross margin34.2%-2.2pp
Operating margin-36.9%-41.8pp
Net margin-43.5%-48.6pp
FCF margin4.2%-2.0pp

Returns & leverage

See full
Return on equity-53%-57.7pp
Debt / equity1.5×+0.6×
Current ratio2.7×+0.4×

Where this comes from

Calculated from Perrigo Company’s reported figures.

Based on the most recent quarter.

The official record: Perrigo Company’s 10-Q, filed May 6, 2026, on SEC EDGAR. View the filing →

Ask your AI about Perrigo Company's quick ratio.

Connect your AI assistant and compare it to peers, right in your chat.

Connect your AI
Harbor at dusk
Claude

Questions, answered.

What is Perrigo Company's quick ratio?
Perrigo Company (PRGO) reported quick ratio of 1.6× in Q1 2026.
How has Perrigo Company's quick ratio changed year-over-year?
Perrigo Company's quick ratio increased by 24.3% year-over-year, from 1.3× to 1.6×.
What is the long-term trend for Perrigo Company's quick ratio?
Over 5 years (2020 to 2025), Perrigo Company's quick ratio has grown at a 1.6% compound annual growth rate (CAGR), from 1.5× to 1.6×.
What does quick ratio mean?
Current assets excluding inventory, divided by current liabilities at the quarter end (the 'acid-test'). A stricter liquidity measure that excludes the least-liquid current asset.