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  • Income Statement
  • Balance Sheet
  • Cashflow Statement
  • Profitability
  • Ratios

Starbucks Corporation Income Statement

Chart 2024 2020 2021 2022 2023
Revenue
$36.18B $23.52B $29.06B $32.25B $35.98B
Cost of Revenue
$26.47B $18.46B $20.67B $23.88B $26.13B
Gross Profit
$9.71B $5.06B $8.39B $8.37B $9.85B
Research & Development
- - - - -
Selling,General & Administrative
$2.52B $1.68B $1.93B $2.03B $2.44B
Operating Expense
$4.30B $3.50B $3.52B $3.75B $3.98B
Operating Income
$5.41B $1.56B $4.87B $4.62B $5.87B
Net Income
$3.76B $928.30M $4.20B $3.28B $4.12B

Starbucks Corporation Balance Sheet

Chart 2024 2020 2021 2022 2023
Cash and Cash Equivalents
$3.54B $4.63B $6.62B $3.18B $3.95B
Inventories
$1.78B $1.55B $1.60B $2.18B $1.81B
Total Current Assets
$6.85B $7.81B $9.76B $7.02B $7.30B
Property,Plant and Equipment
$17.95B $14.38B $14.61B $14.58B $15.80B
Goodwill
$3.32B $3.60B $3.68B $3.28B $3.22B
Total Assets
$31.34B $29.37B $31.39B $27.98B $29.45B
Total Liabilities
$38.78B $37.17B $36.71B $36.68B $37.43B
Retained Earnings
-$7.34B -$7.82B -$6.32B -$8.45B -$7.26B
Total Shareholder Equity
-$7.45B -$7.81B -$5.32B -$8.71B -$7.99B
Common Stock
$1.10M $1.20M $1.20M $1.10M $1.10M

Starbucks Corporation Cash flow

Chart 2024 2020 2021 2022 2023
Depreciation & Amortization
$1.59B $1.50B $1.52B $1.53B $1.45B
Dividends Payout
-$2.59B -$1.92B -$2.12B -$2.26B -$2.43B
Capital Expenditures (Capex)
-$2.78B -$1.48B -$1.47B -$1.84B -$2.33B
Free Cash Flow (FCF)
$3.32B $114.20M $4.52B $2.56B $3.68B

Starbucks Corporation Profitability

Chart 2024 2020 2021 2022 2023
Gross Profit
$9.71B $5.06B $8.39B $8.37B $9.85B
Gross Profit Margin (%)
26.84% 21.51% 28.87% 25.96% 27.37%
Operating Income
$5.41B $1.56B $4.87B $4.62B $5.87B
Operating Income Margin (%)
14.95% 6.64% 16.77% 14.32% 16.32%
Net Income
$3.76B $928.30M $4.20B $3.28B $4.12B
Net Income Margin (%)
10.40% 3.95% 14.45% 10.18% 11.46%
EBITDA
$7.12B $3.10B $7.35B $6.24B $7.40B
EBITDA Margin (%)
18.52% 14.39% 22.91% 19.50% 20.38%

Starbucks Corporation Ratios

Chart 2024 2020 2021 2022 2023
Return on Equity (ROE)
-50.49% -11.89% -78.92% -37.69% -51.59%
Return on Assets (ROA)
12.00% 3.16% 13.38% 11.73% 14.01%
Debt to Equity
-228.64% -209.46% -298.19% -187.09% -208.57%
Debt to total asset
54.35% 55.65% 50.54% 58.22% 56.63%
Enterprise value to revenue
3.44 5.18 5.11 3.71 3.49
Enterprise value to EBITDA
21.06 39.25 20.19 19.17 16.96
Enterprise value
$124.62B $121.85B $148.40B $119.73B $125.56B
Cash to Debt
35.79% 9.77% 37.75% 26.99% 36.03%
Tax Rate (%)
24.29% 20.59% 21.59% 22.41% 23.64%
Payout Ratio
68.73% 207.21% 50.46% 68.97% 58.96%