Aramark (ARMK) Return on Invested Capital (ROIC) - Discounting Cash Flows
ARMK
Aramark
ARMK (NYSE)

Estimated Value

%

* Values are not guaranteed, please do your own
research before making investment decisions.

Return on Invested Capital (ROIC)

The return on capital or invested capital in a business attempts to measure the return earned on capital invested in an investment.

Read more: Aswath Damodaran - Return Measures PDF

Interactive Assumptions

Historical Years

Historical Years

The number of years of historical data used to calculate averages and trends for analysis.

Historical ROIC Values

Monetary values in USD

ROIC Formula

Return on Capital (ROIC) = After-tax Operating Income / Invested Capital

After-tax Operating Income or sometimes called Net Operating Profit After Tax (NOPAT) is calculated using the reported Earnings Before Interest and Taxes (EBIT) or Operating Income on the income statement adjusted for the tax liability.

After-tax Operating Income = Operating Income * (1 - Income Tax Rate)

There are two ways to calculate invested capital: One looks at the company's assets, and another looks at its financing from debt and equity. In this model, we are using the Asset based approach.

Invested Capital = Total Non-Current Assets + Total Current Assets - Total Current Liabilities - Cash and Equivalents

Monetary values in USD

amounts except #

Average LTM
Feb 09
2025
Oct 03
2024
Sep 30
2023
Sep 30
2022
Sep 30
2021
Sep 30
2020
Sep 30
2019
Sep 30
2018
Sep 30
2017
Sep 30
2016
Sep 30
Return on Invested Capital (ROIC) 5.06% 6.59% 6.59% 6.51% 5% 2.97% 1.21% -1.74% 6.66% 8.95% 6.86% 6.05%
After-tax Operating Income 479.2 601.3 601.3 507.1 495.9 341.2 132.9 -188.7 718.6 985.9 576.1 499.2
Operating Income 592.2 791.8 791.8 706.5 625 415.4 191.4 -264.9 891.2 818.4 801.6 746.3
Income Tax Rate 21.31% 24.06% 24.06% 28.22% 20.66% 17.86% 30.59% 28.76% 19.37% -20.46% 28.13% 33.11%
Invested Capital 9,790 9,119 9,119 7,788 9,914 11,467 10,986 10,856 10,784 11,015 8,399 8,245
Fixed (Non-Current) Assets 10,284 9,782 9,782 9,268 11,651 11,790 11,477 11,037 11,078 10,819 8,353 8,090
Current Assets 3,386 3,523 3,523 3,407 5,220 3,292 2,899 4,676 2,658 2,901 2,653 2,493
Current Liabilities 3,143 3,547 3,547 4,214 5,030 3,286 2,857 2,347 2,705 2,490 2,368 2,185
Cash 736.5 639.1 639.1 672.5 1,927 329.5 532.6 2,509 246.6 215 238.8 152.6
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Discounting Cash Flows

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