Acme United Financial Ratios for Analysis 2009-2023 | ACU

Fifteen years of historical annual and quarterly financial ratios and margins for Acme United (ACU).

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
202320222021202020192018201720162015201420132012201120102009
3.544.774.704.144.415.464.645.075.003.745.774.985.344.625.26
0.190.430.360.420.400.460.490.420.380.380.400.440.390.350.27
0.240.770.580.720.660.840.950.710.600.610.650.790.630.530.37
37.7132.7735.5936.3436.5036.8836.6936.5736.0335.6135.5335.2635.9137.0037.32
6.893.237.016.965.925.436.046.786.696.906.566.355.854.725.12
6.893.237.016.965.925.436.046.786.696.906.566.355.854.725.12
9.555.619.249.258.337.788.268.728.568.487.917.657.186.106.67
11.871.898.335.994.594.034.976.026.026.346.135.925.494.615.84
9.291.567.504.943.873.353.104.704.374.474.474.213.844.074.81
1.281.181.261.261.291.251.141.351.351.351.321.241.331.271.40
2.152.062.192.062.302.102.062.121.982.052.051.801.921.782.13
7.305.955.326.045.595.475.026.225.615.515.735.135.685.125.53
50.0061.3568.6060.4865.3066.7272.7358.6665.0366.3063.6871.1364.2671.2766.05
18.183.8417.7212.919.908.798.1212.6911.1012.1511.4411.5010.1210.1511.58
25.166.0624.8120.6615.6615.0314.8120.7616.0718.7812.9413.3311.4810.9612.53
11.921.859.456.244.984.203.536.365.896.045.885.235.095.196.72
14.672.1711.277.515.994.794.177.406.947.536.916.436.206.628.43
26.8622.3421.8918.7816.6215.6214.8013.8712.9011.9810.949.888.868.267.77
7.900.781.301.634.261.261.292.480.291.321.97-0.410.67-0.362.00
6.62-0.38-0.310.903.770.46-0.631.97-0.180.960.54-0.630.36-0.651.83

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
4.413.794.513.543.874.094.134.774.723.564.894.704.854.644.224.143.614.165.214.414.644.386.345.466.924.626.304.645.576.017.565.075.424.306.675.004.654.144.963.744.313.595.475.775.884.526.124.984.923.826.355.345.643.947.404.625.844.195.365.262.171.865.44
0.230.260.250.190.340.380.390.430.460.430.400.360.360.360.420.420.380.420.400.400.430.440.460.460.490.480.470.490.480.490.490.420.460.470.450.380.400.420.410.380.440.450.330.400.420.440.440.440.440.440.380.390.400.400.420.350.380.350.270.27--0.35
0.300.360.340.240.510.610.640.770.870.770.660.580.570.570.730.720.620.720.670.660.760.780.850.840.960.920.890.950.910.950.950.710.870.900.830.600.650.710.700.610.780.830.490.650.730.780.790.790.800.780.610.630.660.680.710.530.610.530.360.370.380.500.53
38.5440.8238.7039.1138.7137.5435.5232.0032.0132.6734.5435.0635.4836.0235.8136.8434.5336.4537.8236.2935.5036.7337.6236.5035.8537.0138.2435.2236.1937.2838.0837.2037.1735.8436.3235.7634.5336.9236.9436.3835.3735.1035.9134.5035.8735.4836.4133.5636.4735.5935.2235.9634.8836.1436.8637.7635.1736.6838.9738.5536.0137.0838.04
6.0711.505.694.997.269.844.77-0.061.927.003.166.666.188.456.827.094.909.955.624.144.679.374.893.513.959.124.302.615.8310.074.382.686.7111.323.782.836.6611.413.624.476.4311.193.263.586.3711.232.912.386.6711.152.713.305.8810.241.270.574.099.452.292.184.1510.540.72
6.0711.505.694.997.269.844.77-0.061.927.003.166.666.188.456.827.094.909.955.624.144.679.374.893.513.959.124.302.615.8310.074.382.686.7111.323.782.836.6611.413.624.476.4311.193.263.586.3711.232.912.386.6711.152.713.305.8810.241.270.574.099.452.292.184.1510.540.72
---------------------------------------------------------------
5.0010.584.8033.785.598.332.86-1.910.066.002.466.195.5615.626.134.984.609.424.623.043.298.113.301.922.467.813.071.224.649.323.381.675.7310.783.202.125.8511.062.723.795.7010.882.732.985.9810.892.502.026.2310.772.132.855.419.921.121.103.819.152.031.987.1310.630.56
4.628.033.6426.724.276.462.16-1.350.134.821.925.104.2716.124.705.003.657.263.572.882.866.642.571.902.326.132.41-2.173.567.332.382.074.627.972.231.904.047.981.912.803.967.611.922.464.337.781.752.203.927.471.541.683.587.250.831.353.817.611.635.454.777.000.37
0.290.320.280.280.320.330.290.270.290.320.280.320.340.320.320.310.350.360.330.310.320.340.280.280.300.340.300.260.300.360.280.290.320.390.290.280.350.380.290.310.350.380.310.310.310.380.270.290.300.400.320.290.340.390.280.270.320.410.310.320.350.390.26
0.530.580.480.460.570.600.510.470.510.590.470.560.630.590.570.510.590.630.610.550.610.640.480.480.540.590.470.490.590.680.460.440.530.680.430.420.570.590.400.470.620.700.420.500.480.620.370.430.430.670.460.410.540.650.390.370.520.730.430.470.550.620.32
1.541.381.361.601.491.341.391.351.241.211.251.341.331.241.381.501.351.311.311.331.211.131.241.241.131.151.301.161.071.191.311.321.231.181.321.181.271.251.371.271.25-1.191.371.271.121.181.191.271.161.151.231.141.021.131.081.081.011.281.251.291.041.17
58.5865.0766.0056.2960.4767.1564.7466.5272.6474.4971.8767.2667.7772.7965.3359.8466.8168.9168.9667.7174.5379.3572.3872.5779.9978.1469.5077.5984.1275.5668.9368.3173.0776.0668.0476.1770.9971.8965.9071.0772.00-75.7165.8071.1180.5275.9875.7570.9777.8178.3373.3478.7787.9579.4483.0783.6289.2670.1771.7769.8286.7476.68
2.094.281.6511.452.514.121.24-0.760.083.431.073.032.679.713.173.262.615.422.291.751.924.871.531.131.544.661.51-1.312.375.771.411.183.227.181.311.022.766.371.101.753.046.721.051.502.786.651.001.392.637.000.940.962.476.330.470.712.436.290.872.982.945.560.19
2.966.162.2615.853.706.181.92-1.190.135.481.484.243.7814.004.935.213.968.433.712.773.097.932.571.932.628.052.71-2.394.3210.872.851.945.3412.052.301.473.999.351.702.714.7510.781.191.703.167.611.161.623.068.191.061.092.817.200.540.772.436.290.873.222.945.560.19
1.352.571.037.511.382.130.63-0.360.041.540.541.621.455.201.511.571.282.591.180.880.932.280.730.540.702.050.71-0.571.082.600.660.591.483.120.640.541.403.030.550.871.402.890.600.771.362.960.470.631.182.980.490.481.232.850.230.361.233.120.511.731.652.760.10
1.613.171.239.241.672.570.76-0.430.041.940.641.931.716.191.831.891.613.161.381.061.102.740.830.620.782.430.80-0.671.242.960.720.691.723.780.720.641.673.730.651.091.713.680.700.911.613.730.560.781.463.930.580.591.493.780.270.461.514.120.642.172.945.560.12
28.4228.1327.0626.8623.9623.4422.6022.3422.3422.6722.0921.8921.5021.1019.2518.7818.1517.6916.7116.6216.4216.3515.7815.6215.5615.4814.9714.8015.0314.6313.9613.8713.7613.7012.9812.9012.9712.7411.9111.9811.9511.7710.9510.9410.7810.449.839.889.799.498.958.868.888.878.328.268.258.007.747.777.607.246.70
1.37-0.80-2.417.905.822.942.170.78-2.06-1.35-1.421.300.730.04-0.091.630.50-0.680.234.262.080.25-0.201.26-1.27-1.45-1.251.29-0.32-1.23-0.822.480.44-1.57-0.660.29-0.19-1.52-0.891.320.38-0.90-0.471.970.92-0.79-0.27-0.41-0.47-1.13-0.800.67-0.17-1.19-0.92-0.36-0.94-1.46-0.142.001.60-0.42-0.38
0.04-1.80-2.806.624.892.301.97-0.38-2.95-2.07-1.56-0.31-0.45-0.81-0.460.90-0.10-1.060.063.771.760.04-0.330.46-1.90-1.95-1.49-0.63-0.95-1.66-0.951.970.07-1.78-0.79-0.18-0.55-1.75-1.040.960.19-0.97-0.690.540.42-0.93-0.32-0.63-0.64-1.22-0.820.36-0.36-1.28-0.97-0.65-1.14-1.56-0.201.831.47-0.53-0.46