American Eagle Outfitters Financial Ratios for Analysis 2009-2024 | AEO

Fifteen years of historical annual and quarterly financial ratios and margins for American Eagle Outfitters (AEO).

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
2024202320222021202020192018201720162015201420132012201120102009
1.611.431.661.771.391.932.001.831.561.802.232.623.183.032.852.30
-0.010.190.23------------
-0.010.240.30----------0.020.05
38.4834.9839.7530.5435.3336.8636.1137.8736.9935.1733.7040.0036.6840.1439.9140.60
4.234.9511.80-7.225.428.357.989.189.084.744.2711.358.6311.5310.5612.98
4.234.9511.80-7.225.428.357.989.189.084.744.2711.358.6311.5310.5612.98
8.709.2115.21-2.819.6312.5812.4413.5613.319.088.3215.0513.1416.3415.3117.27
4.563.5811.15-7.785.698.557.579.299.144.864.3011.578.8210.7810.3512.81
3.232.518.37-5.574.446.495.385.896.192.452.516.684.864.785.756.07
1.481.461.321.091.292.122.092.032.181.931.951.981.601.571.381.50
5.055.555.456.446.246.006.096.267.277.637.526.275.385.855.415.94
21.2220.5917.4825.7336.1843.1748.4741.6743.5348.3544.7475.0477.4080.2184.6271.10
17.2017.7320.8814.1910.098.457.538.768.397.558.164.864.724.554.315.13
9.797.8329.48-19.2615.3320.3416.3817.6420.297.797.1221.6312.3714.4913.5216.32
11.6010.0939.98-20.5916.0121.3017.2318.6321.718.237.5222.5412.8414.6913.6216.45
4.783.6611.08-6.095.7513.7611.2411.9213.235.234.9015.048.9910.419.9811.71
9.797.7823.78-14.8215.3320.3416.3817.6420.297.797.1221.6312.3714.4913.5216.32
8.828.208.446.537.477.477.036.625.845.866.046.347.316.957.636.86
2.951.981.471.222.432.562.191.991.741.731.182.491.422.031.911.66
2.060.710.340.451.201.501.251.110.970.48-0.362.020.961.661.300.49

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.571.701.611.631.581.581.431.861.641.741.662.042.082.011.771.691.882.351.391.331.341.461.931.851.962.012.001.681.731.821.831.661.661.741.561.701.741.861.801.701.902.182.232.032.302.972.622.723.523.993.183.043.193.413.033.232.913.232.852.602.602.772.30
----0.000.020.010.220.220.230.190.190.210.220.230.230.340.39---------------------------------------------
----0.000.020.010.280.270.290.240.240.260.280.300.300.520.64---------------------------------------0.010.020.030.050.050.05
38.6440.5936.6141.8037.7238.2233.9238.6730.8836.7832.4144.3142.0742.1634.0440.2130.025.1331.0238.1736.7536.6634.6139.8036.6036.9934.6039.0434.6536.4735.4140.1737.3339.1635.0839.9935.7437.4835.0636.9333.4334.9529.3834.8633.7538.8041.1641.6437.3938.7935.6638.1135.3038.0241.6741.5636.7939.7441.7241.3339.2536.1038.67
7.836.800.559.645.442.114.929.481.173.975.3016.4614.0712.900.289.26-1.39-64.930.049.677.875.408.1510.827.926.169.4411.554.614.857.8312.578.357.8310.4611.876.666.0010.472.701.701.302.304.884.056.7412.5314.128.359.079.8611.255.696.3017.5012.175.868.2514.6911.499.224.4715.48
7.836.800.559.645.442.114.929.481.173.975.3016.4614.0712.900.289.26-1.39-64.930.049.677.875.408.1510.827.926.169.4411.554.614.857.8312.578.357.8310.4611.876.666.0010.472.701.701.302.304.884.056.7412.5314.128.359.079.8611.255.696.3017.5012.175.868.2514.6911.499.224.4715.48
---------------------------------------------------------------
8.027.230.9410.165.542.354.789.10-3.983.964.4816.0313.4412.25-0.128.71-2.18-65.500.139.918.255.878.3311.258.016.229.7610.173.814.907.9512.647.978.4910.2511.936.386.8610.612.781.821.412.314.944.206.6412.6614.438.319.579.8911.205.907.0417.619.215.698.2714.7811.438.574.0915.47
5.985.920.387.434.041.713.656.55-3.543.013.3411.9510.189.230.275.63-1.56-46.610.367.576.244.606.128.526.254.857.656.642.513.314.988.055.065.407.398.064.174.155.751.060.820.601.012.902.694.128.488.632.575.605.026.402.944.659.744.391.481.686.278.044.423.593.78
0.360.320.470.370.350.320.440.340.330.290.400.340.340.300.380.290.240.150.390.310.310.270.650.510.520.480.680.530.500.470.620.520.490.470.690.490.450.420.630.480.420.390.610.470.410.410.640.500.370.370.520.430.360.330.480.390.350.330.440.350.320.320.44
1.191.001.660.981.171.071.690.951.210.981.840.961.371.282.101.101.471.242.031.021.231.231.921.021.311.282.021.101.271.331.981.141.221.362.351.151.251.312.501.151.201.282.521.081.051.221.981.101.001.181.790.910.951.141.731.071.181.201.691.021.111.401.80
5.574.956.775.444.434.176.174.945.434.585.265.587.696.948.858.288.245.1711.049.5010.5612.0013.3111.9413.0111.3015.6912.4510.479.5912.6712.5712.6010.2313.6714.4115.7310.9315.7915.2915.119.5414.1014.4615.8212.3124.1219.1918.4018.9125.3519.9221.2219.3724.3418.6315.5916.3627.2115.8015.859.8420.87
16.1618.1713.2916.5620.3421.5714.5818.2016.5919.6617.1116.1411.7112.9710.1810.8710.9217.418.159.488.537.506.767.546.927.965.747.238.609.387.117.167.148.806.596.255.728.245.705.895.969.436.386.225.697.313.734.694.894.763.554.524.244.653.704.835.775.503.315.705.689.144.31
4.563.870.365.562.901.143.415.56-3.092.303.5410.909.538.120.335.44-1.38-25.790.386.415.293.285.926.604.793.317.545.481.892.264.536.463.783.767.775.732.852.546.150.810.510.340.902.091.632.327.766.422.902.994.514.191.842.077.462.371.882.385.494.462.501.535.94
5.424.570.436.983.691.464.407.42-4.233.144.8111.4710.088.630.355.71-1.45-27.210.406.705.543.446.206.915.033.487.935.792.002.394.796.864.034.018.326.033.012.686.490.850.540.360.952.201.712.428.096.683.003.104.684.351.912.167.572.401.902.415.534.492.521.545.98
2.181.900.182.751.420.551.602.21-1.170.861.334.063.482.810.101.66-0.38-7.080.142.341.931.254.004.313.262.315.173.541.261.553.064.162.462.545.073.671.891.744.130.510.350.230.621.351.101.685.404.502.172.303.283.031.341.555.361.741.401.824.063.241.831.154.26
4.563.870.365.562.901.123.394.34-2.431.772.868.787.566.340.254.18-0.91-15.680.386.415.293.285.926.604.793.317.545.481.892.264.536.463.783.767.775.732.852.546.150.810.510.340.902.091.632.327.766.422.902.994.514.191.842.077.462.371.882.385.494.462.501.535.94
8.828.928.828.808.478.208.207.807.338.168.448.287.577.016.536.436.016.027.477.557.277.227.477.347.156.857.036.576.356.326.626.446.085.965.846.225.965.875.865.765.835.916.046.196.256.276.346.497.537.517.317.147.017.016.957.167.057.337.637.337.126.976.86
0.20-0.192.951.430.75-0.041.98-0.44-0.58-0.491.470.650.580.001.22-0.06-0.22-1.262.431.060.680.042.561.370.850.162.191.050.300.061.991.100.550.161.740.820.24-0.071.730.690.15-0.021.180.38-0.05-0.202.491.040.240.091.42-0.10-0.34-0.202.030.740.11-0.131.910.790.43-0.071.66
-0.29-0.372.060.750.29-0.270.71-1.46-1.29-0.760.34-0.050.17-0.180.45-0.56-0.59-1.461.200.170.15-0.171.500.560.29-0.111.250.30-0.19-0.161.110.520.220.030.970.27-0.16-0.280.48-0.39-0.60-0.39-0.36-0.85-0.79-0.432.020.690.00-0.030.96-0.54-0.63-0.391.660.41-0.09-0.221.300.280.09-0.240.49