Albany Financial Ratios for Analysis 2009-2023 | AIN

Fifteen years of historical annual and quarterly financial ratios and margins for Albany (AIN).

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
3.533.973.653.763.053.133.372.513.582.513.312.172.973.062.61
0.320.340.290.330.380.460.470.460.350.300.350.320.470.500.53
0.470.510.400.490.600.860.900.950.530.530.560.650.901.001.18
36.9137.6640.7241.2037.7335.6034.3038.6339.2639.1338.3640.1339.9037.9634.34
14.6317.4919.1618.4418.3613.999.1112.079.009.576.88-5.809.488.71-4.90
14.6317.4919.1618.4418.3613.999.1112.079.009.576.88-5.809.488.71-4.90
21.3124.1627.1526.5125.1222.1817.9220.7217.4718.2015.302.5117.9117.194.43
13.9812.7517.8615.4416.9111.736.3310.047.259.064.10-8.986.846.52-0.96
9.689.2512.7510.9512.568.443.836.768.075.582.314.074.445.07-4.54
0.630.630.600.580.720.690.630.620.700.720.670.660.640.580.55
4.274.644.674.796.907.374.163.574.054.234.143.823.643.212.81
3.844.984.794.634.704.264.134.424.754.524.634.444.433.953.49
95.0273.3576.1878.7777.7185.6988.3082.5776.7780.7978.8182.2882.3092.42104
11.5411.1213.5311.8618.9813.655.6910.3311.398.133.23-8.285.116.43-5.08
15.0314.7218.0916.6128.4521.039.2918.5713.139.463.78-9.816.277.89-7.22
6.085.887.636.279.055.852.394.185.674.061.57-3.531.732.15-1.60
7.867.399.677.9811.847.333.005.597.465.682.09-5.602.703.23-2.37
31.0127.8927.3425.3521.7518.8517.8015.9215.7016.1217.2415.7113.2913.6613.68
4.734.086.704.336.204.101.992.523.052.631.961.093.343.190.46
2.031.015.053.024.101.54-0.730.231.480.79-0.06-0.092.432.18-0.93

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
3.683.593.993.533.534.994.823.974.274.444.433.654.144.094.223.763.803.673.763.053.133.192.993.132.902.993.243.372.492.472.582.513.553.773.763.582.612.742.572.513.493.543.593.312.232.292.632.172.772.822.582.972.983.213.173.062.722.662.832.612.632.572.83
0.270.280.310.320.330.350.350.340.350.370.330.290.280.290.320.330.360.380.420.380.390.430.440.460.470.470.470.470.450.450.450.460.480.480.330.350.320.340.320.300.340.340.350.350.330.360.360.320.370.400.380.470.460.460.470.500.500.530.550.530.540.550.59
0.360.390.450.470.530.530.550.510.550.590.490.400.400.400.460.490.560.620.730.600.640.740.780.860.870.890.870.900.900.920.910.950.940.940.490.530.570.620.580.530.530.510.550.560.600.670.680.650.650.720.680.900.870.860.901.001.011.161.241.181.171.241.44
30.2933.8534.6937.0436.2337.4736.9136.1238.5738.4937.5240.0539.6043.3839.8240.2541.1845.5737.9537.5038.4038.3936.5134.9436.6835.8934.7934.1935.8129.3138.1536.6337.8638.5442.0740.3842.3731.6942.2938.0238.1538.9341.4938.1537.1339.1138.9940.6340.9340.9037.9238.4638.9838.9842.9844.2637.8937.7436.1141.3133.9232.4133.47
8.4412.9212.4412.9114.2516.6015.0714.1020.5919.4015.8717.4019.1421.3118.8115.4218.2923.3316.7916.9120.5419.7915.9514.8716.2116.517.6010.2410.324.5711.3813.7012.988.7912.928.3814.451.7611.116.5910.659.8111.4310.467.24-1.7712.0610.1211.88-44.81-0.504.4013.366.5813.0517.797.9510.464.5616.01-3.44-13.90-7.06
8.4412.9212.4412.9114.2516.6015.0714.1020.5919.4015.8717.4019.1421.3118.8115.4218.2923.3316.7916.9120.5419.7915.9514.8716.2116.517.6010.2410.324.5711.3813.7012.988.7912.928.3814.451.7611.116.5910.659.8111.4310.467.24-1.7712.0610.1211.88-44.81-0.504.4013.366.5813.0517.797.9510.464.5616.01-3.44-13.90-7.06
---------------------------------------------------------------
6.5410.3312.3312.2012.9417.1114.0111.702.9320.5916.0016.4918.8619.1416.9314.0818.5321.168.5015.2719.6717.7614.6711.0515.6314.415.046.688.571.408.799.7810.937.9611.816.3612.26-1.4411.456.4810.319.5010.078.183.87-4.689.516.748.25-45.54-5.613.3511.184.058.4113.593.2410.063.8416.69-1.910.73-9.93
6.047.428.719.419.649.739.996.754.1015.0011.3611.9413.2813.3912.4012.1413.9614.323.8611.3114.7612.4311.616.9911.0111.713.432.606.870.525.447.416.835.107.8321.185.40-1.266.744.136.575.805.894.582.57-3.736.174.234.86-17.5826.12-3.798.334.628.0928.071.593.462.623.35-2.34-6.00-9.03
0.170.190.170.180.160.160.160.160.170.160.150.150.150.150.150.150.140.150.160.170.190.190.170.180.170.180.160.170.160.160.160.170.150.160.170.180.180.170.180.190.160.170.160.170.160.170.160.170.170.170.160.150.160.140.160.060.180.190.160.070.160.150.15
1.301.361.231.200.991.131.101.231.201.201.231.221.191.101.141.231.101.061.341.691.581.621.561.911.601.681.461.090.911.010.821.010.860.860.900.990.931.071.001.110.910.950.871.040.971.030.940.970.940.880.810.900.730.640.700.280.900.920.810.330.760.710.67
1.061.140.991.081.021.091.201.291.281.301.181.241.151.191.141.170.981.081.091.151.171.201.041.091.001.000.881.091.071.071.111.211.111.141.111.191.181.071.111.161.221.301.181.161.021.010.971.131.021.051.021.070.880.850.930.391.061.181.090.461.161.081.05
84.5478.6291.1183.1188.6582.3075.1769.6370.0869.3776.5572.7578.4675.6779.1077.1192.0783.0882.8478.3976.6874.8286.2782.5090.2190.0710382.9484.3083.9881.1074.5280.9578.6581.3575.7276.4784.1081.1177.4773.8069.0576.0677.6287.9488.7392.5679.4488.2285.8287.8983.8110210596.8123184.6376.0182.8319477.5583.7285.93
1.832.542.813.162.952.933.022.101.324.793.253.283.513.623.343.373.954.601.134.216.055.264.692.844.605.041.330.902.700.232.083.132.551.962.557.462.03-0.432.521.582.182.001.951.560.91-1.462.341.621.83-12.09-0.03-2.693.220.942.872.420.862.091.381.25-1.15-0.64-4.94
2.353.283.644.113.883.813.952.781.776.464.344.384.724.914.624.725.726.831.736.318.797.777.084.387.137.982.121.474.450.393.625.624.022.822.938.592.36-0.502.911.842.532.332.281.821.08-1.742.761.922.16-14.35-0.03-3.294.361.263.912.971.212.981.961.77-1.61-0.90-7.13
1.041.411.521.661.521.571.601.110.692.441.781.852.012.061.831.781.992.220.512.012.862.352.041.221.932.100.560.381.130.090.871.271.060.811.313.710.99-0.211.220.791.060.980.930.760.40-0.611.000.690.80-5.08-0.01-0.911.140.341.020.810.290.650.430.39-0.37-0.20-1.39
1.341.831.942.151.961.911.951.400.853.012.172.342.512.582.282.272.532.840.652.633.693.022.631.532.462.680.710.471.490.131.151.691.321.011.714.881.39-0.291.701.101.431.331.261.010.61-0.941.491.091.16-7.30-0.02-1.421.730.501.521.210.440.990.620.58-0.53-0.29-2.04
31.8931.1531.1731.0129.5429.3728.8027.8926.3426.4227.3527.3427.1926.8125.5325.3523.1921.8420.7221.7520.5220.1619.4018.8518.8618.3418.4517.8017.5416.8516.4415.9216.3616.0616.2915.7014.9215.3715.2216.1216.9417.5717.2617.2416.2115.1815.5815.7115.8015.2315.2913.2914.4015.5514.9313.6613.5112.1413.1113.6814.3613.9712.47
4.462.970.314.732.360.47-0.534.082.161.20-0.176.704.582.951.044.332.591.36-0.216.203.922.570.764.101.900.52-0.591.990.670.12-0.142.521.660.750.173.051.850.540.202.632.001.300.281.961.981.020.131.09-0.33-1.70-1.353.342.361.650.673.192.251.950.540.460.64-0.11-0.38
2.481.48-0.552.030.79-0.65-1.051.010.460.05-0.665.053.592.240.653.021.610.68-0.604.102.401.470.121.540.02-0.70-1.08-0.73-1.26-1.33-0.920.230.06-0.15-0.081.480.59-0.43-0.180.790.540.43-0.19-0.060.490.12-0.29-0.09-1.13-2.16-1.492.431.721.150.482.181.591.440.29-0.93-0.54-1.02-0.94