Armanino Foods Of Distinction Financial Ratios for Analysis 2009-2024 | AMNF

Fifteen years of historical annual and quarterly financial ratios and margins for Armanino Foods Of Distinction (AMNF).

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
2.932.822.875.154.824.864.474.723.553.413.303.232.372.892.53
---0.030.060.110.16-0.010.040.100.180.12--
---0.030.100.160.250.010.040.090.170.280.340.01-
34.4729.9532.4628.1334.7635.2034.5735.2335.1436.5335.8534.3334.7935.6433.58
17.5115.3016.227.2219.1919.1918.2317.8418.1219.0418.0816.2514.9615.5911.95
17.5115.3016.227.2219.1919.1918.2317.8418.1219.0418.0816.2514.9615.5911.95
18.5216.6117.689.2420.6620.5219.1718.8919.0519.8018.8817.0815.8816.5513.22
18.3715.3216.477.2619.2319.4218.5718.3018.4419.2218.2416.2515.0715.8712.31
13.7811.4113.086.3615.2414.9813.0511.8411.6212.2311.5310.339.6310.087.48
1.441.481.231.211.491.651.752.372.462.502.642.982.692.672.69
8.903.275.756.835.426.546.176.739.367.158.798.786.988.538.48
7.888.055.086.386.606.696.637.857.708.677.718.299.207.958.42
46.3345.3771.8357.1855.2954.5655.0446.5247.3742.1247.3344.0339.6945.9043.33
28.7125.4224.689.7030.3034.4634.3634.4138.0843.1145.8950.8745.8037.8730.85
29.1425.8725.169.9130.9535.3335.4435.7239.6445.1048.3954.4749.3540.3633.21
19.8516.8516.147.6822.7224.7622.8228.1028.5330.5230.4730.7825.9226.9220.90
28.7125.4224.689.3928.3830.7728.7234.4137.7641.2941.2741.9140.3437.8730.85
0.950.810.720.650.670.570.46--0.280.230.180.160.170.15
0.520.080.200.200.190.210.120.100.130.110.100.090.060.070.07
0.490.060.190.170.160.170.010.090.100.110.080.080.050.060.06

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-31
2.702.332.933.043.172.912.822.813.153.142.873.283.233.475.153.834.374.324.824.525.315.844.865.324.564.884.473.824.084.094.724.243.883.873.553.343.623.323.413.203.382.643.302.953.263.403.232.542.942.902.37---
------------0.010.020.030.020.040.060.060.070.080.100.110.120.130.150.160.080.08----0.000.010.010.020.030.040.050.070.090.100.120.140.160.180.190.200.220.12---
------------0.010.020.030.050.070.090.100.110.130.150.160.170.200.220.250.100.100.000.010.010.020.030.040.050.060.080.090.110.130.160.170.190.220.250.280.310.320.350.34---
41.6138.3639.1434.9634.4229.4230.1327.1733.2028.9233.4730.4434.2731.6534.9529.6110.9029.9432.2332.7438.2335.6434.3835.9435.7034.6732.9835.2435.0734.9332.9034.9637.3535.6733.3334.7436.7435.8034.0637.1237.7737.1434.1036.7036.1936.5032.4134.9935.2334.6932.3834.4937.3534.82
27.6618.0219.3817.9817.3615.3515.6812.9217.2515.2616.8816.5715.8915.2810.7410.69-17.0813.9216.5216.6023.9919.2316.1621.4021.1217.6314.8120.4518.9118.6213.7419.0019.6418.8014.8918.2620.4918.9514.8921.3220.6619.0515.6219.5419.1018.1612.8118.0218.4015.7210.8016.4517.1515.15
27.6618.0219.3817.9817.3615.3515.6812.9217.2515.2616.8816.5715.8915.2810.7410.69-17.0813.9216.5216.6023.9919.2316.1621.4021.1217.6314.8120.4518.9118.6213.7419.0019.6418.8014.8918.2620.4918.9514.8921.3220.6619.0515.6219.5419.1018.1612.8118.0218.4015.7210.8016.4517.1515.15
------------------------------------------------------
29.2519.8220.8518.9717.9115.7514.9013.3517.4415.4617.1116.9216.0615.5610.7010.87-17.4214.1616.4316.6924.0519.3516.2821.5021.6317.8114.9920.5919.4919.1014.5619.4119.9419.1415.2218.6920.7419.2315.2121.5320.7619.1415.9019.7219.1618.2412.8218.1218.3815.6610.7716.5117.3015.44
21.7614.7515.9614.0813.3611.7210.5410.0913.1811.6815.0712.6412.3011.9810.588.69-13.9411.3313.0214.7118.2814.7011.9916.7716.8713.8914.2913.1812.4712.2310.4612.2312.5612.0610.5611.4612.7011.7911.1413.1812.7211.7411.0712.0911.7511.199.2711.1211.289.628.1510.1010.629.54
0.380.340.360.380.380.410.350.390.440.350.340.370.350.320.330.310.190.330.380.360.420.380.410.440.480.420.430.530.560.570.570.610.580.620.640.600.670.620.620.690.650.630.690.670.720.690.760.680.720.700.65---
1.822.102.091.080.900.740.771.391.811.311.542.201.691.671.671.831.131.271.451.361.571.401.631.892.021.391.561.802.421.941.681.771.572.492.512.392.521.991.842.352.022.232.372.092.472.162.291.922.082.251.74---
2.071.731.992.141.931.781.911.681.831.491.382.101.571.271.731.441.221.451.701.621.681.611.641.511.631.721.641.761.661.771.891.721.851.742.011.912.102.032.151.951.871.762.021.911.751.872.102.061.831.782.22---
43.4852.0445.1242.1046.7050.5247.2053.5349.2560.4065.0942.9557.2271.1152.1762.3173.9762.0253.0855.5753.4455.7754.8359.4355.3552.3654.9251.1154.0950.9547.5552.4348.5351.6144.8047.1142.8544.3641.9246.2448.0251.2544.5647.2351.3848.0542.8243.7849.2550.6540.63---
12.248.158.427.817.237.145.566.098.646.127.746.726.095.244.363.53-3.525.116.657.3210.497.666.7710.1511.638.529.309.379.568.727.339.559.509.809.029.4911.5810.319.7313.2812.0912.1011.5412.8913.1412.3511.5714.3414.4912.239.33---
12.428.288.557.937.357.265.666.208.806.247.896.866.225.364.463.61-3.605.226.797.4810.737.856.9410.4111.968.779.599.699.909.047.619.909.8610.199.399.9012.0710.7710.1813.8812.6912.7812.1713.6313.9413.1712.3915.3915.5513.1710.06---
8.325.095.825.405.054.813.693.955.794.095.064.684.363.833.452.66-2.673.794.985.337.725.604.867.358.035.856.186.977.026.955.997.497.287.506.766.918.577.326.899.068.317.367.668.148.477.777.007.618.166.695.28---
12.248.158.427.817.237.145.566.098.646.127.746.726.035.154.223.46-3.374.836.236.789.626.926.048.9510.097.237.778.648.818.727.339.559.509.778.949.3611.3410.009.3212.5511.2511.0010.3811.3911.3610.439.5411.5711.559.518.22---
0.970.890.950.900.870.840.810.800.780.740.720.700.680.660.650.640.630.670.670.650.630.590.570.550.520.480.460.440.420.40-0.370.360.35-0.320.310.290.280.270.250.220.230.220.200.190.180.170.170.160.16---
0.190.060.520.25-0.10-0.100.080.12-0.01-0.030.200.210.120.030.200.170.140.050.190.130.070.020.210.160.110.040.120.110.080.050.100.050.040.030.130.110.070.040.110.090.040.040.100.070.030.020.090.070.030.010.060.040.030.02
0.140.040.490.23-0.10-0.100.060.10-0.01-0.030.190.210.120.030.170.150.130.050.160.120.070.020.170.150.110.040.010.010.040.030.090.050.040.030.100.100.060.040.110.090.040.030.080.050.010.020.080.070.030.010.050.040.030.01