Astronics Financial Ratios for Analysis 2009-2024 | ATRO

Fifteen years of historical annual and quarterly financial ratios and margins for Astronics (ATRO).

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
2.722.412.873.382.842.923.062.952.402.252.482.252.763.112.78
0.390.400.390.390.330.380.450.300.360.440.520.140.210.300.39
0.670.680.640.640.480.610.820.440.570.801.170.240.320.500.74
17.5313.3714.6919.2720.2122.5021.9625.1927.1525.2725.8526.0626.5124.3019.49
-0.97-5.62-6.44-20.040.227.935.1411.8314.2713.2212.4512.2413.5112.45-3.25
-0.97-5.62-6.44-20.040.227.935.1411.8314.2713.2212.4512.2413.5112.45-3.25
3.26-0.420.07-13.704.5012.299.4715.9017.9317.3415.7014.8415.6714.950.59
-3.82-5.57-6.06-22.378.846.514.0010.8613.5911.9711.2411.8512.7211.15-4.05
-3.83-6.68-5.75-23.046.735.833.157.659.678.508.028.219.467.64-1.99
1.090.870.730.810.991.040.851.051.141.170.691.261.301.301.38
2.962.462.412.584.234.493.244.064.374.292.964.054.183.924.82
4.003.624.145.405.224.414.715.797.277.445.585.866.406.336.26
91.1510188.1467.5869.9182.8477.5263.0850.2349.0865.4462.2957.0657.6958.34
-10.59-14.90-9.97-42.8213.3812.115.9614.3522.3124.6215.9017.4820.9919.36-6.32
-20.99-34.88-24.59-113.2944.6136.4838.7539.0187.46170-84.7025.2330.1223.15-8.08
-4.17-5.81-4.20-18.686.656.042.678.0110.999.985.5510.3212.349.91-2.74
-6.46-8.95-6.10-26.119.027.563.2910.0314.3313.757.5815.0016.5013.53-3.85
7.237.438.158.7512.5411.8610.2211.6010.219.058.007.217.236.415.34
-0.72-0.88-0.181.211.321.661.121.412.603.331.961.111.571.162.63
-0.95-1.12-0.370.970.941.160.721.041.981.971.680.340.760.912.46

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
2.832.922.592.722.412.292.552.412.602.602.692.873.263.193.263.383.162.904.112.842.962.972.442.923.113.052.863.063.073.303.082.952.852.792.702.402.532.492.252.252.052.372.362.483.402.392.292.252.252.612.672.763.233.313.393.112.973.033.062.782.572.652.38
0.420.400.380.390.410.420.410.400.400.350.350.390.420.400.400.390.370.370.510.330.300.200.200.380.410.430.450.450.340.320.290.300.330.340.350.360.420.470.470.440.490.540.590.520.560.100.100.140.180.160.170.210.230.250.270.300.320.350.360.390.390.410.44
0.720.670.640.670.730.770.720.680.670.540.530.640.730.680.660.640.580.591.060.480.420.260.250.610.700.760.820.820.530.470.410.440.500.520.550.570.730.900.910.801.011.261.481.171.340.180.210.240.280.230.260.320.360.400.440.500.540.610.650.740.770.840.93
20.9820.8718.4720.4712.6618.7417.5713.6010.9512.1717.1615.9115.4113.8513.4816.6514.2521.6922.6713.5620.7921.3525.0223.4921.7823.7620.7418.7721.7122.6025.1423.6824.9327.2724.7524.7229.6928.5624.8525.6028.5924.7521.2923.8726.5226.3727.3426.0324.2626.2427.8228.3725.2725.9326.3124.0125.8322.6924.6021.7220.8318.5517.05
4.113.810.903.98-8.891.37-1.51-2.00-10.89-6.50-3.59-7.53-4.02-5.33-8.99-4.76-8.45-15.10-42.87-18.582.885.5910.999.158.639.653.70-4.256.957.9811.1111.1311.3013.7511.0310.1518.5516.2610.8515.3414.3612.889.6710.3513.7711.2714.9611.7611.1111.9714.2212.3014.0013.0514.8012.4314.469.7913.03-32.648.064.854.93
4.113.810.903.98-8.891.37-1.51-2.00-10.89-6.50-3.59-7.53-4.02-5.33-8.99-4.76-8.45-15.10-42.87-18.582.885.5910.999.158.639.653.70-4.256.957.9811.1111.1311.3013.7511.0310.1518.5516.2610.8515.3414.3612.889.6710.3513.7711.2714.9611.7611.1111.9714.2212.3014.0013.0514.8012.4314.469.7913.03-32.648.064.854.93
---------------------------------------------------------------
-2.540.64-2.450.79-12.78-2.24-2.00-4.56-13.13-8.014.32-0.13-6.11-7.35-11.15-6.57-10.46-19.77-43.96-21.810.994.6748.517.687.338.242.19-5.675.786.9910.179.2810.5913.1110.359.4217.9315.6210.0814.7013.0811.418.028.4411.9810.9014.6611.4110.7111.5613.8211.7413.3112.0913.8311.2913.178.2511.76-35.377.455.754.11
-5.760.77-1.723.57-10.42-6.88-2.82-4.29-11.30-8.53-2.671.38-6.41-7.29-11.25-17.41-4.93-19.06-42.49-17.170.683.5637.546.157.996.721.84-3.304.055.097.606.427.789.117.208.8412.3410.226.6111.109.527.535.336.067.987.2811.588.397.167.999.368.4511.828.209.458.639.315.167.24-21.185.144.162.80
0.310.310.290.310.260.270.250.260.220.220.200.190.180.180.170.190.170.190.190.250.230.250.270.260.270.270.230.230.230.240.250.250.250.270.260.260.310.270.270.300.300.300.230.210.210.320.340.320.330.350.360.350.340.350.360.340.340.340.350.330.310.310.31
0.790.780.760.810.700.680.650.730.620.650.580.620.600.620.590.610.560.620.801.180.941.041.121.121.071.000.890.930.840.870.931.010.961.001.011.031.170.931.011.071.011.030.790.940.980.981.081.031.121.081.111.091.051.011.021.041.061.121.121.121.241.171.16
1.051.061.091.131.071.021.031.070.981.090.991.081.041.131.071.231.151.201.181.341.111.071.101.111.121.231.141.291.301.261.351.411.301.551.501.651.611.752.121.871.601.661.291.731.851.651.881.481.461.491.631.711.521.551.481.671.741.671.521.491.431.181.10
85.4984.6382.7979.3284.5088.1287.6084.1091.6482.4891.0283.3286.6679.4883.9272.9578.5474.6976.3867.1381.2084.2981.5280.8680.0373.1379.2469.6869.1671.7066.6063.9268.9958.1959.9054.5056.0651.3742.5148.1756.1254.1969.6152.0148.7754.4147.9760.7061.8360.2955.1252.4959.1058.0260.7053.7351.7653.7659.1260.3563.0276.4081.71
-4.710.59-1.262.80-7.31-5.21-1.85-2.83-6.27-4.39-1.190.63-2.85-3.18-4.58-7.39-1.81-8.07-21.34-8.760.281.4216.773.234.603.990.97-1.711.802.213.352.933.674.703.694.638.706.914.518.088.086.754.153.734.833.696.384.524.194.655.755.036.935.146.255.796.423.665.31-16.063.632.972.21
-8.671.09-2.425.54-16.09-11.99-4.20-6.62-15.46-10.41-2.791.54-7.54-8.58-12.40-19.55-4.48-20.46-55.89-29.220.762.9936.869.7316.0416.795.08-11.134.925.668.577.9610.7115.1012.8218.1643.4464.7020155.82111-264.74-31.29-19.85-26.045.048.906.526.286.408.127.217.935.997.366.927.794.536.67-20.536.926.024.76
-1.800.24-0.501.10-2.69-1.84-0.72-1.10-2.48-1.89-0.530.26-1.18-1.34-1.97-3.22-0.82-3.58-7.88-4.350.160.8810.011.612.191.830.43-0.770.951.221.921.641.952.451.872.283.812.771.783.282.892.261.251.301.652.323.952.672.382.773.382.964.012.893.402.963.181.762.50-6.961.581.270.87
-2.740.36-0.781.71-4.33-3.01-1.09-1.70-3.75-2.85-0.780.38-1.65-1.89-2.75-4.51-1.15-5.07-10.35-5.910.201.1313.452.022.712.280.54-0.941.181.512.392.052.463.112.392.985.043.652.374.524.133.081.721.782.133.335.723.883.453.934.773.955.313.844.544.054.382.403.38-9.792.221.741.24
7.077.377.227.236.857.087.367.437.377.848.168.158.008.248.428.759.419.5110.2012.5413.7914.5414.2711.8611.4312.5012.0310.2212.0512.1211.9411.6011.3412.5912.1910.2111.1211.5810.739.059.7010.7610.048.008.489.629.257.218.239.018.567.237.888.037.596.416.626.145.935.346.386.125.88
0.12-0.120.06-0.72-0.68-0.65-0.59-0.88-1.21-0.320.01-0.18-0.60-0.08-0.221.211.021.350.751.320.930.270.341.660.470.24-0.031.120.670.150.211.410.840.770.022.601.430.791.023.332.631.030.111.961.550.950.791.110.950.590.321.570.870.25-0.271.161.170.660.142.632.270.860.27
-0.03-0.210.01-0.95-0.86-0.77-0.64-1.12-1.35-0.40-0.03-0.37-0.75-0.19-0.280.970.901.280.660.940.660.060.241.160.09-0.01-0.160.720.38-0.040.121.040.510.57-0.061.980.910.330.751.971.480.01-0.631.681.330.750.690.340.360.300.210.760.00-0.30-0.330.910.960.530.062.462.090.720.18