American Vanguard Financial Ratios for Analysis 2009-2024 | AVD

Fifteen years of historical annual and quarterly financial ratios and margins for American Vanguard (AVD).

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
1.871.461.531.932.432.132.022.342.583.532.261.962.332.392.34
0.270.120.120.230.300.230.200.130.200.270.170.140.220.240.23
0.380.140.140.300.440.290.250.150.250.380.200.230.350.370.35
30.9231.5630.6137.6337.8840.2041.5141.1038.6738.3444.9744.0040.8838.0527.65
4.026.675.554.995.608.597.556.583.982.2514.6316.2013.038.46-3.08
4.026.675.554.995.608.597.556.583.982.2514.6316.2013.038.46-3.08
8.1310.9310.3110.2610.5013.9013.8213.4811.559.7719.7820.9118.6414.803.48
1.785.904.874.024.067.407.006.063.101.2214.1315.5311.707.13-4.63
1.304.503.333.322.915.335.714.102.281.629.0410.077.334.84-2.81
0.750.840.800.670.700.770.660.730.660.630.850.920.880.810.81
1.822.272.511.751.781.701.691.521.301.111.502.332.501.902.05
2.973.623.513.283.003.393.243.583.843.164.484.744.305.564.55
12310110411112110811310295.0911581.4677.0584.8665.6680.16
2.037.414.994.233.957.316.674.612.351.5613.1616.3411.806.60-3.78
5.1419.8114.4513.7213.7120.5919.938.094.542.5322.5032.9131.1321.46-8.76
0.983.772.682.242.034.053.803.031.450.867.589.216.443.92-2.27
1.486.504.373.262.765.655.324.031.881.1310.9614.089.234.99-2.92
12.8612.5812.0711.6911.4111.0310.259.619.198.978.987.926.786.065.60
-2.061.912.843.010.320.391.991.582.69-1.18-0.221.411.411.201.18
-2.471.472.532.64-0.110.121.761.222.45-1.43-0.740.791.180.911.02

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
1.892.222.291.872.492.131.671.461.991.881.791.532.112.252.191.932.352.552.522.432.492.652.312.132.332.052.152.022.372.182.322.342.402.472.702.582.472.503.073.532.902.672.692.261.882.001.701.961.871.982.022.331.962.092.232.392.132.312.892.342.733.573.61
0.350.370.330.270.380.300.210.120.290.210.200.120.270.290.280.230.300.320.330.300.330.330.310.230.230.190.220.200.160.080.090.130.140.150.200.200.240.250.250.270.270.250.280.170.130.140.140.140.150.170.180.220.230.240.250.240.220.210.290.230.310.360.41
0.550.600.500.380.610.440.260.140.410.260.260.140.370.410.400.300.430.470.500.440.490.490.460.290.300.230.290.250.190.090.100.150.160.180.240.250.350.370.330.380.370.330.380.200.150.160.210.230.250.270.300.350.380.400.430.370.340.320.460.350.510.620.74
14.6229.4531.3931.7328.8232.3130.8626.3432.6033.2934.3610.2738.7438.7338.8535.9836.8438.5540.0035.6538.0136.8341.8440.3440.5340.4539.4338.5842.2744.0742.5741.6240.0143.1739.5936.6343.3637.7637.0340.2639.5038.1535.6442.8244.4048.4844.2543.9044.1145.2042.8441.7641.4239.5740.7538.1637.1836.8640.511.1832.1934.5841.57
-24.00-7.204.517.022.802.832.612.417.387.309.865.876.076.663.157.193.606.431.914.785.435.566.928.7010.448.017.067.317.188.587.266.965.707.056.665.547.411.800.461.751.291.064.572.0515.5714.8721.5216.8014.6516.7916.5113.7811.0713.3413.918.929.546.808.14-27.695.871.864.46
-24.00-7.204.517.022.802.832.612.417.387.309.865.876.076.663.157.193.606.431.914.785.435.566.928.7010.448.017.067.317.188.587.266.965.707.056.665.547.411.800.461.751.291.064.572.0515.5714.8721.5216.8014.6516.7916.5113.7811.0713.3413.918.929.546.808.14-27.695.871.864.46
---------------------------------------------------------------
-27.70-10.352.254.470.370.371.251.426.376.459.654.834.975.693.836.522.955.240.343.563.783.865.316.799.447.116.266.576.778.066.846.595.346.415.894.806.530.81-0.500.680.21-0.183.811.4815.1114.0921.2316.2014.0616.0715.7012.719.8812.1411.958.048.335.146.43-29.014.64-0.052.53
-21.76-9.141.154.05-0.22-0.791.542.444.434.616.643.053.733.822.645.622.493.720.542.632.522.753.925.655.845.234.477.244.545.524.884.433.494.464.023.563.821.170.082.331.020.212.660.379.139.6713.9210.858.9910.3110.017.926.267.507.596.545.293.153.91-18.143.16-0.011.57
0.160.160.170.220.190.170.160.220.200.200.200.230.200.180.160.210.170.160.140.190.180.170.150.220.190.190.180.220.190.180.170.200.180.160.150.190.150.130.140.160.150.140.160.170.210.200.260.260.230.230.250.240.210.240.210.210.240.200.170.190.220.160.14
0.410.370.410.540.430.380.390.640.530.540.580.930.540.470.410.550.420.360.330.510.420.370.310.490.410.390.440.580.420.340.330.420.350.270.290.390.250.250.250.280.250.240.330.310.430.350.620.670.540.580.670.670.530.600.510.500.540.440.370.640.450.280.23
0.740.620.680.880.730.790.690.950.740.830.771.000.820.820.691.010.750.780.610.840.810.860.760.980.811.000.851.060.871.160.931.000.870.910.811.110.760.770.730.820.760.790.700.890.871.260.821.350.841.150.871.160.761.071.031.461.041.120.821.051.171.140.70
12114413210212311413094.8812210911789.6111011013189.5512011614810711110511991.8411189.9110684.6810477.6496.8889.7310398.4411180.9611911712310911911412810110471.5111066.7310778.1410377.5911884.4487.2261.5086.5880.5711085.9876.8679.13129
-7.85-3.320.421.89-0.09-0.290.511.051.861.772.601.311.491.390.852.190.851.140.161.000.930.931.192.251.971.741.472.751.351.551.191.361.021.231.091.091.020.28-0.020.570.23-0.010.770.043.383.316.955.003.754.254.463.442.573.382.922.352.241.041.17-5.611.310.000.45
-22.30-8.531.024.77-0.24-0.741.322.825.224.677.243.794.564.102.657.122.593.740.533.463.063.104.206.344.924.604.088.222.582.822.042.391.832.262.042.102.010.57-0.030.920.39-0.021.310.075.825.9312.9310.077.789.4310.769.077.4010.259.817.624.832.252.62-12.982.92-0.011.05
-3.39-1.450.200.91-0.04-0.140.250.540.870.921.330.700.750.700.431.160.430.590.080.510.460.470.591.251.100.990.811.570.861.060.810.900.610.740.640.670.550.15-0.010.310.13-0.010.400.021.891.893.552.822.032.352.461.881.341.811.611.391.280.640.68-3.360.710.000.22
-5.08-2.080.281.37-0.06-0.200.410.921.321.412.071.151.090.990.611.690.590.780.100.700.630.620.821.741.521.411.142.191.131.431.081.190.881.040.870.870.780.21-0.010.410.17-0.010.560.032.942.845.974.313.183.543.652.691.982.572.181.771.740.820.84-4.320.900.000.26
11.4612.2912.8812.8612.4812.6412.7512.5812.2612.5212.5912.0711.9211.8411.6811.6911.3911.2611.0911.4111.2011.0810.9211.0310.8410.5710.4010.259.969.809.669.619.489.379.329.199.109.018.958.978.938.919.018.989.028.718.467.927.687.387.046.786.526.456.236.065.895.765.695.605.895.815.78
-1.06-2.01-1.51-2.06-5.22-3.40-1.431.91-1.53-0.90-1.062.84-0.01-0.62-1.073.010.680.23-0.470.32-0.71-1.09-0.690.39-0.500.12-0.311.990.611.150.581.581.230.870.332.691.771.500.69-1.18-1.18-1.01-1.45-0.220.250.69-0.631.410.451.28-0.271.410.080.08-0.381.200.320.30-0.521.180.16-0.45-1.17
-1.27-2.19-1.63-2.47-5.52-3.63-1.511.47-1.83-1.09-1.172.53-0.27-0.79-1.162.640.380.02-0.57-0.11-1.07-1.33-0.800.12-0.670.02-0.361.760.431.010.481.221.020.810.302.451.591.380.64-1.43-1.38-1.15-1.51-0.74-0.180.40-0.780.79-0.060.82-0.471.18-0.080.00-0.410.910.100.14-0.591.020.02-0.53-1.21