Booz Allen Hamilton Holding Financial Ratios for Analysis 2010-2024 | BAH

Fifteen years of historical annual and quarterly financial ratios and margins for Booz Allen Hamilton Holding (BAH).

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
202420232022202120202019201820172016201520142013201220112010
1.621.211.592.041.751.441.451.181.271.351.371.481.811.571.74
0.760.740.720.680.700.720.760.720.780.890.900.880.440.520.75
3.262.832.682.202.552.613.232.903.918.659.677.560.811.103.08
53.8453.5153.3753.4654.7353.7553.5353.8952.2750.8350.4250.1449.9249.2648.19
9.504.838.199.608.978.998.438.718.228.708.417.756.615.713.90
9.504.838.199.608.978.998.438.718.228.708.417.756.615.713.90
11.096.669.9910.7310.1210.089.5710.009.5210.119.949.338.008.105.93
8.003.977.228.437.767.696.977.337.027.326.956.405.872.290.96
5.682.945.587.756.476.244.894.495.444.414.243.804.101.510.50
1.621.411.391.431.561.751.711.721.801.841.861.811.771.851.67
---------------
5.215.225.155.575.115.045.445.866.066.155.985.595.215.035.03
70.0969.9770.8365.5771.3772.4367.0962.3160.2559.3261.0765.2670.0372.5372.56
57.8827.3444.5856.8556.3661.9753.6445.4772.0012513596.5920.259.344.99
-31.91-13.35-28.77-74.53-47.05-35.09-23.26-20.55-25.05-17.39-17.55-17.02-105.87-17.06-2.76
9.234.147.7411.0710.0710.928.377.739.778.127.906.897.242.800.83
13.787.2112.3518.1816.8517.6113.0212.7615.5413.3513.2211.6111.384.531.24
8.077.547.897.866.174.823.923.852.761.251.151.558.316.474.22
1.984.545.465.183.903.492.502.541.662.062.243.212.562.332.33
1.473.974.874.583.002.832.502.191.221.822.102.982.011.631.90

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
1.561.551.621.681.681.211.211.441.811.601.591.691.681.812.041.992.011.811.751.931.791.751.441.501.451.481.451.491.491.591.181.481.431.351.271.431.461.381.351.431.421.521.371.501.671.571.481.431.491.681.811.841.771.701.571.43----
0.730.750.760.760.760.730.740.700.700.710.720.720.730.730.680.680.700.690.700.690.710.730.720.720.730.740.760.760.770.750.720.720.740.760.780.800.850.880.890.890.910.880.900.850.810.850.880.900.930.470.440.450.470.490.520.52----
2.833.143.263.153.202.832.832.342.322.532.682.622.702.782.202.212.462.342.552.302.532.862.612.632.762.973.233.253.443.112.902.753.033.483.914.175.967.798.658.3810.017.209.676.014.335.917.569.3614.540.940.810.850.921.011.101.39----
56.7053.3954.7054.0453.7752.8453.6154.1754.0052.2152.6554.2255.0051.6054.5754.4853.3251.5055.2756.0153.6253.9454.1954.8653.6252.2853.7053.8654.8451.6955.1853.5752.8253.8252.2151.8152.6452.4250.4950.8350.7751.2252.3248.0050.2850.8751.5450.2549.4149.2250.5449.4049.9249.7650.2548.2748.9149.54-47.60
17.448.679.549.6310.018.83-1.762.589.749.216.638.7310.377.108.649.6810.269.817.579.149.459.817.599.748.919.818.078.748.618.329.517.708.449.097.348.048.239.336.898.079.3510.516.377.629.859.717.308.377.358.016.336.816.556.785.605.415.266.61-3.23
17.448.679.549.6310.018.83-1.762.589.749.216.638.7310.377.108.649.6810.269.817.579.149.459.817.599.748.919.818.078.748.618.329.517.708.449.097.348.048.239.336.898.079.3510.516.377.629.859.717.308.377.358.016.336.816.556.785.605.415.266.61-3.23
------------------------------------------------------------
16.327.297.918.078.477.57-3.081.819.667.985.577.839.546.017.598.728.698.736.537.938.148.546.628.437.438.346.517.247.177.017.686.597.017.976.466.726.888.035.616.648.049.005.066.148.268.276.056.825.547.195.625.995.985.902.131.581.923.58-0.21
12.405.624.625.676.406.08-2.811.367.446.154.066.357.354.6310.067.586.746.617.056.066.286.435.037.945.746.335.065.094.774.644.703.964.504.774.608.264.254.763.234.055.005.383.353.704.924.923.554.033.324.323.294.365.273.531.211.701.082.10-0.10
0.460.440.420.400.370.390.370.360.370.380.370.340.350.330.360.350.380.420.410.400.400.400.460.440.430.450.450.420.440.430.470.440.450.470.470.440.460.470.470.460.460.450.480.420.430.450.490.440.450.460.460.450.460.480.490.43----
------------------------------------------------------------
1.411.291.351.311.331.261.371.261.391.231.381.251.391.191.401.341.381.291.351.301.381.301.341.261.391.291.441.411.501.421.601.561.601.491.601.551.561.561.571.541.591.471.531.441.421.431.501.421.651.341.371.351.391.341.341.37----
63.6569.8066.4968.9367.8471.2065.6571.4564.8273.1565.2771.7464.6075.6964.2067.1565.4169.9966.6969.4865.3469.4167.2671.5564.9869.6962.5663.9759.8863.4656.2457.8356.3160.2756.3858.1757.7257.7657.4558.2756.6161.0958.9462.6563.2562.7659.9663.3554.4667.2865.6766.4464.9767.1866.9765.54----
32.4915.2412.2313.4115.9215.87-6.892.5514.0212.568.6711.9914.779.0018.5913.4514.0014.6616.2212.2413.6115.6813.2619.5514.3417.1514.6713.2813.7311.7913.009.7612.1714.6716.0428.3820.9030.9723.2527.0539.7330.9427.3216.9217.3824.4024.1730.4538.586.074.275.507.045.251.992.67----
-21.64-8.55-6.74-7.76-8.94-8.133.36-1.66-12.17-8.91-5.60-7.99-9.34-6.09-24.38-17.78-14.91-12.91-13.54-11.62-11.04-10.44-7.51-11.06-7.58-8.27-6.36-5.84-5.67-5.69-5.88-5.54-5.93-6.07-5.58-8.98-4.50-4.90-3.24-3.98-4.93-5.63-3.54-3.87-6.08-5.76-4.26-4.21-3.59-15.93-22.34-22.96-22.27-12.01-3.64-4.49----
5.672.491.952.252.382.39-1.040.482.752.321.512.172.571.543.622.692.572.752.902.422.502.602.343.482.482.872.292.122.091.972.211.762.032.232.183.641.962.251.511.862.312.401.591.552.132.221.731.781.491.991.531.962.401.690.600.74----
8.653.742.913.273.834.27-1.820.774.263.622.403.374.062.435.954.284.144.504.853.813.964.173.775.523.914.443.563.213.172.953.652.713.123.453.465.703.123.652.492.973.703.862.672.503.363.642.913.022.553.212.403.033.742.650.971.28----
9.398.388.078.368.217.767.549.119.218.307.898.057.807.567.867.787.046.396.176.525.995.344.824.794.534.243.923.893.684.033.853.803.463.112.762.561.811.401.251.301.091.531.151.872.631.971.551.270.837.118.318.027.536.916.476.31----
4.960.401.980.88-0.91-0.544.542.751.71-0.345.463.583.40-0.085.185.754.081.013.902.591.890.363.491.981.91-0.192.501.681.200.032.541.881.450.081.661.210.590.132.061.511.330.612.241.960.940.503.212.752.700.522.561.781.250.382.332.141.390.080.001.84
4.520.151.470.49-1.12-0.623.972.371.49-0.454.873.203.18-0.144.585.363.810.863.001.951.460.172.831.571.63-0.332.501.250.95-0.052.191.681.340.041.220.900.400.041.821.401.270.602.101.880.890.492.982.612.600.492.011.320.940.261.631.671.08-0.05-1.55