Build-A-Bear Workshop Financial Ratios for Analysis 2009-2024 | BBW

Fifteen years of historical annual and quarterly financial ratios and margins for Build-A-Bear Workshop (BBW).

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
2024202320222021202020192018201720162015201420132012201120102009
1.531.461.331.121.151.78-1.581.331.291.461.331.351.431.591.66
----------------
----------------
54.3952.5452.9638.1545.3841.2247.1247.2245.5947.4546.0141.7739.5840.6140.3337.48
13.4513.2412.32-7.900.47-5.473.304.562.435.194.40-0.63-12.71-0.69-0.68-3.61
13.4513.2412.32-7.900.47-5.473.304.562.435.194.40-0.63-12.71-0.69-0.68-3.61
16.2615.9015.30-2.704.51-0.717.859.086.879.549.024.441.755.456.043.59
13.6413.2312.32-7.910.46-5.503.293.861.464.744.08-0.56-12.71-0.67-0.62-6.02
10.8610.2511.49-9.000.08-5.331.822.190.377.103.55-0.56-12.94-4.330.02-3.15
1.791.671.550.981.141.96-1.811.821.771.851.941.981.631.461.39
3.493.152.703.363.463.39-3.553.823.684.084.394.914.525.155.58
56.7330.4435.1730.7829.3731.79-26.9028.1528.3034.2326.0740.4150.0650.6774.18
6.4311.9910.3811.8612.4311.48-13.5712.9712.9010.6614.009.037.297.204.92
40.7340.2850.45-34.150.29-19.01-7.381.3927.5114.71-2.50-59.29-13.200.07-7.57
40.7340.2850.45-34.150.29-19.16-7.451.4128.0014.76-2.52-59.75-17.720.08-9.79
19.3917.0917.75-8.790.09-10.42-4.000.6912.826.77-1.08-25.66-7.060.04-4.39
40.7340.2850.45-34.150.29-19.01-7.381.3927.5114.71-2.50-59.29-13.200.07-7.57
9.158.055.804.235.836.31-6.926.256.295.624.854.877.438.038.06
4.443.101.740.901.460.661.161.341.031.902.041.161.010.991.181.27
3.182.211.240.560.63-0.11-0.050.21-0.720.571.410.00-0.010.300.430.97

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-12-312017-10-312017-09-302017-07-312017-06-302017-04-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.461.571.531.371.321.361.461.311.311.431.331.431.351.231.120.990.931.011.151.091.231.171.781.792.052.191.581.581.461.591.601.551.501.51-1.391.391.381.291.571.661.661.471.511.511.601.331.361.341.451.351.411.541.641.431.571.641.841.591.581.691.771.661.721.671.72
------------------------------------------------------------------
-----------------------0.07------------------------------------------
54.1854.1856.4252.6553.6854.0654.9952.0049.5752.5553.4952.1553.2152.8250.2346.5518.6917.2850.3839.3944.1545.3340.6836.4842.5644.4750.0652.0242.4544.7944.9744.1547.8647.30-43.8842.5248.6158.0245.5043.7647.3758.8144.1239.5443.9550.4140.8137.5242.0040.9137.3235.7040.3747.7140.9036.5539.3449.0437.3532.1041.7320.3637.5933.5837.16
10.1612.7317.259.369.4416.0618.059.477.6015.4715.498.3110.0114.3811.532.24-34.63-40.047.25-10.92-0.952.88-6.44-14.57-3.040.786.3011.14-5.083.22-0.22-2.274.845.76-4.00-6.796.8313.902.49-0.297.5220.252.33-5.115.3510.06-1.42-7.530.06-34.00-5.22-10.41-1.267.421.87-13.16-3.699.44-1.73-17.002.76-25.51-4.92-11.70-0.64
10.1612.7317.259.369.4416.0618.059.477.6015.4715.498.3110.0114.3811.532.24-34.63-40.047.25-10.92-0.952.88-6.44-14.57-3.040.789.0211.14-5.083.22-0.22-2.274.845.76-4.00-6.796.8313.902.49-0.297.5220.252.33-5.115.3510.06-1.42-7.530.06-34.00-5.22-10.41-1.267.421.87-13.16-3.699.44-1.73-17.002.76-25.51-4.92-11.70-0.64
------------------------------------------------------------------
10.3313.1017.529.629.5916.1218.069.467.5915.4615.508.3110.0014.3811.522.24-34.65-40.037.25-10.93-0.942.86-6.52-14.55-3.060.786.2711.53-5.092.63-0.21-3.394.855.07-3.34-8.315.5512.401.60-0.547.5519.092.37-5.195.4210.12-1.35-7.460.11-34.04-5.18-10.33-1.187.611.91-13.03-3.8014.38-1.90-17.002.78-33.17-10.19-12.61-1.13
7.859.9914.927.057.6312.1714.137.145.7912.0618.566.237.2211.3211.182.22-34.47-45.485.89-8.34-1.551.42-10.27-8.83-2.160.433.206.54-3.321.730.06-1.992.823.05-2.15-5.723.7020.781.25-0.787.1317.702.10-5.645.139.21-1.60-7.590.01-39.00-4.95-9.39-1.06-7.490.88-8.16-2.359.06-1.38-11.431.66-17.19-5.16-7.21-0.85
0.400.430.550.430.420.460.520.400.380.460.490.350.360.350.360.290.150.170.350.240.260.270.590.380.480.480.700.530.410.450.430.420.480.47-0.460.430.480.550.470.460.490.570.500.440.560.590.500.490.610.550.410.390.450.490.400.330.390.470.400.290.380.250.350.300.36
0.760.821.020.790.760.830.930.570.580.720.840.740.940.990.990.770.590.720.970.640.710.821.030.761.000.931.300.940.700.730.730.740.860.90-0.790.780.900.910.840.900.960.961.061.061.251.150.891.061.601.330.981.101.261.201.021.131.471.411.150.881.261.261.191.151.43
9.2612.0217.427.738.339.029.446.576.569.9411.117.4410.9511.0711.299.396.396.579.076.879.099.559.595.309.579.2810.367.828.7410.469.478.5514.1114.17-9.538.019.108.7510.6310.5311.4110.598.548.199.108.008.0711.9317.9611.2118.2116.2923.1115.0719.9217.7727.4016.2317.2921.1027.7713.1518.0217.3922.68
9.727.495.1711.6410.819.989.5413.6913.719.058.1012.108.228.137.979.5814.0813.709.9213.119.909.439.3916.989.419.708.6911.5110.308.619.5010.536.386.35-9.4411.249.8910.288.468.557.888.5010.5310.999.8911.2511.167.545.018.034.945.523.895.974.525.073.285.545.214.263.246.854.995.173.97
6.988.9317.186.797.7313.4117.227.686.2114.4025.756.368.0313.3115.562.93-25.50-30.976.95-7.17-1.381.35-11.05-5.84-1.650.326.456.39-2.491.370.04-1.482.542.67-1.86-4.463.4824.951.13-0.666.7922.452.11-4.915.5912.69-1.74-8.100.02-49.58-3.52-6.17-0.78-6.880.60-4.52-1.457.39-0.92-5.611.04-7.32-2.91-3.54-0.49
6.988.9317.186.797.7313.4117.227.686.2114.4025.756.368.0313.3115.562.93-25.50-30.976.95-7.17-1.401.36-11.14-5.89-1.660.326.516.45-2.521.390.04-1.502.582.71-1.90-4.553.5325.391.15-0.666.8122.522.12-4.945.6212.77-1.75-8.160.02-49.96-4.91-8.47-1.06-9.230.78-5.91-1.869.42-1.21-7.271.34-9.47-3.77-4.57-0.62
3.144.328.183.033.235.587.302.872.215.539.062.182.593.934.010.64-5.18-7.662.07-1.98-0.410.39-6.06-3.39-1.030.213.503.46-1.370.780.02-0.841.371.44-1.01-2.441.7911.630.58-0.353.5510.341.04-2.482.855.47-0.80-3.690.01-21.46-2.01-3.67-0.47-3.680.35-2.71-0.914.23-0.54-3.330.62-4.24-1.80-2.17-0.31
6.988.9317.186.797.7313.4117.227.686.2114.4025.756.368.0313.3115.562.93-25.50-30.976.95-7.17-1.381.35-11.05-5.84-1.650.326.456.39-2.491.370.04-1.482.542.67-1.86-4.463.4824.951.13-0.666.7922.452.11-4.915.5912.69-1.74-8.100.02-49.58-3.52-6.17-0.78-6.880.60-4.52-1.457.39-0.92-5.611.04-7.32-2.91-3.54-0.49
9.269.229.157.767.437.298.056.606.246.285.805.715.314.864.233.553.504.435.835.385.825.856.316.957.307.436.926.926.386.596.516.446.466.47-6.236.086.396.295.595.625.805.624.974.975.134.854.484.454.804.876.977.047.507.437.857.697.948.037.667.457.838.068.038.308.40
0.910.744.442.272.191.253.100.760.430.281.741.061.140.770.900.200.13-0.171.46-0.110.090.350.66-0.620.530.091.161.34-0.01-0.44-0.34-0.710.430.370.00-0.91-1.44-0.451.90-0.16-0.45-0.232.040.26-0.03-0.091.16-1.02-0.450.051.01-0.88-0.91-0.580.99-0.76-0.72-0.531.18-0.94-0.97-0.051.27-0.58-0.57-0.58
0.490.573.181.501.771.052.210.300.170.211.240.781.050.730.56-0.06-0.10-0.360.63-0.79-0.240.18-0.11-1.230.04-0.11-0.050.21-0.93-1.23-0.91-1.220.200.23--2.04-2.17-0.850.57-0.85-0.80-0.401.41-0.07-0.21-0.150.00-1.89-0.99-0.18-0.01-1.67-1.40-0.800.30-1.32-1.06-0.650.43-1.46-1.29-0.200.97-0.81-0.71-0.66