Bath & Body Works Financial Ratios for Analysis 2009-2024 | BBWI

Fifteen years of historical annual and quarterly financial ratios and margins for Bath & Body Works (BBWI).

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
1.641.642.331.971.371.641.621.722.221.911.731.431.551.722.462.28
1.591.831.451.121.371.181.151.151.051.001.081.290.960.630.550.61
-2.70-2.21-3.20-9.63-3.71-6.72-7.72-7.89-22.17249-13.49-4.4225.641.701.251.55
43.5643.0648.9148.1244.1637.0139.2640.7642.8241.9841.1141.9439.1537.7735.0833.24
17.3018.2025.4924.9319.249.3513.6815.9318.0417.0516.1815.0411.9513.3610.066.51
17.3018.2025.4924.9319.249.3513.6815.9318.0417.0516.1815.0411.9513.3610.066.51
20.9221.1230.0933.0343.4413.4817.8319.6821.4520.5319.6019.3117.6217.1514.2312.68
13.7413.8218.0517.4411.256.4710.3913.4915.9114.2813.4212.2511.8413.017.534.97
11.8210.5816.9113.12-6.774.877.789.2110.319.108.387.208.208.375.192.43
1.361.381.310.560.531.641.551.541.431.531.501.741.701.491.201.30
5.916.075.685.842.356.686.196.806.196.425.456.056.335.805.405.11
33.1733.4532.8443.4717.6636.0740.7542.7746.5745.4544.1551.5247.5441.4439.4238.32
11.0110.9111.118.4020.6610.128.968.537.848.038.277.087.688.819.269.53
-54.00-36.01-70.86-130.86-30.77-74.45-130.89-159.28-485.665,484-244.72-74.2661654.5020.5111.52
-36.30-26.48-46.54-59.49-18.15-24.54-39.16-46.58-63.06-60.94-43.04-27.44-50.39-142.23303-164.89
16.0714.4517.847.484.547.9612.0614.1714.7513.9412.5512.5113.9212.486.253.10
31.7929.8832.2115.1611.5213.2119.8323.2922.9621.9820.5621.7423.4920.219.134.53
-7.23-9.63-5.97-2.38-5.40-3.15-2.68-2.54-0.890.07-1.27-3.510.474.606.765.84
4.174.915.477.264.454.944.906.846.825.994.224.554.033.863.592.83
2.863.504.486.442.802.682.443.625.043.591.882.572.683.032.971.41

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.111.571.641.391.561.631.641.341.391.412.332.081.721.721.971.481.311.061.371.151.201.341.641.371.461.561.621.451.681.721.721.441.631.862.222.041.571.641.911.581.711.711.731.491.411.501.431.641.942.181.551.741.972.281.722.172.382.372.462.362.852.572.28
1.791.641.591.901.861.831.832.162.212.211.451.531.291.111.121.331.441.591.371.291.201.191.181.291.241.201.151.241.191.171.151.261.251.231.051.131.161.151.001.101.121.151.081.211.241.291.291.131.061.030.960.870.850.760.630.550.550.560.550.610.630.610.61
-2.44-2.55-2.70-2.12-2.17-2.20-2.21-1.86-1.82-1.83-3.20-2.90-4.50-10.03-9.63-4.07-3.53-2.96-3.71-4.48-5.97-6.48-6.72-4.47-5.15-5.99-7.72-5.17-6.32-6.88-7.89-4.82-5.07-5.27-22.17-8.70-7.30-7.79249-11.48-9.88-8.16-13.49-6.07-5.20-4.50-4.42-8.81-18.52-34.6325.646.795.643.111.701.231.221.281.251.541.731.581.55
41.0243.7945.8843.6639.9042.6943.2142.2740.7946.1447.7849.9148.5950.4851.7450.7130.6617.4138.1127.6833.8735.5340.5633.4435.4935.9542.2937.7837.3137.0543.3139.7138.5139.9045.5741.5440.2942.0445.1040.8439.0341.0743.0139.4739.3141.4944.5340.2439.2741.8843.4736.1136.7037.9841.8136.0134.7035.9240.7831.6832.3231.7734.24
11.9913.5123.8714.1512.0612.9722.5812.5914.9619.3129.0424.3322.5422.9331.9825.621.90-19.231.74-5.646.035.8216.491.957.645.9020.458.8610.938.5822.0111.0014.1212.3624.5313.6614.5814.8123.5212.2514.0614.0522.609.7214.2313.7120.449.1212.7113.6018.248.567.899.7920.667.5110.539.5819.133.327.643.775.12
11.9913.5123.8714.1512.0612.9722.5812.5914.9619.3129.0424.3322.5422.9331.9825.621.90-19.231.74-5.646.035.8216.491.957.645.9020.458.8610.938.5822.0111.0014.1212.3624.5313.6614.5814.8123.5212.2514.0614.0522.609.7214.2313.7120.449.1212.7113.6018.248.567.899.7920.667.5110.539.5819.133.327.643.775.12
---------------------------------------------------------------
10.038.5321.3910.188.158.0219.947.429.7713.2426.1213.5016.848.1027.6415.57-2.59-24.91-0.14-10.351.452.2814.63-1.484.322.2517.465.167.884.8419.897.3613.158.9122.3410.4811.6814.6921.638.8411.0710.6720.616.5411.2110.3618.446.249.559.8916.505.6111.2311.2320.805.0910.889.6817.500.684.790.173.68
9.966.2919.887.626.355.8015.035.677.4210.6919.655.2421.9518.8431.6519.45-2.11-17.96-4.08-9.411.311.5211.13-1.553.321.8313.773.295.053.8614.084.738.725.8114.496.617.319.9513.895.697.036.5712.834.247.076.3110.663.615.965.8010.244.329.407.4413.113.087.945.8511.620.843.580.170.53
0.310.270.530.300.300.260.530.310.330.300.500.280.160.140.230.150.210.180.460.250.270.240.600.350.390.340.590.340.350.310.550.340.380.350.520.310.410.380.540.320.390.360.530.330.410.390.640.320.360.330.580.330.380.320.540.290.330.290.430.260.290.260.43
1.040.962.220.731.151.042.310.730.990.952.230.731.201.142.290.951.090.922.260.951.441.252.310.941.461.252.240.951.541.342.320.941.481.242.130.901.491.282.160.921.521.161.870.801.351.192.130.851.381.141.990.901.411.281.950.871.351.131.750.851.280.971.66
10.4511.4413.007.9310.199.6312.786.638.798.6812.616.9513.0113.3618.3710.578.657.2215.389.0710.259.5913.228.649.639.5815.559.1911.2411.4415.277.9410.8610.5016.848.7710.7610.5116.158.4611.4811.0715.658.8612.7712.9619.009.1113.7113.6316.127.3010.2010.8114.908.0310.739.7113.997.058.998.7112.67
8.617.876.9211.358.839.357.0413.5810.2310.377.1312.966.926.734.908.5110.4012.465.859.928.789.386.8110.419.359.395.799.808.007.875.8911.338.288.575.3410.268.378.565.5710.637.848.135.7510.167.056.944.749.886.576.605.5812.348.828.326.0411.218.399.276.4312.7610.0110.337.10
-8.85-5.19-35.61-5.60-4.60-3.73-19.41-3.49-4.51-5.83-39.06-10.57-18.10-17.07-84.25-12.532.5715.9812.8620.36-4.09-4.45-62.433.28-8.82-4.95-88.42-7.69-15.24-11.26-86.93-10.27-22.32-14.00-246.90-24.96-31.22-41.252,974-30.49-37.38-25.78-132.79-11.22-20.67-14.39-40.53-14.37-58.37-95.4226118.0436.9614.6430.672.988.595.7216.300.803.940.160.85
-6.05-3.52-23.94-4.08-3.36-2.73-14.28-2.68-3.47-4.49-25.65-7.17-10.85-6.86-38.30-8.321.6710.257.598.49-1.41-1.51-20.581.40-3.44-1.76-26.45-2.99-5.20-3.62-25.42-4.14-8.73-5.34-32.06-6.87-8.50-10.71-33.04-6.11-8.42-6.72-23.36-3.61-6.87-5.25-14.98-3.16-6.91-6.39-21.34-6.18-16.15-17.70-80.04-6,100.00593-159.15241-8.77-45.12-1.70-12.21
3.071.6710.602.271.911.517.791.772.453.199.832.932.070.864.811.76-0.45-3.15-1.90-2.370.360.366.67-0.551.300.628.151.101.791.197.741.593.342.057.502.083.003.807.561.852.742.366.811.392.932.486.831.152.171.895.891.443.552.357.020.892.651.714.960.221.030.040.23
7.033.3420.965.013.943.1016.114.045.467.0517.765.575.171.899.764.08-1.12-9.35-4.82-5.940.840.8211.08-0.962.161.0113.401.882.901.9312.712.705.513.2811.673.244.966.0811.923.054.423.7811.162.334.934.1111.871.873.382.879.952.325.573.5611.371.343.872.517.250.321.440.060.34
-7.81-7.52-7.23-9.36-9.45-9.48-9.63-11.44-11.68-11.26-5.97-6.44-4.48-1.92-2.38-5.63-6.85-6.68-5.40-4.49-3.37-3.25-3.15-4.77-4.08-3.49-2.68-3.97-3.19-2.92-2.54-4.15-3.95-3.77-0.89-2.26-2.22-2.080.07-1.48-1.72-2.09-1.27-2.83-2.97-3.44-3.51-1.79-0.85-0.450.471.752.083.664.606.376.426.086.765.795.835.715.84
0.130.344.170.120.340.194.910.290.350.275.731.672.050.887.182.491.03-1.234.47-0.330.58-0.264.940.050.76-0.284.900.480.760.026.841.421.75-0.156.820.891.26-0.525.991.241.50-0.304.22-0.101.20-0.414.550.260.69-0.614.030.310.71-0.053.860.240.55-0.183.590.400.75-0.372.83
-0.320.132.86-0.97-0.44-0.213.50-0.81-0.35-0.094.690.771.410.656.381.790.58-1.432.81-1.75-0.30-0.712.68-1.99-0.48-0.852.44-1.62-0.52-0.553.62-1.430.04-0.795.04-0.490.51-0.963.59-0.720.33-0.801.88-2.12-0.10-0.912.57-1.42-0.42-1.062.68-0.790.19-0.293.03-0.350.22-0.312.97-0.090.45-0.521.41