Brunswick Financial Ratios for Analysis 2009-2024 | BC

Fifteen years of historical annual and quarterly financial ratios and margins for Brunswick (BC).

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
1.431.811.471.551.621.501.781.751.992.191.711.451.491.611.61
0.490.540.480.380.450.430.230.230.260.280.300.880.960.920.80
1.161.230.950.630.850.770.300.310.350.390.447.3622.4211.804.05
27.9228.5828.5027.9027.2925.4124.9527.4628.0427.0126.3725.6523.9122.0911.37
11.4813.9113.9012.4011.468.638.6910.688.768.567.836.945.821.88-20.55
11.4813.9113.9012.4011.468.638.6910.688.768.567.836.945.821.88-20.55
15.7417.3116.9515.9314.8411.6410.9813.0010.8010.679.819.088.535.60-14.88
9.8212.5312.6010.872.697.545.608.688.337.505.804.573.02-1.14-24.66
6.579.9410.158.57-3.196.443.856.156.396.4021.371.461.96-3.31-21.12
1.031.081.081.151.150.961.131.371.201.231.231.411.471.251.02
3.123.313.464.403.623.973.454.663.974.304.544.415.574.935.07
12.9812.5512.0512.8812.3811.717.8310.919.509.9310.419.7811.1310.208.35
28.1229.0930.3028.3429.4831.1646.5933.4638.4436.7535.0537.3032.7835.7943.70
20.7233.3631.1024.812.3416.016.8319.0518.0216.6472.88160293-90.91-278.74
550881-2,263.8769.3910.0540.9011.1531.6824.8923.51106-49.42-29.9123.09371
6.9410.7810.989.940.855.903.028.357.326.2325.965.143.63-2.39-21.64
10.6515.2716.1215.491.289.175.2914.6413.3912.0550.7319.4312.56-7.12-55.84
30.5928.6224.8819.3916.3518.2416.9416.1214.1112.6411.240.870.350.792.38
10.417.797.3210.025.073.824.444.733.502.611.861.740.972.321.42
6.512.784.017.762.441.782.552.642.321.360.690.880.351.791.19

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.701.681.431.471.921.861.811.881.992.101.472.341.591.631.551.771.631.451.621.871.981.611.501.261.701.731.781.811.801.751.751.851.861.801.992.102.051.972.192.191.881.801.711.631.571.571.451.611.681.621.491.591.681.631.611.771.711.681.611.771.561.68
0.540.540.490.490.540.540.540.550.550.560.480.490.320.350.380.410.440.450.450.430.450.450.430.360.220.220.230.220.220.230.230.240.240.250.260.260.260.270.280.260.270.290.300.610.690.810.880.760.810.890.960.790.790.870.920.790.800.810.800.730.630.57
1.401.381.161.171.191.221.231.251.251.260.950.990.490.580.630.730.941.150.850.800.830.840.770.790.290.290.300.280.290.300.310.320.330.350.350.350.360.380.390.350.380.420.441.612.214.367.363.224.268.4522.423.713.746.5811.803.844.104.464.052.731.931.33
27.0827.3726.7627.9127.7429.0027.0629.3829.2228.5226.3328.7629.6829.1228.9630.5725.9225.2525.7828.3528.1926.6024.7726.6524.4825.59-13.2427.5427.3627.2026.5328.3328.4426.3629.5328.4028.4126.2624.5027.8128.3627.1923.2127.6127.4626.3122.9126.6526.9424.8222.9923.1325.0723.9720.0522.4823.8821.1511.3811.3510.3012.41
10.968.107.9512.3111.4213.5412.1114.0015.2014.128.5114.6416.0916.1811.7615.6210.8310.698.1212.2613.9810.868.259.418.108.68-25.7710.0012.669.569.1511.2113.038.97-4.1511.6713.509.001.5610.0512.899.15-1.107.6112.459.03-3.766.4911.877.850.454.069.846.80-4.243.095.491.20-28.63-16.43-20.24-17.35
10.968.107.9512.3111.4213.5412.1114.0015.2014.128.5114.6416.0916.1811.7615.6210.8310.698.1212.2613.9810.868.259.418.108.68-25.7710.0012.669.569.1511.2113.038.97-4.1511.6713.509.001.5610.0512.899.15-1.107.6112.459.03-3.766.4911.877.850.454.069.846.80-4.243.095.491.20-28.63-16.43-20.24-17.35
--------------------------------------------------------------
9.186.376.3010.0510.0812.1210.3612.6413.8713.007.1012.8515.0915.1310.2614.258.999.236.70-19.4112.369.046.177.847.368.26-71.059.5512.329.092.2210.8112.578.54-4.8711.2813.158.61-0.859.5412.298.39-2.016.628.307.72-7.093.639.866.03-3.040.547.934.13-7.90-0.232.85-1.50-35.30-20.41-23.25-20.39
6.934.984.477.067.916.448.959.6510.7510.277.0910.0311.5411.818.1911.187.167.157.31-24.506.66-3.456.066.706.886.02-51.596.928.836.001.637.818.706.05-1.417.6510.325.78-0.4611.208.266.3785.267.017.325.00-14.230.237.934.14-4.160.546.322.79-15.69-0.881.35-1.54-18.87-17.17-22.79-25.07
0.230.210.220.260.270.280.250.280.300.280.260.280.380.360.310.330.260.250.260.270.290.240.170.250.330.360.070.340.400.330.330.340.380.340.210.320.370.330.300.300.350.300.230.340.460.410.220.350.410.380.290.340.390.360.250.300.370.310.240.230.250.25
0.690.640.680.800.830.820.780.840.950.900.871.081.311.331.161.451.080.860.830.861.040.940.701.061.351.000.310.971.281.051.141.041.261.070.681.001.221.071.091.011.190.990.901.061.451.210.711.201.551.381.091.271.561.361.011.221.621.321.201.171.110.92
2.722.212.762.802.772.502.913.053.002.552.953.163.092.663.443.092.182.072.772.362.402.102.042.662.791.940.472.402.582.092.632.402.582.031.662.482.562.082.432.322.381.951.972.102.592.111.512.172.422.182.162.252.452.102.032.222.271.921.981.811.771.92
33.0440.6732.5932.0932.4936.0330.8829.5629.9635.2830.5228.4529.1333.8526.1729.1141.2443.3832.5438.2237.4842.7644.1833.8332.3146.3319337.5634.9242.9734.2037.4334.9344.2654.2436.3635.2143.2537.0638.7537.8646.2145.6442.8634.7042.6559.4141.5737.2241.3441.7239.9336.7142.8344.4040.5539.7246.9145.5149.7750.8146.78
5.203.343.405.466.445.456.878.419.928.795.337.8210.1410.316.369.385.225.425.77-16.427.294.992.354.834.544.92-11.555.037.715.041.245.957.794.84-0.435.608.524.73-0.204.777.344.4954.4519.7737.1442.04-50.0612.1159.3457.04-35.282.4832.9422.29-81.68-3.326.82-6.78-58.96-34.04-38.90-33.66
25311690.2214591.79117182504-66,309.84334-387.8316.8822.4625.0717.7828.3618.6422.4724.80-56.3721.2613.446.0012.824.838.06-18.868.0812.338.252.069.9512.578.02-0.597.6811.676.60-0.286.5410.346.4079.49-149.35-69.87-27.8315.43-15.49-54.30-18.703.60-3.08-51.11-12.2820.745.39-9.167.5878.58324-339.63-104.60
1.641.051.141.872.151.792.222.753.222.861.882.794.334.302.553.711.901.812.10-6.372.771.760.871.781.982.14-5.102.323.532.270.542.633.332.02-0.172.313.471.87-0.071.992.871.6719.392.373.322.25-1.600.903.661.86-0.440.182.481.01-2.15-0.260.50-0.47-4.58-3.97-5.70-6.27
2.391.551.752.802.992.513.143.814.413.892.763.986.906.663.975.542.942.983.17-9.314.042.751.353.073.533.82-8.953.936.013.890.954.535.893.61-0.324.156.303.44-0.143.535.333.1737.907.6311.667.92-6.072.9011.376.10-1.510.536.962.95-6.40-0.691.34-1.25-11.81-9.21-14.25-14.44
30.3530.2830.5930.2630.0229.0928.6227.5626.9225.9424.8823.9822.8221.0719.3918.5917.2416.4816.3517.2117.9417.5418.2417.9617.2916.9716.9417.9117.4316.4916.1215.9715.3714.3914.1114.1413.7412.9112.6413.7612.7911.7911.243.182.361.440.872.081.770.920.352.132.361.390.792.452.272.172.383.804.776.21
0.85-2.2410.416.433.56-0.227.794.181.93-1.837.325.934.350.1110.028.032.71-0.995.072.541.60-0.903.822.662.28-0.764.442.841.89-0.954.733.152.36-0.923.502.421.06-1.392.611.350.81-1.131.861.320.87-1.161.741.150.49-0.760.970.880.88-0.902.322.171.500.321.421.470.770.57
-0.56-2.996.513.251.20-1.482.780.24-0.61-3.114.013.703.00-0.397.766.551.60-1.682.440.520.05-1.881.781.381.35-1.172.551.220.79-1.492.641.741.41-1.422.321.390.38-1.731.360.570.31-1.350.690.560.29-1.320.880.640.29-0.840.350.500.71-0.931.791.891.330.231.191.380.680.50