Brink's Financial Ratios for Analysis 2009-2024 | BCO

Fifteen years of historical annual and quarterly financial ratios and margins for Brink's (BCO).

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
1.431.551.401.361.231.421.781.121.211.251.381.341.331.301.33
0.860.850.920.920.880.900.770.410.520.440.300.370.410.360.22
6.795.9711.7412.287.929.333.661.251.300.980.560.670.810.670.33
23.9523.6722.9622.0423.1122.5222.0720.8220.1817.2419.0419.1019.0319.6219.04
8.727.978.445.786.437.878.186.113.15-0.774.324.535.535.935.32
8.727.978.445.786.437.878.186.113.15-0.774.324.535.535.935.32
14.3813.3914.1511.3911.4512.5312.5610.467.723.778.718.689.5710.189.63
4.844.995.612.152.541.225.424.141.34-1.383.694.085.145.715.30
1.803.762.500.430.79-0.950.501.14-0.39-2.361.502.482.031.926.39
0.740.710.750.720.981.081.091.511.571.631.511.401.521.311.67
---------------
6.265.265.985.445.795.825.216.036.406.726.075.846.655.677.33
58.3369.3960.9967.1662.9962.7270.0460.5557.0054.3660.1062.4754.8664.4049.78
18.5732.4145.6111.2115.66-16.517.0413.11-7.68-18.0911.5821.3425.7716.6938.17
-6.70-13.05-6.98-1.57-3.833.71-10.7631.10-21.75-39.2618.3244.4666.4038.0772.72
1.462.902.070.440.86-0.850.782.33-1.30-3.913.614.825.174.2912.10
2.554.813.720.891.84-1.681.617.72-3.69-10.128.1413.4915.2010.7329.61
11.6912.325.334.094.143.356.707.106.769.7516.1112.0710.2912.5712.44
14.9810.049.546.257.217.155.723.763.972.884.115.155.144.864.11
11.056.346.343.974.194.182.391.641.961.310.701.901.612.110.74

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
1.571.571.461.431.521.551.531.551.821.621.531.401.401.421.401.361.461.561.371.231.401.401.371.421.531.791.771.781.211.201.281.121.341.271.311.211.351.371.371.251.281.311.331.381.371.311.321.341.381.371.391.331.401.301.361.301.341.451.431.331.481.441.59
0.900.890.860.860.850.830.840.850.910.890.890.920.920.900.920.920.930.930.960.880.900.890.900.900.850.820.760.770.540.450.450.410.490.510.540.520.510.500.500.440.370.370.360.300.420.430.430.370.390.390.410.410.360.330.340.360.290.290.260.220.290.310.40
9.448.396.916.795.855.225.575.9710.568.618.3711.7411.439.4311.4912.2814.7013.0122.507.929.458.399.429.336.215.013.433.661.561.301.251.251.261.351.411.301.271.201.210.980.730.750.690.560.890.970.930.670.750.760.790.810.640.600.630.670.470.470.390.330.460.510.73
25.0225.1624.9925.9824.9622.4022.3626.6122.5223.4921.8225.3122.1221.8922.3925.8923.4517.2020.5524.5023.0522.4822.3523.9523.4421.5321.1022.2121.5521.9622.5923.8021.3519.3918.4124.6118.8118.3318.9415.6816.7216.3120.0021.0920.2818.3116.6120.4019.0818.0119.1723.5518.8917.4317.0524.9319.2817.2517.0420.0219.2417.4819.30
8.879.269.788.2011.228.686.7312.005.238.515.8113.256.906.996.3110.957.87-0.123.007.835.655.756.458.957.867.267.379.787.825.998.998.607.904.353.269.513.33-1.921.66-2.697.011.01-7.766.156.033.381.825.084.843.364.9610.666.282.084.0510.495.684.323.244.427.603.555.69
8.879.269.788.2011.228.686.7312.005.238.515.8113.256.906.996.3110.957.87-0.123.007.835.655.756.458.957.867.267.379.787.825.998.998.607.904.353.269.513.33-1.921.66-2.697.011.01-7.766.156.033.381.825.084.843.364.9610.676.282.084.0510.495.684.323.244.427.603.555.69
---------------------------------------------------------------
4.705.756.344.217.074.823.207.932.745.953.0910.104.274.742.977.773.76-3.29-1.082.212.352.932.675.824.92-10.464.176.444.413.836.966.576.012.421.233.942.82-2.491.08-3.176.300.40-8.375.415.402.801.264.424.392.884.7110.305.751.593.9010.445.224.103.094.497.403.445.87
2.303.693.99-0.403.722.641.273.781.693.106.644.521.772.281.302.47-2.461.560.21-0.280.581.371.513.842.04-12.702.54-5.772.341.764.401.593.240.04-0.43-0.471.00-1.70-0.39-5.362.320.19-6.164.672.420.90-1.753.691.433.261.812.043.090.812.192.713.082.95-1.1214.434.292.703.14
0.190.190.190.190.200.190.190.190.190.190.190.200.190.190.190.200.200.170.230.250.250.240.250.280.270.300.280.300.310.350.360.400.370.370.360.390.380.370.380.400.380.360.400.350.360.360.360.300.370.380.370.320.420.410.390.320.390.390.390.450.390.400.40
---------------------------------------------------------------
1.481.491.441.601.531.431.351.381.441.381.391.561.481.461.421.501.371.191.361.471.421.351.411.511.351.431.391.411.401.411.451.601.471.511.431.601.491.501.581.661.561.461.691.411.461.471.491.241.521.561.571.411.811.651.621.401.691.721.711.991.671.641.69
60.7460.5762.4056.2958.7662.9766.5865.1662.3765.4564.6257.5160.9461.5063.4559.8365.6675.7366.3361.1363.3166.7963.7559.4466.5963.1064.9064.0064.1263.7062.1856.1361.0559.6362.7356.1960.2260.1657.0354.1857.5861.8553.3063.9461.7661.2460.5872.8559.3257.7657.3363.9749.7654.4155.3964.2753.1752.3852.5045.3453.7854.9953.35
7.8211.1710.04-1.108.475.302.918.727.0810.4220.0919.729.248.926.8412.99-13.038.383.41-1.543.836.728.0921.497.72-43.866.90-15.204.393.079.624.996.610.95-0.140.271.94-6.50-1.69-5.284.17-0.10-12.683.756.453.041.215.794.616.725.0911.135.821.513.808.634.124.22-0.2822.986.605.1510.30
-2.08-3.41-3.710.40-3.65-2.67-1.27-3.51-1.54-2.58-4.80-3.02-1.37-1.62-1.02-1.821.56-1.20-0.280.38-0.82-1.65-1.73-4.83-2.8651.96-14.3023.24-77.298.0220.0411.8415.132.49-0.390.774.68-15.34-3.74-11.456.98-0.17-21.565.9213.687.062.9612.069.9415.2012.3028.6911.473.078.0319.686.676.84-0.4543.7810.779.9922.03
0.480.760.78-0.090.790.550.280.780.380.661.290.890.410.480.300.51-0.460.340.07-0.090.190.380.401.110.59-3.750.82-1.680.780.591.870.891.280.17-0.030.050.37-1.29-0.35-1.141.24-0.03-3.751.171.410.620.251.311.011.461.102.231.550.411.032.221.241.26-0.097.281.891.031.78
0.801.271.36-0.151.310.900.461.290.631.112.231.610.780.900.581.04-0.870.630.15-0.180.380.760.822.191.12-7.801.68-3.482.001.695.332.943.350.47-0.070.130.95-3.23-0.84-2.952.62-0.06-8.152.633.771.740.693.662.814.123.006.573.701.012.505.552.912.99-0.2117.824.683.586.17
9.3410.1011.6611.6912.9014.3113.0412.326.847.777.775.335.076.084.534.093.483.781.624.143.704.193.593.354.844.817.206.709.518.798.367.107.867.237.116.767.708.368.679.7513.9114.5414.3716.1112.2011.3211.3612.0711.7911.2511.4910.2913.3514.1813.6812.5713.0811.7111.9212.4412.248.226.93
1.25-0.051.4114.986.222.23-0.9510.044.220.86-1.589.545.441.60-0.036.251.73-1.180.267.212.970.47-0.757.152.862.131.095.722.642.420.773.761.120.27-0.763.971.820.86-0.482.881.470.960.634.112.130.840.075.152.660.62-0.345.143.531.44-0.124.862.970.990.114.112.721.840.42
-2.05-2.360.3411.053.520.36-1.906.341.52-0.84-2.326.343.290.22-0.633.970.21-2.21-0.314.190.76-0.93-1.414.180.910.730.412.390.401.070.241.64-0.22-0.57-1.181.960.610.16-0.761.311.07-0.140.140.70-0.14-0.75-0.611.900.50-0.83-1.021.611.33-0.02-0.722.110.89-0.24-0.440.740.370.24-0.22