Bel Fuse Financial Ratios for Analysis 2009-2024 | BELFB

Fifteen years of historical annual and quarterly financial ratios and margins for Bel Fuse (BELFB).

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
3.452.802.943.203.142.743.052.772.302.553.054.124.904.406.99
0.150.270.350.370.450.390.430.450.410.49-----
0.180.360.540.620.860.650.780.890.791.040.050.00---
33.7428.0424.7325.7122.3325.4020.8219.9819.1917.9317.8216.2217.0720.9411.65
13.759.965.754.01-0.324.923.54-15.305.042.774.310.582.515.01-9.49
13.759.965.754.01-0.324.923.54-15.305.042.774.310.582.515.01-9.49
15.8412.239.097.674.928.338.2110.619.357.097.863.765.447.93-5.79
13.029.035.032.61-1.484.311.96-16.514.542.014.340.352.675.15-5.31
11.548.054.572.75-1.783.78-2.42-12.963.391.774.560.831.284.51-4.55
1.121.171.061.031.051.241.141.170.980.771.131.041.071.090.74
3.112.732.943.463.573.413.614.054.653.524.104.374.594.205.08
6.605.214.715.455.335.096.246.726.574.895.476.257.035.244.80
55.2970.0377.5167.0168.5071.7458.5154.3155.5374.6466.7458.3651.9269.5975.97
21.6820.0811.896.89-5.2011.74-7.53-40.928.233.846.961.101.706.19-3.98
27.9128.7720.5013.32-11.8622.04-17.39-98.7581.1382.718.801.321.836.67-4.03
12.929.404.852.82-1.864.67-2.76-15.193.321.355.160.861.364.92-3.38
18.4314.747.734.32-2.857.19-4.28-22.494.901.946.961.101.706.19-3.98
26.6920.5216.6715.0413.6914.3913.1314.5019.6318.9119.8718.6518.7218.8317.95
8.483.210.373.741.990.832.003.245.541.930.930.982.570.652.53
8.002.650.213.621.66-0.121.483.044.711.160.330.602.360.502.55

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
4.004.194.213.453.082.792.952.802.752.803.052.942.972.853.073.203.173.243.443.143.213.233.122.742.892.903.143.052.662.682.882.772.642.582.602.302.462.382.482.552.552.744.033.052.563.053.054.124.024.774.734.904.774.255.094.404.754.695.176.997.278.318.37
0.140.140.150.150.160.160.260.270.320.330.340.350.360.350.370.370.400.440.450.450.390.380.380.390.390.410.420.430.370.410.450.450.460.490.530.410.440.450.480.490.490.37---------------------
0.160.170.170.180.190.200.360.360.470.500.520.540.560.570.610.620.700.810.830.860.660.630.640.650.660.710.740.780.680.770.890.890.911.031.210.790.850.901.001.041.030.620.020.050.060.000.000.000.00--------------
36.1440.0937.5336.5634.9532.9131.1430.9328.9926.6524.9627.1524.4824.6521.9325.2926.7625.8224.7720.7322.9920.9924.5241.9719.9420.6217.8718.4821.9222.1320.5520.7220.6319.5219.0419.2619.0119.6118.8818.5417.7718.0517.0219.6119.8016.2414.4315.7816.5516.5815.9114.9415.8617.4419.9921.5523.8120.7915.8914.658.3210.5512.90
9.2616.9813.9411.7615.4516.2111.3910.7612.419.855.927.686.044.784.024.846.524.99-1.08-3.70-4.203.532.703.747.177.580.370.815.385.522.076.437.237.57-85.333.545.075.126.371.692.793.743.497.787.641.77-2.26-4.161.163.192.191.582.550.205.900.1411.117.55-0.49-1.66-35.18-6.395.15
9.2616.9813.9411.7615.4516.2111.3910.7612.419.855.927.686.044.784.024.846.524.99-1.08-3.70-4.203.532.703.747.177.580.370.815.385.522.076.437.237.57-85.333.545.075.126.371.692.793.743.497.787.641.77-2.26-4.161.163.192.191.582.550.205.900.1411.117.55-0.49-1.66-35.18-6.395.15
---------------------------------------------------------------
9.0517.1815.899.6414.9816.1710.8710.3111.648.384.856.744.894.343.793.725.134.95-4.40-5.18-4.742.660.934.496.256.42-0.83-1.314.024.110.645.366.226.57-87.122.366.793.765.120.551.613.563.517.687.751.83-2.21-4.310.852.642.301.692.710.476.000.2511.227.70-0.289.67-33.54-3.705.58
6.5414.1212.398.6012.2616.468.468.309.319.993.705.443.905.682.893.066.004.60-3.66-5.52-5.212.330.902.827.754.71-1.10-17.333.982.370.662.857.5417.30-83.092.143.414.163.751.190.813.083.038.137.301.80-0.89-3.393.281.971.340.121.33-0.734.54-1.2211.766.16-0.215.96-23.74-2.831.86
0.210.230.230.240.280.310.300.300.320.310.260.290.300.290.240.260.270.260.230.250.290.280.280.320.330.320.270.280.300.310.270.280.290.300.270.230.240.240.230.230.240.200.280.300.320.320.220.260.270.260.230.250.270.280.260.300.310.300.220.200.190.180.18
0.630.620.610.650.740.720.720.680.770.780.660.770.870.900.810.870.880.860.750.850.870.850.760.691.021.050.950.910.941.000.890.951.061.070.981.111.121.051.031.071.130.831.011.051.131.180.891.101.131.060.971.091.181.161.001.151.131.231.081.311.391.270.99
1.521.531.381.441.431.4011.441.351.351.401.201.281.291.321.271.361.401.291.261.251.321.331.201.321.281.351.311.521.511.481.561.591.531.591.581.571.551.481.511.491.420.991.391.431.401.431.221.571.581.631.681.641.581.551.541.451.431.451.251.281.361.241.29
59.1958.8265.0762.3062.9164.067.8766.7666.7464.4075.2070.5969.8968.2470.7266.2764.4369.5871.5572.2467.9567.6174.9867.9370.1266.8868.8359.1459.5661.0157.5856.5058.8256.5157.0857.4157.9860.8659.4660.3163.3390.4764.9463.1464.1662.8373.7357.4757.0255.2153.6855.0457.0458.0258.3462.0363.1461.9471.8070.3566.1872.6169.68
2.205.284.583.536.059.125.245.357.017.542.353.842.864.011.721.914.183.32-2.35-3.78-3.801.650.632.286.554.06-0.79-13.162.821.840.462.135.9914.93-75.251.242.122.652.420.790.551.311.083.233.330.80-0.27-1.131.120.650.390.040.45-0.261.45-0.464.492.26-0.061.39-5.16-0.580.38
2.746.625.814.557.9312.267.307.6710.5011.783.896.615.147.453.353.708.427.22-5.48-8.62-6.342.941.174.2812.618.45-1.73-30.385.763.991.085.1414.8242.13-290.2912.2424.3942.4645.7817.058.452.371.364.094.310.99-0.33-1.361.310.700.430.040.49-0.281.56-0.504.842.45-0.061.40-5.23-0.630.41
1.383.312.862.113.485.032.542.502.993.140.971.561.181.660.700.781.631.21-0.85-1.35-1.490.660.250.912.531.52-0.30-4.821.170.730.170.792.215.11-22.640.500.810.980.850.280.200.620.862.402.320.58-0.20-0.880.870.510.310.030.36-0.201.18-0.373.651.84-0.051.18-4.40-0.510.33
1.894.523.903.005.107.623.853.934.785.031.542.491.832.621.091.202.491.85-1.28-2.07-2.331.030.391.403.972.40-0.46-7.481.771.090.261.173.267.61-35.230.741.191.451.250.400.280.821.083.233.330.80-0.27-1.131.120.650.390.040.45-0.261.45-0.464.492.26-0.061.39-5.16-0.580.38
29.2828.3527.2926.6925.1623.8321.7720.5218.9118.1017.2016.6716.1315.8415.0915.0414.4613.5713.1913.6913.9014.7014.5314.3914.1513.5913.6613.1314.8014.0813.3914.5013.5712.7811.2819.6319.5319.2218.5818.9119.3020.3920.0919.8719.4218.5818.4618.6518.8718.7018.8218.7218.8418.8619.1518.8319.0418.0917.8817.9518.1118.9718.76
5.243.040.488.486.373.181.323.211.930.89-0.620.37-0.14-0.160.143.742.811.370.661.991.540.63-0.510.830.340.100.032.001.18-0.03-0.063.242.241.370.755.543.761.991.371.931.611.100.160.930.53-0.340.150.980.660.020.212.571.841.440.850.65-0.11-0.32-0.222.532.771.801.33
4.632.720.278.006.043.041.022.651.630.61-0.770.210.110.190.593.622.451.130.511.661.340.67-0.71-0.12-0.37-0.38-0.151.480.87-0.22-0.143.041.951.060.614.713.061.521.141.161.170.850.050.330.08-0.610.050.600.38-0.170.112.361.651.320.800.50-0.19-0.41-0.272.552.871.921.52