Brown Forman Financial Ratios for Analysis 2009-2024 | BF.A

Fifteen years of historical annual and quarterly financial ratios and margins for Brown Forman (BF.A).

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
2.593.513.654.273.713.873.112.422.822.353.883.854.332.792.801.88
0.400.450.420.470.530.580.640.550.440.280.330.380.200.200.210.22
0.880.890.830.961.321.481.941.570.960.620.490.620.250.370.370.55
60.4658.9960.7960.5063.2565.1667.8067.5069.4169.6669.4868.6265.9266.6765.2563.56
33.8426.6630.6133.6932.4434.4232.2733.7349.6332.7732.4631.5228.9433.0628.7626.64
33.8426.6630.6133.6932.4434.4232.2733.7349.6332.7732.4631.5228.9433.0628.7626.64
35.9328.5532.6235.9134.6436.5834.2435.6751.4434.4034.1433.3130.7435.2331.1528.86
31.0724.0528.3231.2330.0031.3530.0831.1648.2031.9731.6630.3627.9132.0627.6225.39
24.5118.5221.3126.0924.5925.1222.0822.3434.5421.8322.0320.7418.8422.0818.1917.53
0.510.540.620.530.580.650.650.650.740.750.730.790.780.700.730.71
0.650.760.850.780.730.760.760.770.901.001.041.081.301.331.321.39
5.434.954.844.605.905.465.085.385.535.385.265.205.735.215.916.76
67.1873.8175.4579.4161.8666.8771.8167.9066.0567.9069.4470.2163.6770.0161.7953.99
29.1223.9630.6234.0041.8750.7054.4848.8368.3135.9132.4336.3024.7927.7723.6923.95
95.5212160.2975.19142335-612.82-2,787.5028399.5689.6617265.4374.7780.1895.60
12.5410.0713.1513.8514.3416.2514.4114.4625.5116.3316.0616.3014.7515.4113.2712.52
17.3913.1717.6218.0219.4921.2119.6121.8738.2225.8321.7622.5119.9522.3118.6918.71
7.446.825.715.554.133.452.742.853.163.653.813.055.833.793.443.23
1.361.331.951.701.511.661.351.341.031.141.211.000.960.960.980.86
0.880.951.661.571.271.411.091.110.810.920.980.820.850.910.920.78

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
2.472.592.743.293.203.511.993.433.533.653.485.154.234.273.753.733.343.714.513.943.273.873.083.063.023.111.782.532.302.422.102.802.932.822.192.082.852.352.573.393.553.883.483.753.613.852.534.063.884.332.692.582.622.793.852.962.542.802.261.941.901.882.14
0.410.400.450.430.450.450.400.390.420.420.450.440.470.470.490.490.520.530.530.540.580.580.610.600.630.640.600.510.550.550.590.600.590.440.460.470.420.280.270.320.330.330.350.350.370.380.400.180.190.200.200.200.200.200.290.200.210.210.210.210.220.220.27
0.910.881.050.900.920.891.000.790.800.830.920.800.930.961.081.111.261.321.151.261.501.481.681.701.821.941.751.341.571.571.881.761.690.961.231.270.870.620.490.540.490.490.530.550.600.620.830.220.240.250.370.380.370.370.410.320.390.370.410.510.510.550.58
59.4159.0259.4060.6162.7260.7157.7256.0361.7762.8559.9859.3661.0461.3360.3758.9861.7563.8961.9662.5965.0164.7863.1664.8468.2869.8566.8666.7468.1969.0666.3466.5168.5370.4368.6068.6270.2471.1868.0269.4470.2171.4568.0369.1569.5369.6567.8767.5769.6770.0264.2764.2665.9069.3165.4765.6966.5367.0864.4763.3966.5966.8562.56
29.5538.9034.8930.6231.5028.4916.0028.6134.0624.7033.4632.3931.9020.6930.8533.5051.3926.3833.8235.5932.3830.6535.4036.4834.4620.0534.8538.1834.0233.5333.7935.0632.2299.8634.3635.3632.4831.2633.4634.5531.3527.2532.6137.3331.6326.8631.7333.7233.3324.8329.3931.5329.1536.3531.8533.6530.3321.0927.2832.2833.6422.6329.91
29.5538.9034.8930.6231.5028.4916.0028.6134.0624.7033.4632.3931.9020.6930.8533.5051.3926.3833.8235.5932.3830.6535.4036.4834.4620.0534.8538.1834.0233.5333.7935.0632.2299.8634.3635.3632.4831.2633.4634.5531.3527.2532.6137.3331.6326.8631.7333.7233.3324.8329.3931.5329.1536.3531.8533.6530.3321.0927.2832.2833.6422.6329.91
---------------------------------------------------------------
26.6036.0031.9928.0028.8125.7211.4727.2432.3721.6931.6330.2829.6918.1028.4331.3748.6123.4131.5933.4729.7727.6931.4234.0731.5917.4632.9236.2131.6728.4931.9333.2530.4198.3532.8833.9631.1930.5832.7233.7530.3526.3831.8436.6130.7624.4330.6633.2032.5823.7528.3530.6228.0335.2330.8832.7729.2419.9526.1731.2332.3921.2328.54
20.5027.5926.6621.8622.2519.799.2520.7524.7315.1624.9823.7421.1914.7824.0424.3743.0318.0525.7028.5124.2821.3725.1127.3626.1115.0121.6426.1524.6221.0122.5223.7321.7971.6623.4923.4222.3218.9422.8823.7221.2819.2822.6324.7320.8517.3021.0222.2722.0717.3118.9720.1618.5227.0219.8722.0519.5612.8816.9321.0821.2714.9420.83
0.120.120.130.140.130.130.140.160.150.160.170.150.140.120.140.160.120.120.160.180.140.140.180.180.150.150.170.180.150.150.180.180.140.170.190.200.160.180.200.210.170.170.200.210.190.180.190.200.190.170.190.210.170.160.200.200.170.170.190.190.170.150.17
0.150.150.170.170.150.180.210.240.200.200.230.230.200.180.210.240.170.150.210.220.170.170.230.220.170.160.220.220.170.170.220.220.160.200.250.250.200.220.280.280.220.220.290.290.240.240.300.320.260.250.370.400.320.290.360.340.280.280.340.370.280.270.34
1.181.251.221.171.191.221.151.221.201.231.301.071.131.081.111.121.041.241.231.201.221.221.231.181.161.151.211.211.261.251.321.261.321.301.281.171.381.271.291.151.291.211.151.141.271.201.181.141.271.271.231.221.221.231.341.281.381.341.401.351.451.461.43
76.2871.7973.9277.0775.6173.5778.5973.5575.1673.4669.0884.4879.7783.4681.0180.3186.1872.3673.2874.8973.5573.6773.3775.9677.3178.4674.3274.1571.7072.1368.0671.5768.2169.2070.0976.6265.0271.0069.8578.1069.8374.2278.1578.7671.1174.8476.3678.9470.9370.9572.9573.9673.8473.1667.4170.1065.0666.9464.1066.8661.9061.5262.82
5.637.568.787.016.926.333.297.478.875.5210.288.077.164.528.879.9915.076.4811.5214.5211.189.6515.2016.6314.628.3615.8214.5112.5410.6615.3715.3510.8333.3513.4114.289.147.359.1110.027.306.559.3711.218.587.0010.347.516.935.046.547.865.708.057.517.805.973.825.737.866.734.426.81
19.4224.8136.6824.1027.8331.9922.8313.1916.9010.8623.6315.9015.559.9921.5124.2444.2021.9239.4253.7172.9463.86258252-444.44-94.02-76.921034,450-608.33-91.92-197.00-192.0013877.2410731.3920.3822.8225.6819.4818.1029.5037.6637.7333.2468.2616.9417.3913.2917.7422.1315.2921.6926.1224.1920.8512.9320.3129.2827.7517.6327.30
2.383.263.462.982.862.661.293.313.822.374.163.572.921.843.373.785.232.224.195.083.493.094.404.843.982.213.774.803.713.163.964.173.0312.464.394.633.603.344.474.903.583.244.435.313.883.144.104.554.103.003.624.293.154.473.994.483.292.143.164.113.522.313.53
3.334.524.813.963.833.481.984.535.183.175.664.493.822.404.555.097.253.025.376.674.734.045.986.585.443.016.407.105.674.776.386.164.3918.667.187.605.315.296.676.774.914.396.137.275.374.346.246.165.604.055.246.284.596.475.356.204.693.014.516.185.253.454.99
7.337.446.877.226.966.826.346.345.865.715.266.105.605.555.165.024.494.134.194.063.483.453.133.132.842.742.503.432.962.852.472.662.723.162.822.783.313.653.873.933.853.813.543.453.123.052.844.323.985.833.823.773.813.793.443.633.403.443.423.403.233.233.21
0.041.360.760.200.081.330.850.660.361.951.420.700.381.701.190.590.191.511.060.390.151.661.200.560.261.351.200.450.221.340.920.350.261.030.890.310.281.140.710.130.211.210.730.370.171.000.680.310.160.960.640.290.120.960.730.320.170.980.770.370.210.860.60
0.060.880.480.06-0.020.950.640.540.291.661.300.630.361.571.100.530.161.270.880.290.111.411.030.450.211.091.000.320.161.110.770.270.230.810.710.190.210.920.530.020.150.980.560.260.130.820.570.230.130.850.580.250.110.910.700.320.180.920.740.350.200.780.54