Big 5 Sporting Goods Financial Ratios for Analysis 2009-2024 | BGFV

Fifteen years of historical annual and quarterly financial ratios and margins for Big 5 Sporting Goods (BGFV).

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
1.631.691.511.451.532.161.911.732.072.181.961.932.111.811.82
0.050.030.020.010.280.290.200.060.220.260.190.230.300.250.30
0.060.040.040.020.410.410.260.070.300.350.240.320.440.340.45
32.3134.2737.5133.5431.3130.4632.0231.7731.5832.0533.1032.1932.3233.2033.25
-1.213.3711.717.321.49-0.121.622.892.582.574.772.762.123.824.21
-1.213.3711.717.321.49-0.121.622.892.582.574.772.762.123.824.21
0.925.2213.289.133.481.873.984.784.684.796.834.804.225.916.38
-1.203.3111.637.141.18-0.471.462.742.402.404.602.531.843.583.93
-0.802.638.815.370.85-0.360.111.651.491.522.811.591.292.292.44
1.371.401.541.491.452.352.272.362.312.152.252.312.292.292.45
2.172.162.592.762.212.332.192.372.352.142.212.362.312.362.59
96.5681.1485.0952.3873.0269.6392.7583.7172.5762.3660.9461.4868.8359.7966.84
3.784.504.296.975.005.243.944.365.035.855.995.945.306.115.46
-2.909.7238.3024.054.68-2.020.598.247.697.6314.659.077.4513.6416.54
-2.909.7238.3024.054.68-2.020.598.427.877.8115.009.327.6714.0617.12
-1.103.6913.587.991.23-0.840.253.893.443.276.323.672.965.245.96
-2.769.4737.4023.793.35-1.440.477.785.975.6711.876.955.2310.2511.53
10.8912.1212.1010.618.338.168.769.319.078.798.567.567.156.906.11
0.85-1.295.136.870.681.17-0.203.381.811.291.191.830.101.362.50
0.35-1.884.656.530.240.43-0.972.730.690.270.191.24-0.470.652.23

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
1.441.561.631.691.631.641.691.611.541.581.511.631.511.521.451.381.481.851.531.521.471.422.162.362.202.171.912.071.991.901.731.852.052.192.072.182.102.142.182.162.132.171.962.001.961.871.931.992.032.022.112.111.951.911.811.921.361.361.821.751.771.84
0.040.050.050.030.030.020.030.020.020.020.020.020.020.020.010.010.170.420.280.270.280.220.290.330.340.280.200.200.200.100.060.110.230.230.220.260.270.230.260.230.270.230.190.180.210.170.230.260.330.290.300.310.300.260.250.280.010.010.300.330.390.41
0.060.060.060.040.040.040.040.030.030.030.040.030.030.030.020.030.220.750.410.380.390.300.410.500.530.400.260.250.250.120.070.130.310.310.300.350.390.300.350.300.370.300.240.220.270.210.320.360.500.420.440.460.430.360.340.400.480.360.450.510.660.72
29.3931.2330.1733.1632.1633.4133.5033.1235.0135.5137.6937.2838.9335.8835.2436.0831.6729.6531.5632.3130.3430.9328.4730.9731.3731.0629.9932.3732.5533.1032.8032.2231.5930.2631.2131.5332.1431.4931.6132.4632.6931.4332.5833.8833.2132.6832.1833.3132.2530.8631.1832.8132.6732.6433.4333.4033.1932.7434.0233.9033.0231.89
-6.76-5.68-6.741.24-0.21-0.010.963.204.824.399.8411.3314.8910.179.6412.697.18-3.130.623.420.391.33-2.391.810.26-0.33-3.273.772.103.554.564.871.66-0.112.693.811.921.731.904.611.921.633.645.934.375.092.945.361.980.39-0.074.052.232.232.944.803.623.884.615.693.842.49
-6.76-5.68-6.741.24-0.21-0.010.963.204.824.399.8411.3314.8910.179.6412.697.18-3.130.623.420.391.33-2.391.810.26-0.33-3.273.772.103.554.564.871.66-0.112.693.811.921.731.904.611.921.633.645.934.375.092.945.361.980.39-0.074.052.232.232.944.803.623.884.615.693.842.49
--------------------------------------------------------------
-6.80-5.74-6.791.28-0.180.040.883.184.774.319.7711.2714.8310.059.5812.626.85-3.470.273.160.081.01-2.821.49-0.07-0.61-3.503.601.953.454.434.761.48-0.302.493.651.751.571.714.461.751.443.455.774.204.912.715.171.730.11-0.393.781.961.952.614.543.463.704.375.453.562.15
-5.01-4.28-4.510.77-0.130.090.732.443.523.767.288.3311.297.907.239.314.89-2.120.152.400.010.68-2.061.17-0.10-0.56-5.332.201.142.112.892.930.88-0.481.552.271.070.951.122.821.100.892.093.532.543.051.663.241.130.070.002.481.411.251.742.942.162.302.693.462.151.31
0.300.300.300.360.320.320.340.360.330.330.360.390.430.380.420.440.350.300.350.380.340.370.590.600.510.530.550.610.520.590.610.660.540.550.620.600.510.550.550.610.500.540.560.620.560.620.600.630.540.550.580.580.530.570.580.610.570.590.650.630.570.58
0.490.480.500.550.470.470.520.550.490.520.610.710.770.710.750.770.570.490.540.580.530.570.600.580.480.500.540.590.500.570.610.650.540.570.630.580.480.550.550.580.480.540.560.600.550.610.610.610.530.560.590.560.530.580.590.610.580.610.680.660.600.64
19.1222.0421.4328.6813.7820.0219.4228.0117.8120.6720.0228.2620.8323.9314.6227.6815.3027.7917.8925.7617.5522.8317.4217.9519.9625.3922.3131.4520.1024.0921.8331.2318.1319.1119.3931.1920.3122.5815.9728.2621.0223.4515.2222.7316.7723.3315.9326.6718.7117.6817.3026.0415.7218.5815.1126.8618.3128.2317.7434.9824.8623.55
4.714.084.203.146.534.494.633.215.054.354.503.184.323.766.163.255.883.245.033.495.133.945.175.014.513.544.032.864.483.744.122.884.964.714.642.894.433.995.643.184.283.845.913.965.373.865.653.374.815.095.203.465.734.845.953.354.923.195.072.573.623.82
-4.45-3.52-3.620.73-0.110.070.642.343.303.397.458.6314.008.589.0413.325.97-2.630.203.540.020.95-2.911.73-0.14-0.72-6.922.921.342.583.754.111.09-0.572.153.111.321.191.443.851.341.092.724.883.424.412.455.101.660.10-0.013.662.011.812.624.633.373.694.846.383.942.42
-4.45-3.52-3.620.73-0.110.070.642.343.303.397.458.6314.008.589.0413.325.97-2.630.203.540.020.95-2.911.73-0.14-0.72-6.922.991.372.633.844.201.12-0.592.203.181.351.221.483.941.371.112.795.003.514.532.525.241.710.10-0.013.772.071.872.704.773.483.815.016.614.102.52
-1.49-1.28-1.370.28-0.040.030.240.871.151.232.643.244.853.013.004.071.69-0.640.050.920.000.25-1.210.71-0.05-0.30-2.911.350.601.241.771.940.47-0.260.961.350.540.530.621.710.550.481.172.181.431.890.992.050.610.040.001.430.750.711.011.781.241.371.742.191.230.77
-4.25-3.36-3.450.71-0.110.070.632.303.243.317.278.4313.748.438.9413.134.95-1.520.142.600.010.74-2.081.16-0.09-0.51-5.512.351.082.313.553.650.84-0.441.672.310.960.921.072.980.980.842.204.022.713.671.883.781.120.070.002.521.411.341.973.343.333.643.384.262.411.42
9.9110.4110.8911.3811.5111.7712.1212.2612.1912.0312.1012.5411.7311.2710.619.738.528.028.338.348.068.118.168.438.408.548.769.489.349.339.319.108.848.849.078.958.788.748.798.748.508.478.568.408.047.787.567.427.117.047.157.227.016.926.906.756.476.276.115.835.485.29
-0.130.380.850.96-0.150.56-1.29-1.36-1.78-1.065.134.223.931.886.876.282.73-0.250.680.650.270.601.17-0.38-1.04-0.43-0.20-0.26-0.89-0.053.382.530.750.451.811.160.390.891.291.14-0.100.151.191.130.471.091.831.330.300.530.10-0.53-0.480.191.360.580.020.752.502.181.321.24
-0.420.290.350.58-0.370.44-1.88-1.77-2.03-1.194.653.903.751.806.536.052.57-0.360.240.360.080.520.43-0.79-1.29-0.54-0.97-0.79-1.21-0.252.732.060.440.300.690.34-0.200.570.270.47-0.50-0.020.190.570.170.941.240.990.100.45-0.47-0.87-0.640.080.650.19-0.210.662.232.031.221.19