BJ's Restaurants Financial Ratios for Analysis 2009-2024 | BJRI

Fifteen years of historical annual and quarterly financial ratios and margins for BJ's Restaurants (BJRI).

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
0.420.420.450.540.410.520.490.470.800.760.770.911.171.291.33
0.160.150.130.280.330.240.390.350.240.14----0.02
0.190.170.150.400.490.310.630.540.320.17----0.02
74.0172.7773.5074.8874.6074.7673.9674.6875.3274.8175.2475.2075.4175.4675.05
1.03-0.43-1.52-11.104.235.153.676.216.864.193.085.776.835.874.62
1.03-0.43-1.52-11.104.235.153.676.216.864.193.085.776.835.874.62
6.375.075.22-1.7010.4311.4610.3312.6813.3210.749.4011.6112.3111.4910.27
0.76-0.65-1.76-11.553.994.663.436.156.754.303.236.027.035.994.36
1.470.32-0.33-7.443.904.554.344.594.933.242.714.435.084.513.06
1.261.231.050.731.081.611.511.441.351.311.271.271.241.191.12
26.1729.4124.8818.3326.5727.8325.5625.3825.5226.5925.8228.9825.6129.1626.66
68.4844.9037.4132.9552.3235.8174.4267.5636.2644.9960.6737.4242.7151.1832.34
5.338.139.7611.086.9810.194.905.4010.078.116.029.758.557.1311.29
5.381.18-1.08-19.7015.5816.4317.3116.5714.327.865.248.459.508.055.15
5.441.20-1.10-20.0215.8416.6817.6316.8614.547.965.308.559.638.185.25
1.860.39-0.35-5.464.227.316.556.596.654.233.445.616.295.393.42
4.531.01-0.94-14.1010.4412.5710.6110.7710.876.745.248.459.508.055.05
15.7814.7714.3212.6015.1614.6812.6312.3112.8313.2914.1913.2511.9810.539.45
4.422.162.771.925.636.164.925.714.853.533.313.062.782.602.58
0.29-0.880.950.231.843.592.491.381.700.89-0.47-0.59-0.350.130.37

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
0.350.350.350.420.340.360.410.420.330.430.400.450.580.670.740.540.570.730.810.410.380.370.390.520.490.440.530.490.560.550.500.470.550.600.600.800.650.690.680.760.620.740.840.770.861.031.040.911.011.131.221.171.241.371.481.290.890.951.091.330.700.830.65
0.150.140.130.160.140.130.150.150.130.130.130.130.180.200.260.280.290.350.460.330.360.240.240.240.230.270.370.390.440.390.420.350.260.220.240.240.170.180.100.140.08-----------------0.010.020.030.030.03
0.180.160.150.190.170.140.170.170.150.150.150.150.210.240.360.400.410.530.850.490.550.310.310.310.300.370.590.630.790.650.710.540.350.280.310.320.200.220.110.170.09-----------------0.010.020.030.030.03
73.3974.3374.8274.5374.0674.0973.3773.2072.7072.4272.7372.6372.8473.9674.8674.1975.3975.0174.9474.8374.3374.4774.7674.5674.6274.9674.8873.8773.4673.8574.6474.2674.3875.0175.0975.3375.5075.4175.0474.3674.8974.8975.1374.7275.2275.5975.4675.0275.3375.0775.4275.7275.3175.2275.3475.2175.6575.7075.2975.0274.8975.1075.16
-0.803.782.451.03-0.752.920.771.23-1.660.95-2.58-2.75-2.472.30-3.68-10.31-6.38-35.72-3.035.601.175.234.745.062.926.655.884.200.644.665.026.263.887.816.746.817.207.585.825.103.894.872.81-1.121.855.935.744.325.056.797.027.625.676.946.986.365.776.564.703.514.245.765.02
-0.803.782.451.03-0.752.920.771.23-1.660.95-2.58-2.75-2.472.30-3.68-10.31-6.38-35.72-3.035.601.175.234.745.062.926.655.884.200.644.665.026.263.887.816.746.817.207.585.825.103.894.872.81-1.121.855.935.744.325.056.797.027.625.676.946.986.365.776.564.703.514.245.765.02
---------------------------------------------------------------
-0.984.212.240.64-1.072.780.501.06-1.850.76-2.92-2.54-2.681.75-4.17-10.99-5.74-35.94-4.275.300.804.934.754.362.626.205.343.890.344.344.986.163.907.686.746.617.007.525.865.153.965.003.00-0.972.026.025.944.705.207.047.247.735.737.427.156.455.896.654.902.134.345.865.24
-0.904.902.292.49-1.193.411.021.15-0.530.090.49-1.60-0.772.19-1.41-9.18-3.31-22.61-1.684.991.324.714.433.813.155.895.268.990.973.633.594.853.105.514.784.685.395.364.273.863.143.652.260.251.944.334.393.783.904.965.145.754.185.344.975.224.304.853.571.533.054.073.67
0.310.340.320.310.310.340.330.330.310.320.290.280.270.270.210.190.190.120.230.270.260.290.270.400.400.430.410.380.360.380.370.380.340.370.360.340.350.350.350.330.330.350.330.330.310.340.330.330.320.340.330.340.320.330.340.310.320.330.330.300.290.310.31
6.706.716.276.225.737.557.467.767.237.727.156.896.836.935.394.764.943.056.076.606.837.266.877.046.777.106.896.496.416.726.426.906.296.596.576.476.517.117.186.856.787.277.176.796.747.037.137.627.137.517.566.996.146.176.587.626.246.946.977.046.877.247.02
18.6122.4122.2416.6217.3310.5717.1912.0415.6714.4412.3910.0211.5511.589.388.3414.248.2618.8513.1117.5417.0018.828.9917.7317.0320.4118.8319.7010.8320.3518.0719.5418.3918.649.199.4611.0112.7911.3816.2818.7718.5915.6419.0019.1517.089.7621.0412.3510.4311.8113.8714.5616.1213.2416.4915.2512.358.548.636.7110.34
4.844.024.055.415.198.525.237.485.746.237.268.987.797.779.5910.806.3210.894.776.865.135.304.7810.015.085.284.414.784.578.314.424.984.614.894.839.799.518.177.047.915.534.804.845.764.744.705.279.224.287.298.637.626.496.185.586.805.465.907.2910.5410.4313.418.70
-0.784.442.062.20-1.053.260.991.15-0.480.090.43-1.40-0.651.90-0.97-6.16-2.13-9.26-1.575.001.284.383.913.462.735.745.469.080.973.623.614.692.354.283.813.453.713.732.682.371.781.951.140.130.922.192.171.881.892.532.512.971.992.632.402.412.002.351.670.681.281.801.59
-0.794.492.082.23-1.073.301.001.16-0.490.090.44-1.42-0.661.93-0.98-6.26-2.16-9.40-1.605.081.304.443.963.512.775.845.559.240.993.683.684.772.384.353.873.503.763.782.712.401.801.981.150.130.932.222.191.901.912.572.543.012.022.672.442.452.042.391.700.691.311.841.62
-0.281.640.740.76-0.371.150.330.38-0.160.030.14-0.45-0.210.60-0.29-1.71-0.62-2.63-0.381.350.351.341.221.541.272.522.133.440.341.361.331.861.042.031.731.601.861.881.491.281.051.290.740.080.601.461.441.251.261.711.681.971.361.781.671.611.391.621.160.450.881.241.13
-0.663.811.781.86-0.902.850.850.98-0.420.080.38-1.21-0.531.53-0.71-4.40-1.51-6.04-0.853.350.833.352.982.642.094.183.435.560.542.202.113.051.733.342.902.623.083.042.422.031.641.951.140.130.922.192.171.881.892.532.512.971.992.632.402.412.002.351.650.671.251.751.54
16.4316.7016.0615.7815.4215.5514.9314.7714.5114.5214.4214.3214.4014.4014.0112.6013.8514.0414.5015.1614.7615.8115.7514.6814.6914.0513.0012.6311.8212.3611.9012.3113.0613.3312.6712.8313.1713.0613.6313.2913.5514.5414.4114.1914.0713.9113.5613.2512.9312.6512.2811.9811.5011.2310.8810.5310.209.949.669.459.239.098.85
3.021.780.934.423.131.741.332.161.441.280.032.771.992.210.621.921.630.700.065.633.803.071.036.164.363.361.224.923.192.340.965.714.442.891.904.853.842.131.153.532.631.701.013.312.932.011.293.062.751.600.742.782.091.480.272.601.560.980.162.581.610.970.25
0.380.050.020.29-0.35-0.470.21-0.88-0.71-0.01-0.460.950.911.620.320.230.36-0.49-0.791.840.591.220.203.592.662.020.562.490.760.29-0.221.381.140.850.871.701.540.660.560.890.710.210.33-0.47-0.150.060.24-0.59-0.22-0.340.12-0.35-0.290.06-0.260.13-0.19-0.17-0.270.370.110.17-0.06