Buckle Financial Ratios for Analysis 2009-2024 | BKE

Fifteen years of historical annual and quarterly financial ratios and margins for Buckle (BKE).

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
2.011.871.572.122.194.113.683.923.372.652.772.152.912.672.883.21
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49.0950.2550.4444.4641.9341.3441.6140.7443.0044.0044.2544.4244.0944.1344.6043.37
21.4924.3925.9218.6414.6113.6614.6815.6720.5122.2822.7822.9722.2322.1922.2020.48
21.4924.3925.9218.6414.6113.6614.6815.6720.5122.2822.7822.9722.2322.1922.2020.48
24.2326.6628.0821.6417.6717.1718.5819.5823.9325.5526.1326.7325.9225.7925.5623.84
22.9324.9126.0918.9715.3014.3015.2716.0320.9722.5223.0923.2822.6222.6022.7220.82
17.4418.9319.6814.4411.6010.809.8210.0513.1514.1014.4114.6214.2514.1814.1713.18
1.421.611.661.071.041.681.701.681.952.122.062.352.001.921.841.70
5.085.356.284.954.314.154.524.604.274.975.076.025.705.995.645.34
14510610731928712510611911613526132423266.13130212
2.523.433.411.141.272.923.433.073.152.711.401.131.575.522.811.72
53.2267.6681.4332.8126.8424.2722.9322.7535.6945.7644.9256.7341.7138.9635.9430.96
53.2267.6681.4332.8126.8424.2722.9322.7535.6945.7644.9256.7341.7138.9635.9430.96
24.7230.4032.6315.3912.0318.1316.6716.8925.7129.9429.7634.3828.4927.2226.0422.44
53.2267.6681.4332.8126.8424.2722.9322.7535.6945.7644.9256.7341.7138.9635.9430.96
8.197.516.298.037.918.048.018.858.527.347.496.037.667.337.647.35
5.104.886.314.642.682.242.483.083.314.073.634.634.423.833.383.09
4.354.275.954.492.532.032.202.442.593.133.034.023.652.662.312.32

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
2.282.182.012.352.312.101.872.112.011.821.572.502.382.162.122.372.412.452.192.332.352.304.113.894.064.053.684.404.514.113.924.383.934.183.373.393.173.182.653.483.593.442.772.992.812.712.153.904.113.692.912.353.443.142.673.413.583.042.882.603.703.273.21
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46.9345.9852.3548.5147.3347.1153.0349.7748.1449.2353.1350.4248.1249.3351.2846.5943.2323.2447.4541.7338.6138.0845.8740.0539.2538.8947.3940.5437.8938.5044.8940.5037.6538.9046.9741.8540.0741.8647.3543.7340.2743.1447.6244.0240.6343.3848.0344.1440.1443.2947.4443.4041.0342.8847.6343.5439.9643.5147.1944.1642.6543.4246.06
17.0916.1525.2421.1119.4119.0027.3623.9021.7623.6428.7725.7423.0025.3426.5221.5621.08-14.0222.0914.869.629.3119.3712.2310.0311.3521.5813.798.9011.8019.8015.3911.3514.9625.0920.0915.7519.4626.7122.0916.4521.8027.8122.3416.9521.9727.0623.2816.8922.0026.0522.0817.3221.3925.6422.3317.2421.5024.7522.3519.7620.9022.32
17.0916.1525.2421.1119.4119.0027.3623.9021.7623.6428.7725.7423.0025.3426.5221.5621.08-14.0222.0914.869.629.3119.3712.2310.0311.3521.5813.798.9011.8019.8015.3911.3514.9625.0920.0915.7519.4626.7122.0916.4521.8027.8122.3416.9521.9727.0623.2816.8922.0026.0522.0817.3221.3925.6422.3317.2421.5024.7522.3519.7620.9022.32
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18.4117.5827.0222.5920.6720.1128.4124.4621.9923.6829.2425.8023.0825.3626.8121.9721.26-13.5222.7415.3610.649.9320.0912.8510.5112.0822.5714.159.3612.2420.5215.6011.6315.1326.0820.4315.8619.7327.2522.1716.5621.9228.4722.4617.1622.1027.3923.3517.0622.6826.5722.2017.5522.0625.9822.5317.5422.3625.1222.8620.5721.3521.65
13.9013.2720.8117.0615.6115.1821.8618.4716.6117.8822.0319.4817.4219.1520.5816.5916.05-10.2117.3411.598.037.5015.569.527.798.9514.958.875.877.6712.869.787.299.4816.3712.819.9512.3717.0113.9010.3813.7517.4914.1510.8113.9217.0114.7510.7814.3316.6414.0311.0913.9416.3214.1211.0014.0215.3614.4012.9613.4513.66
0.300.290.430.330.340.330.480.380.370.390.490.320.320.330.380.280.250.140.310.250.230.230.500.380.370.380.520.380.340.360.480.410.370.430.580.480.420.500.650.470.410.490.620.530.460.560.750.460.390.480.630.580.400.470.610.450.370.420.560.510.390.410.54
1.141.091.441.031.131.091.511.101.221.301.751.571.611.701.541.131.050.731.170.940.971.031.140.890.961.061.251.041.001.091.230.960.921.071.180.930.941.221.431.121.101.301.431.101.031.441.801.181.041.541.701.100.991.531.791.241.041.431.641.091.041.361.62
36.6842.7643.9729.3530.2344.5031.7720.6823.2070.0231.5256.7544.2717911314290.2465.0686.4223.7618.1934.8337.3026.0216.6129.0232.7419.9413.2825.0134.1017.8212.5127.5134.4021.8014.7240.9541.2722.3919.0856.2278.5136.4633.7764.5910435.9427.9066.7273.5332.2822.6259.2721.1052.8020.7843.4639.7146.3128.7152.7567.33
2.452.112.053.072.982.022.834.353.881.292.861.592.030.500.800.631.001.381.043.794.952.582.413.465.423.102.754.516.783.602.645.057.193.272.624.136.112.202.184.024.721.601.152.472.661.390.872.503.231.351.222.793.981.524.271.704.332.072.271.943.131.711.34
8.568.0319.2610.9210.4610.6023.3414.0912.8915.6326.8211.8310.7713.0116.549.418.37-3.1212.076.234.063.7910.444.963.884.5910.744.462.633.738.365.283.595.4313.178.575.958.8316.939.266.029.5516.3910.917.4311.7221.189.355.619.5015.4412.246.068.9814.318.345.307.9611.9010.476.657.5410.18
8.568.0319.2610.9210.4610.6023.3414.0912.8915.6326.8211.8310.7713.0116.549.418.37-3.1212.076.234.063.7910.444.963.884.5910.744.462.633.738.365.283.595.4313.178.575.958.8316.939.266.029.5516.3910.917.4311.7221.189.355.619.5015.4412.246.068.9814.318.345.307.9611.9010.476.657.5410.18
4.173.858.945.625.305.0610.496.946.207.0010.756.265.516.257.764.644.05-1.475.412.891.881.717.803.662.873.417.813.382.002.796.214.022.674.099.496.084.166.1611.076.584.296.7510.867.444.987.7312.846.854.166.8810.558.174.476.509.996.324.075.928.627.385.035.527.38
8.568.0319.2610.9210.4610.6023.3414.0912.8915.6326.8211.8310.7713.0116.549.418.37-3.1212.076.234.063.7910.444.963.884.5910.744.462.633.738.365.283.595.4313.178.575.958.8316.939.266.029.5516.3910.917.4311.7221.189.355.619.5015.4412.246.068.9814.318.345.307.9611.9010.476.657.5410.18
9.038.548.199.408.658.037.518.707.767.066.2910.569.598.848.038.958.397.657.918.488.198.088.048.428.248.148.019.138.958.938.859.118.868.758.528.638.137.837.349.078.418.087.497.697.006.636.039.358.638.317.666.618.217.887.338.848.378.107.646.878.127.727.35
1.540.605.102.911.630.674.882.721.400.436.314.482.771.904.642.581.01-0.582.681.330.730.602.241.000.640.402.481.210.600.583.081.330.920.263.311.110.640.454.071.910.950.623.631.440.550.444.631.940.660.794.421.810.690.823.831.790.440.723.381.500.670.763.09
1.100.384.352.351.280.484.272.271.100.295.954.232.581.804.492.490.94-0.622.531.220.640.552.030.840.510.332.200.990.450.502.440.780.570.092.590.470.200.223.131.150.480.413.030.920.150.214.021.390.250.613.651.150.200.602.660.78-0.360.282.310.770.120.442.32