TopBuild Financial Ratios for Analysis 2009-2024 | BLD

Fifteen years of historical annual and quarterly financial ratios and margins for TopBuild (BLD).

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
2023202220212020201920182017201620152014201320102009
2.661.961.621.891.641.591.461.621.471.11-1.561.68
0.350.420.470.340.380.400.190.140.16--0.300.24
0.560.760.920.520.640.690.240.180.21--0.440.32
30.8729.6827.9527.4625.9624.1624.1922.9722.1521.9321.4429.2429.85
16.9215.9213.6713.0611.038.767.186.985.172.691.715.0413.29
16.9215.9213.6713.0611.038.767.186.985.172.691.715.0413.29
19.5318.4416.0015.4113.1010.478.067.695.934.423.665.0413.29
15.8914.8212.4311.899.677.586.726.674.581.870.76-5.373.21
11.8211.109.299.097.285.658.304.174.890.62-0.90-9.082.80
1.011.090.820.971.010.971.091.030.981.02-1.351.15
9.858.037.1212.2213.0310.7011.0011.5510.6011.03-5.524.80
6.505.995.226.366.125.866.186.906.866.87-5.736.29
56.1460.9369.9857.3959.6562.3259.0752.9153.1853.15-63.6758.05
23.9628.8119.8018.3116.5712.5715.877.478.641.10-96.48174
-877.87-85.24-32.48-97.83-48.21-27.43-138.82-96.59-60.72-11.08--28.676.93
11.9012.077.618.777.335.499.044.304.820.71--10.192.90
15.5916.5810.4612.1610.327.5312.906.427.231.10--19.945.26
80.6860.9849.7040.8534.4331.0128.0025.7223.96----
26.7315.2812.1610.757.914.693.102.031.481.910.660.000.00
25.1913.0210.509.596.653.242.421.671.141.590.29--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-12-31
2.012.342.812.662.502.372.151.961.841.691.651.621.831.751.871.891.911.781.661.641.641.631.561.591.591.561.461.461.361.581.411.621.581.551.521.471.391.40-----
0.390.370.340.350.370.380.410.420.440.450.460.470.300.320.330.340.350.360.370.380.380.380.390.400.400.410.190.190.210.200.140.140.150.150.160.160.180.19-----
0.660.600.520.560.600.650.700.760.800.850.880.920.450.480.510.520.560.590.610.640.630.650.670.690.680.710.240.240.280.260.180.180.190.200.210.210.230.24-----
30.7231.0430.2830.4131.7232.0229.2629.7130.4230.1428.3326.6329.5929.1526.6227.4528.4527.5626.3225.8726.2826.5025.1424.7425.0123.9422.5924.3424.7124.5823.0323.6623.8722.6321.6124.5121.9721.2220.59-22.2322.19-
17.7715.4116.7815.9217.9118.0015.7616.0617.1316.2614.0311.1415.8215.3812.9114.2914.5612.4510.7111.5411.7911.529.1410.1910.237.216.909.9710.138.60-0.788.098.636.214.7710.087.062.85-0.32-3.472.67-
17.7715.4116.7815.9217.9118.0015.7616.0617.1316.2614.0311.1415.8215.3812.9114.2914.5612.4510.7111.5411.7911.529.1410.1910.237.216.909.9710.138.60-0.788.098.636.214.7710.087.062.85-0.32-3.472.67-
-------------------------------------------
16.6014.8816.1915.1116.9416.9414.4914.8615.9915.1913.0610.0915.1814.6510.1613.2313.4711.199.4110.2510.4910.147.658.728.816.016.439.539.637.99-1.077.828.365.904.399.726.692.06-1.20-2.691.86-
12.3011.0411.9211.3812.6412.4810.7411.3711.8211.289.817.3711.2810.838.069.8110.048.597.776.948.067.896.136.036.594.485.3720.946.424.94-0.394.805.423.622.6814.013.891.58-1.06-1.601.52-
0.300.280.240.250.260.270.270.270.290.290.270.250.270.280.260.260.250.240.250.250.260.260.240.260.260.250.280.290.290.270.260.260.270.260.250.260.270.26-----
2.432.392.382.452.532.332.122.032.022.062.152.212.953.313.323.243.503.183.153.293.433.232.892.853.002.912.752.893.153.213.022.923.263.273.002.713.233.22-----
1.661.591.541.611.521.541.521.511.601.651.591.591.641.701.601.691.601.531.511.541.501.481.441.571.541.531.571.631.551.601.641.761.711.691.701.811.731.70-----
54.2556.6658.3655.9259.1058.6059.3259.5056.4254.6556.6356.5755.0153.0456.0853.3156.3558.9259.4758.2759.9760.6562.3057.2958.3658.8557.4255.3858.0456.4054.9351.1952.7753.1852.8249.7152.0152.85-----
7.996.395.625.716.967.356.587.458.388.256.764.796.116.134.295.255.464.564.303.994.724.563.443.603.932.582.5910.543.532.45-0.182.192.561.661.206.521.950.79-----
-31.09-47.60187-209.20-70.16-47.02-25.40-22.05-20.16-16.34-12.24-7.86-56.17-35.17-24.93-28.02-25.87-16.37-13.28-11.61-14.15-12.66-8.35-7.85-8.85-5.20-23.89-92.17-14.14-15.071.36-28.35-27.81-14.77-9.25-45.79-8.56-3.16-----
3.633.072.872.843.343.382.893.123.413.252.631.843.063.012.072.512.552.081.931.772.102.021.491.571.741.131.496.001.851.33-0.101.261.480.950.683.631.030.43-----
4.894.063.743.714.424.523.914.294.704.513.642.534.274.192.873.483.552.902.702.482.942.822.102.162.361.532.108.562.801.97-0.151.882.191.411.015.451.600.65-----
71.6677.0885.2480.6875.7870.4765.0460.9857.3753.8251.7849.7047.4344.7142.2440.8538.7736.7835.4034.4334.3233.2932.0531.0130.6029.4828.6428.0025.0025.8625.4425.7225.1424.5024.0623.9622.6122.21-----
17.048.545.6126.7318.5112.165.3515.2810.406.672.7112.169.356.092.6910.757.705.372.177.915.322.790.684.692.681.160.493.101.530.690.402.030.740.160.091.481.14-0.24-0.490.001.050.450.00
15.227.465.0425.1917.4611.224.8813.028.755.592.1610.508.085.242.329.596.954.761.706.654.392.210.393.241.510.400.182.421.170.460.301.670.480.010.011.140.88-0.41-0.55-0.820.29-