Badger Meter Financial Ratios for Analysis 2009-2024 | BMI

Fifteen years of historical annual and quarterly financial ratios and margins for Badger Meter (BMI).

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
3.353.153.183.293.502.741.701.991.431.321.301.294.522.983.30
---------------
----0.010.060.160.150.310.350.360.390.010.080.06
39.2938.8940.6739.5438.5137.4338.7038.2435.9535.9535.0138.2434.1637.1738.75
16.7815.4315.5815.3114.6413.1114.0613.3811.2212.6211.7013.9110.4716.2016.87
16.7815.4315.5815.3114.6413.1114.0613.3811.2212.6211.7013.9110.4716.2016.87
20.7720.0721.1021.2420.3218.7220.1319.0816.6716.9215.7417.6814.0819.2620.13
17.3315.5115.5615.2714.518.2713.6312.6610.9012.3111.3813.6010.4016.0616.91
13.1611.7612.0511.6011.116.418.598.206.878.147.378.777.2910.3613.65
0.980.940.950.901.011.101.031.131.061.071.061.101.201.281.31
2.782.883.013.153.193.362.903.133.083.263.563.243.503.604.72
8.437.387.676.906.926.546.916.586.676.766.667.016.396.846.99
43.3249.4747.5952.9152.7555.7952.7955.4554.7454.0054.7752.0557.1553.3452.21
17.9315.0315.1113.6614.259.1612.4612.6111.1713.8512.5216.3710.6917.0218.54
26.4923.1225.9522.5422.2915.7222.9420.8320.4328.2826.0436.4214.0622.9223.51
12.9211.0311.4710.4711.187.088.839.247.308.707.799.658.7513.2814.02
17.9315.0315.1113.6614.259.1612.4612.6011.1713.8512.5216.3710.6917.0218.54
17.6015.1013.7812.3911.3710.429.538.808.007.416.825.985.935.594.82
3.742.812.983.062.762.071.711.931.241.241.211.211.040.611.22
3.332.612.752.752.511.771.191.570.560.810.710.920.860.310.96

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
4.103.693.483.353.283.273.123.153.203.123.183.183.083.032.843.293.873.563.503.503.263.232.962.742.191.961.881.701.771.732.021.991.791.651.531.431.481.401.331.321.491.391.301.301.291.211.311.291.221.181.284.523.983.392.872.982.372.833.153.302.431.891.86
--------------------------------------------------------------0.02
-----------------0.010.010.010.010.010.040.060.120.150.170.160.160.170.150.150.200.220.260.310.290.330.350.350.290.330.370.360.350.370.370.390.430.490.380.010.010.030.080.080.080.020.030.060.110.130.16
40.2439.4039.3239.1739.0639.4839.4838.6738.8639.7338.3140.4039.7640.7841.8939.2239.6439.3439.9338.2438.3538.9038.5738.4539.7236.5234.9840.3537.0439.4138.0436.0140.1437.9538.7935.9836.3235.5435.9634.5837.8836.4134.6735.8035.6133.7934.8738.8239.4036.8437.8631.9332.6836.2235.6338.0036.9336.3837.5636.3539.0139.2640.06
19.4919.1618.6417.5816.8816.7815.7415.2516.1316.0314.2516.8415.1015.2015.0615.1017.1813.9014.7615.1915.1414.5213.6614.1814.2214.399.5014.3612.3116.1713.3511.8214.4814.3712.739.9313.7112.328.439.1316.6014.879.2112.7814.9211.506.5811.8616.2013.8513.363.3411.4616.349.1314.9017.7517.4714.1513.2017.5418.6817.56
19.4919.1618.6417.5816.8816.7815.7415.2516.1316.0314.2516.8415.1015.2015.0615.1017.1813.9014.7615.1915.1414.5213.6614.1814.2214.399.5014.3612.3116.1713.3511.8214.4814.3712.739.9313.7112.328.439.1316.6014.879.2112.7814.9211.506.5811.8616.2013.8513.363.3411.4616.349.1314.9017.7517.4714.1513.2017.5418.6817.56
---------------------------------------------------------------
20.5920.0119.4118.3317.5017.2316.1115.5516.1815.9914.2116.8515.0715.1715.0315.0617.2013.8114.6915.0715.0414.4013.4913.973.306.969.2413.3812.1715.7813.089.5414.2614.1512.479.6413.4012.008.058.8316.3214.548.8612.4614.6411.136.2311.5015.8713.5613.103.2411.5916.218.9414.7317.6217.3713.9912.9119.1218.2316.94
15.3715.2614.8413.5513.9512.7912.2011.9112.1212.0910.8512.7312.3211.3711.6911.6613.0810.4610.9211.4111.7110.9710.3210.762.585.427.187.487.9710.198.616.579.139.057.945.738.387.995.056.7210.639.215.557.889.737.114.057.3810.179.088.201.969.8710.425.689.6511.9210.818.669.0123.6011.4510.67
0.260.280.260.250.270.270.250.240.260.250.240.260.250.250.240.240.250.210.250.250.260.260.260.270.280.280.270.250.260.280.290.270.270.290.280.270.280.280.240.260.290.290.260.260.300.290.250.260.290.280.260.280.320.340.260.300.340.360.310.300.310.350.33
0.790.810.740.720.770.740.730.750.800.750.790.810.840.800.810.840.890.720.880.810.790.760.800.800.790.840.800.680.820.850.900.770.700.800.810.780.840.890.740.810.930.960.850.851.101.090.800.750.880.850.820.840.981.010.700.831.161.241.111.111.021.060.98
2.232.042.132.182.092.091.891.921.771.781.692.061.751.921.911.821.971.691.831.751.771.721.541.571.581.741.661.661.451.621.541.561.661.691.701.691.661.601.571.661.661.571.531.621.661.681.521.631.621.591.491.471.611.651.511.601.421.471.491.581.661.971.88
40.3444.1342.3241.2043.0543.0047.6646.8350.7750.4453.1243.6751.5646.8447.0849.4345.7253.3649.0751.3550.8752.4158.4357.1556.9751.7154.3054.2061.9955.6658.4257.8354.1953.1652.9753.2354.0956.3957.2454.3754.2357.2058.9255.7054.2753.6959.2955.2055.4656.7360.2761.0355.7854.6359.4156.1163.5061.2760.4757.1154.2345.6647.87
5.425.875.444.795.274.734.243.964.244.003.504.294.053.663.733.624.232.793.533.713.933.593.513.700.972.132.692.612.913.943.352.393.483.823.352.363.633.531.962.804.784.262.323.254.873.531.693.205.304.663.720.663.764.401.913.725.565.183.613.525.046.245.97
7.508.277.887.077.987.396.826.106.666.485.857.367.216.787.145.986.264.235.445.806.285.875.896.361.713.894.844.805.147.165.433.945.796.555.934.326.806.753.925.728.818.214.686.7511.459.003.667.1312.3811.838.880.874.945.842.585.007.606.764.534.466.508.348.19
3.994.233.923.453.763.413.072.913.122.982.633.253.052.802.832.783.312.172.752.913.052.812.682.860.711.531.911.852.072.802.471.752.462.632.241.542.362.211.231.763.092.681.432.022.932.081.011.892.992.502.100.543.123.511.482.904.083.842.702.663.583.983.57
5.425.875.444.795.274.734.243.964.244.003.504.294.053.663.733.624.232.793.533.713.933.593.513.700.972.132.692.612.913.943.352.393.483.823.352.363.633.531.962.804.784.262.323.254.873.531.693.205.304.663.720.663.764.401.913.725.565.183.613.525.046.245.82
20.1019.1518.2217.6016.7916.2215.6215.1014.4514.2214.0013.7813.4013.0912.6812.3912.0711.7211.5311.3711.1210.8710.6010.4210.149.919.649.539.429.258.968.808.678.458.218.007.907.707.467.417.417.166.926.826.466.196.015.985.845.595.785.936.045.905.685.595.405.164.954.824.624.173.94
3.481.960.733.742.451.380.612.811.800.990.322.982.061.541.043.062.521.791.052.762.091.400.612.071.370.870.231.711.581.280.431.931.380.950.631.240.860.660.241.240.980.420.021.210.990.530.151.210.850.490.341.040.880.590.170.610.460.350.171.220.820.530.31
3.211.790.643.332.111.150.472.611.640.890.282.751.861.390.982.752.321.660.982.511.901.250.541.771.120.690.131.191.181.050.301.571.110.760.510.560.410.400.120.810.680.22-0.100.710.670.330.050.920.690.410.300.860.760.510.120.310.220.210.120.960.620.370.27