Boot Barn Holdings Financial Ratios for Analysis 2010-2024 | BOOT

Fifteen years of historical annual and quarterly financial ratios and margins for Boot Barn Holdings (BOOT).

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
20242023202220212020201920182017201620152014201320112010
2.331.791.611.691.231.831.601.521.331.681.331.302.592.91
--0.280.220.460.410.470.530.550.340.540.180.000.00
-0.090.440.281.240.690.991.301.550.631.510.490.000.00
36.8636.8338.6433.0032.7032.3730.6730.1530.4433.4732.7331.1539.0239.28
11.8913.9817.369.668.718.286.826.005.318.805.943.824.217.59
11.8913.9817.369.668.718.286.826.005.318.805.943.824.217.59
14.9916.1619.3216.2915.0310.879.538.848.0912.009.2610.344.217.59
11.8413.6316.978.657.136.184.603.673.045.512.600.653.677.43
8.8210.2912.936.655.675.024.262.251.733.051.550.282.284.57
0.981.091.240.960.911.221.151.111.061.231.191.041.281.55
1.761.781.932.171.972.182.222.332.242.072.272.361.652.28
16712615469.9669.9695.971541451381041582165.786.59
2.182.892.375.225.223.802.362.522.653.502.311.6963.1755.36
15.5821.9732.0915.0414.9114.7713.467.896.119.646.690.887.7817.74
21.3832.9156.3843.5175.85715-68.97-18.27-10.23-175.89-8.29-1.164.7510.68
8.6211.2416.046.365.196.134.912.511.834.211.940.302.937.07
15.5821.9723.0711.778.108.777.133.742.726.403.090.724.7410.63
31.1025.9920.2013.5011.179.327.866.776.135.524.474.10--
7.712.932.925.290.872.201.611.531.220.500.670.640.000.00
3.83-1.170.944.33-0.411.240.720.70-0.12-0.110.070.43--

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-03-31
2.342.332.142.052.021.791.591.481.581.611.451.571.511.691.501.361.251.231.231.141.141.831.621.561.591.601.461.321.371.521.451.321.351.331.291.251.601.681.271.17-----
---------0.28-0.090.100.220.230.250.250.460.260.280.280.410.420.430.440.470.480.510.510.530.530.550.550.550.560.580.330.340.250.73-----
----0.030.090.080.220.120.44-0.100.110.280.300.540.741.240.490.680.680.690.710.880.930.990.931.351.401.301.271.571.601.551.451.830.680.630.583.90-----
37.0235.9038.2635.7637.0036.6136.5036.7237.6738.8339.4437.7838.0135.6935.3330.0727.2130.7334.1731.7033.4632.8933.7230.2931.7630.9832.0129.1429.7030.2631.7727.2030.5428.3533.1127.6632.0632.9035.3632.1332.60-34.3730.67-
11.869.8514.4410.3012.0514.7314.0912.5614.3316.2818.9716.0317.5112.6913.775.441.225.1412.326.918.658.5611.535.176.076.6110.863.943.554.9510.463.323.343.7610.42-0.325.047.5613.685.076.54-11.32-0.17-
11.869.8514.4410.3012.0514.7314.0912.5614.3316.2818.9716.0317.5112.6913.775.441.225.1412.326.918.658.5611.535.176.076.6110.863.943.554.9510.463.323.343.7610.42-0.325.047.5613.685.076.54-11.32-0.17-
---------------------------------------------
11.9210.0114.4110.1711.8414.4213.6612.1714.0616.1418.6415.6616.7111.9013.064.19-0.533.5311.225.146.556.459.962.703.544.389.151.290.922.588.640.590.671.378.58-4.174.214.1510.491.823.22-9.39-3.02-
9.197.5810.697.398.9310.9010.269.1210.7511.6714.2512.1113.279.489.783.12-0.333.048.744.105.234.517.492.704.174.018.970.770.561.595.270.360.470.685.12-2.582.371.136.711.091.71-5.49-1.79-
0.240.230.310.240.250.280.340.240.280.320.410.300.320.280.340.210.160.200.320.220.230.300.390.270.280.290.380.240.250.290.350.240.250.280.360.240.280.320.410.27-----
0.430.420.570.410.430.460.550.350.430.490.760.560.640.600.790.490.410.450.680.420.490.540.750.510.540.560.740.480.510.600.760.510.520.610.740.530.480.540.690.49-----
53.4838.9950.1340.1732.5132.3834.7431.7939.5939.6761.5823.6930.6320.2721.7913.8913.8115.6125.2725.3428.3523.8131.7337.8229.7838.9135.1822.8833.6337.4430.4329.3138.5636.1833.8228.8931.9826.7428.9346.97-----
1.682.311.802.242.772.782.592.832.272.271.463.802.944.444.136.486.525.773.563.553.173.782.842.383.022.312.563.932.682.402.963.072.332.492.663.122.813.373.111.92-----
3.963.126.113.254.215.987.244.766.157.4612.517.879.246.228.151.74-0.151.787.912.693.533.297.471.932.983.199.860.600.431.445.950.290.380.636.21-2.251.531.836.352.03-----
5.364.288.524.666.178.9611.217.7110.3113.1023.4716.9922.3917.9928.378.04-0.769.0644.7928.9050.98159-465.39-18.86-20.84-16.37-38.47-1.49-1.02-3.33-13.16-0.52-0.66-1.05-10.173.06-244.20-33.44-68.57-0.90-----
2.191.733.321.752.273.063.492.162.983.735.833.654.282.633.310.67-0.050.622.830.891.201.372.900.731.151.173.410.190.140.461.830.090.120.191.85-0.630.650.802.760.30-----
3.963.126.113.254.215.987.244.766.155.3612.517.138.314.866.261.31-0.110.975.871.952.531.954.371.091.661.695.100.290.210.682.790.130.170.282.75-0.951.031.224.740.54-----
32.1931.1030.0628.1527.1525.9924.4622.6121.4620.2018.6516.2614.9013.5012.5211.4311.1811.1710.919.989.689.328.998.298.107.867.656.876.816.776.656.226.176.136.075.655.705.525.372.34-----
1.347.717.854.752.332.932.87-2.05-0.852.926.261.601.535.295.291.500.800.872.62-0.14-0.052.203.170.600.191.612.63-0.03-0.531.532.510.25-0.291.222.07-0.170.190.500.84-0.32-0.030.000.95-0.420.00
0.463.834.872.641.34-1.170.13-3.78-1.530.944.950.871.234.334.600.990.49-0.411.68-0.67-0.291.242.420.08-0.050.721.96-0.44-0.730.701.86-0.14-0.46-0.120.95-0.92-0.07-0.110.45-0.54-0.13-0.45-0.69-