Cato Financial Ratios for Analysis 2009-2024 | CATO

Fifteen years of historical annual and quarterly financial ratios and margins for Cato (CATO).

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
1.291.371.461.601.822.632.682.582.632.342.522.442.732.452.202.09
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34.4232.8741.1024.6838.3437.0234.9337.0739.0339.1537.9138.3538.3639.0937.3234.47
-2.66-0.534.80-13.784.503.391.294.429.498.938.8110.1010.369.617.095.30
-2.66-0.534.80-13.784.503.391.294.429.498.938.8110.1010.369.617.095.30
-1.270.936.40-11.236.385.383.606.7911.7611.1611.1912.4712.7011.979.567.93
-1.950.235.07-12.665.243.981.885.139.809.279.1610.4810.7710.037.576.13
-3.190.014.54-7.894.193.570.984.846.476.015.816.446.856.265.023.87
1.451.371.210.971.201.671.651.581.571.621.541.771.691.741.841.97
4.714.553.635.154.414.374.554.134.374.373.794.144.403.914.675.01
23.8028.6513.7810.9031.6429.4930.3431.5327.6224.0623.4623.5921.6523.2922.0219.43
15.3412.7426.4833.4711.5412.3812.0311.5813.2215.1715.5615.4716.8615.6716.5818.78
-12.450.0114.49-19.2611.349.612.6212.3016.2015.9113.8917.8617.6817.6215.4412.85
-12.450.0114.49-19.2611.349.612.6212.3016.2015.9113.8917.8617.6817.6215.4412.85
-4.920.015.81-8.035.246.121.657.7910.419.959.1011.5811.7611.059.357.73
-12.450.0114.49-19.2611.349.612.6212.3016.2015.9113.8917.8617.6817.6215.4412.85
9.3511.0611.7710.9113.0312.8813.1614.4314.8113.6213.3811.7912.5711.329.858.91
0.020.672.83-1.362.252.511.452.693.434.263.232.752.812.742.912.46
-0.62-0.302.64-1.981.902.331.001.672.463.212.131.191.572.072.571.79

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
1.401.361.291.421.641.471.371.471.531.461.461.691.741.641.601.671.821.691.822.002.062.012.632.712.732.892.682.642.852.872.582.883.112.952.632.602.652.522.342.472.512.392.522.772.712.542.443.033.192.782.732.802.812.682.452.512.592.452.202.362.362.102.09
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35.2936.4732.0833.1335.6836.4331.9129.9433.0836.0337.8239.4844.3641.9630.8627.4521.0717.0135.1338.0638.6740.9233.7835.2637.8740.2933.5434.5931.7539.1929.5436.1437.6043.0636.4337.7938.5242.7537.0836.8139.5942.2735.3735.9437.4541.8235.5334.8039.1442.6835.4536.0338.7042.1236.2036.7439.7542.7934.7535.7437.1541.1231.57
-0.603.28-7.89-7.500.622.95-3.07-6.450.785.46-3.761.368.6810.86-8.84-9.36-7.14-39.10-2.072.285.7910.61-2.540.602.9110.84-4.39-0.70-1.6710.48-10.751.006.9516.416.343.779.6016.704.383.009.6216.662.302.879.6517.785.233.0011.3818.306.504.0911.5417.007.393.8010.9414.793.431.7110.0112.002.10
-0.603.28-7.89-7.500.622.95-3.07-6.450.785.46-3.761.368.6810.86-8.84-9.36-7.14-39.10-2.072.285.7910.61-2.540.602.9110.84-4.39-0.70-1.6710.48-10.751.006.9516.416.343.779.6016.704.383.009.6216.662.302.879.6517.785.233.0011.3818.306.504.0911.5417.007.393.8010.9414.793.431.7110.0112.002.10
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0.446.56-7.14-6.541.353.42-2.37-5.161.745.66-3.561.688.9311.17-7.01-8.84-6.57-37.26-1.263.156.5911.10-1.841.323.5911.16-3.67-0.07-1.0310.87-10.171.617.5317.436.724.159.9316.904.743.3110.0616.922.703.239.9718.115.643.4111.8018.636.964.5311.9417.357.854.3111.3515.134.052.2010.3912.442.75
0.065.88-12.66-3.620.592.19-1.57-2.39-1.094.45-3.544.736.379.28-5.01-2.30-4.07-27.08-1.653.015.378.94-1.691.943.019.60-7.131.39-0.419.08-5.703.876.5212.214.623.616.0710.733.712.586.2310.361.392.396.3811.433.152.307.2911.524.463.067.5210.964.382.937.239.562.671.547.307.811.62
0.370.370.360.320.360.360.320.330.350.340.280.290.350.340.260.260.280.160.280.290.320.350.390.370.410.460.410.350.380.420.360.340.370.440.390.360.400.460.390.370.420.490.360.350.410.480.440.340.410.470.410.370.430.500.430.390.470.520.460.430.510.530.49
1.141.111.201.071.271.141.091.061.131.040.881.161.601.461.281.301.500.681.071.041.301.221.071.091.241.321.160.971.331.111.070.871.111.221.131.031.251.211.101.071.281.270.930.981.301.241.071.001.331.311.110.991.241.271.010.991.341.311.221.231.531.241.29
5.665.585.885.096.796.816.766.887.933.443.163.074.053.862.953.164.313.317.326.977.747.716.845.136.016.437.606.247.007.427.276.327.007.706.845.906.697.415.855.336.106.945.554.885.816.735.864.675.406.245.215.176.296.895.725.185.906.435.504.795.465.674.81
15.8916.1215.3117.7013.2513.2113.3213.0811.3526.1728.5029.2822.2223.2930.5428.4820.8927.2212.3012.9111.6311.6813.1617.5314.9714.0011.8414.4312.8512.1212.3914.2412.8611.7013.1615.2513.4612.1515.3816.9014.7512.9716.2318.4215.5013.3715.3519.2616.6814.4317.2617.4014.3013.0515.7417.3615.2414.0016.3618.7916.4815.8818.72
0.055.57-12.18-2.800.501.95-1.32-1.90-0.933.89-2.543.185.117.91-3.36-1.41-2.69-10.46-1.011.803.556.47-1.021.161.966.86-4.750.76-0.245.85-3.342.013.598.262.872.043.797.712.411.514.138.030.981.263.858.342.301.164.308.082.761.694.908.543.281.805.207.912.241.035.766.801.48
0.055.57-12.18-2.800.501.95-1.32-1.90-0.933.89-2.543.185.117.91-3.36-1.41-2.69-10.46-1.011.803.556.47-1.021.161.966.86-4.750.76-0.245.85-3.342.013.598.262.872.043.797.712.411.514.138.030.981.263.858.342.301.164.308.082.761.694.908.543.281.805.207.912.241.035.766.801.48
0.022.30-4.81-1.250.220.83-0.54-0.82-0.411.59-1.021.472.373.35-1.40-0.61-1.20-4.43-0.470.921.813.20-0.650.751.264.52-3.000.49-0.163.88-2.111.342.445.531.841.352.505.001.500.982.705.140.640.852.605.501.490.803.025.381.831.143.305.592.051.153.375.011.360.663.694.100.89
0.055.57-12.18-2.800.501.95-1.32-1.90-0.933.89-2.543.185.117.91-3.36-1.41-2.69-10.46-1.011.803.556.47-1.021.161.966.86-4.750.76-0.245.85-3.342.013.598.262.872.043.797.712.411.514.138.030.981.263.858.342.301.164.308.082.761.694.908.543.281.805.207.912.241.035.766.801.48
9.489.589.3510.5610.9511.2011.0611.2411.6111.9411.7712.2912.1511.5910.9111.1711.1111.3113.0313.4613.5113.2612.8813.2613.4313.5913.1614.0814.2514.7514.4315.3415.9215.7014.8114.6114.6714.3613.6213.5313.5813.3313.3813.2713.1112.6311.7913.7113.7813.4612.5712.4112.5412.1611.3211.1211.0710.709.859.759.799.368.91
0.460.290.020.601.110.510.670.970.85-0.042.833.783.842.07-1.36-1.15-2.11-3.112.252.081.900.622.512.282.341.311.451.561.720.612.691.732.021.333.432.112.031.094.263.333.091.943.232.632.591.652.752.342.452.022.812.362.331.492.742.092.071.152.912.101.861.042.46
0.210.13-0.620.070.680.19-0.300.250.33-0.262.643.693.782.05-1.98-1.64-2.53-3.341.901.871.810.582.332.142.261.281.001.201.470.471.670.831.661.112.461.291.620.923.212.552.581.682.131.802.221.461.191.261.761.691.571.431.781.332.071.591.761.012.571.781.650.911.79