Cracker Barrel Old Country Store Financial Ratios for Analysis 2009-2024 | CBRL

Fifteen years of historical annual and quarterly financial ratios and margins for Cracker Barrel Old Country Store (CBRL).

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
0.580.630.761.430.620.840.950.961.030.960.961.060.920.760.75
0.460.450.330.690.400.410.420.430.430.420.450.580.670.750.82
0.860.830.492.270.660.690.730.760.740.760.831.372.053.034.76
67.2567.8769.3369.0869.6969.1369.5468.1367.4867.4867.6867.9368.2768.9867.69
3.504.6813.004.119.219.6910.709.638.977.777.627.406.876.856.01
3.504.6813.004.119.219.6910.709.638.977.777.627.406.876.856.01
6.968.2917.338.7912.7112.7813.6512.3211.5310.3110.129.909.459.398.51
3.014.3911.013.228.679.1910.219.158.387.116.275.674.754.813.80
2.884.049.02-1.297.278.176.906.505.774.924.434.003.503.552.78
1.551.421.180.991.941.981.921.941.801.871.901.821.861.861.90
5.954.926.265.616.015.995.706.096.045.285.835.785.465.185.57
10694.1858.1851.4895.3815513181.87157105166177121178141
3.453.886.277.093.832.352.794.462.323.492.202.073.032.052.59
20.4725.7838.35-7.7636.9442.5637.0835.9630.4524.9924.2326.9431.7944.4948.63
21.7427.1639.91-8.2736.9442.5637.0835.9630.4524.9924.2326.9431.7944.4948.63
4.475.7510.64-1.2814.1316.2113.2712.6410.409.238.457.266.506.605.30
11.0214.1125.69-2.4422.2425.2221.3820.4317.4714.6213.2611.3610.4111.148.52
21.8422.9628.2417.6625.1424.2322.6421.9822.4522.1920.3416.3011.738.435.97
11.258.8312.706.7515.0613.7313.3011.2713.897.418.719.395.859.007.20
5.594.6016.012.979.327.438.746.5710.193.665.625.962.906.036.79

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
2024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
0.630.580.620.580.610.660.710.630.630.640.790.761.321.821.861.431.580.640.660.620.990.940.870.841.051.020.930.951.121.060.990.961.181.121.041.031.241.160.980.960.880.940.900.960.911.211.111.061.041.020.950.920.900.910.850.760.960.760.830.750.990.92
0.530.490.510.460.480.480.500.450.400.350.370.330.470.580.610.690.710.420.440.400.380.390.400.410.380.390.420.420.400.410.420.430.410.420.430.430.410.420.410.420.440.440.450.450.470.540.560.580.610.630.650.670.690.690.720.750.730.770.810.820.870.88
1.110.981.030.860.940.930.990.830.660.540.600.490.891.371.602.272.400.730.800.660.620.640.670.690.620.650.730.730.660.690.730.760.690.720.750.740.680.710.730.760.820.800.840.830.881.211.301.371.641.721.882.052.212.222.583.032.693.484.224.766.777.61
70.0166.3468.9869.2568.5165.0366.4667.0768.3667.1069.0769.9471.2166.7669.2169.5468.3067.8370.6571.2270.6567.3369.7069.6769.8266.8770.3370.7570.6167.0169.9869.4369.6765.3268.2768.9168.3965.3267.4767.9168.6865.2168.2868.7568.4665.2568.4769.1268.8465.0468.8768.4269.1465.7469.9870.0670.0766.5069.4668.9868.9364.69
-2.363.291.394.932.024.172.813.973.855.415.477.997.362.1336.688.10-18.269.358.4610.088.809.458.4110.218.789.739.9711.2010.2110.7010.6710.419.579.239.2910.118.119.428.118.707.038.406.818.146.908.147.228.566.437.037.466.215.368.207.597.425.507.816.546.955.116.23
-2.363.291.394.932.024.172.813.973.855.415.477.997.362.1336.688.10-18.269.358.4610.088.809.458.4110.218.789.739.9711.2010.2110.7010.6710.419.579.239.2910.118.119.428.118.707.038.406.818.146.908.147.228.566.437.037.466.215.368.207.597.425.507.816.546.955.116.23
--------------------------------------------------------------
-2.992.750.794.391.473.702.393.663.585.165.134.816.010.5335.026.09-19.488.947.989.598.248.947.829.688.289.279.4610.729.7210.2310.159.949.088.768.799.627.528.807.478.076.367.766.147.465.316.685.516.944.595.395.603.553.366.355.635.513.405.714.514.912.874.12
-1.132.840.664.481.683.272.044.023.484.364.254.644.692.0726.405.06-37.447.235.778.266.827.486.447.576.7611.576.537.256.706.826.816.847.026.315.826.595.176.244.985.664.475.314.185.093.845.003.704.963.123.803.982.862.604.493.964.482.504.013.103.822.112.91
0.380.430.370.380.380.410.370.360.350.370.330.330.270.240.220.190.190.400.350.500.460.510.470.530.460.510.470.490.460.500.470.500.470.520.480.460.460.510.480.480.470.510.480.490.490.490.440.490.440.490.450.470.450.490.460.470.450.510.460.480.430.48
1.401.821.231.361.421.741.221.281.301.841.521.701.551.671.281.080.941.731.161.461.421.751.221.571.391.641.101.391.321.641.141.501.461.761.201.461.581.861.251.341.371.641.191.441.511.751.111.511.451.851.161.371.361.681.081.271.441.751.161.341.321.62
14.4622.5325.5725.7425.9525.5825.4823.9315.1919.3217.4716.1813.079.6013.2310.1021.0031.7122.3824.4433.3347.8134.0541.5933.7932.8039.2933.2135.1239.3137.6420.9624.4041.6438.8839.8420.0337.7143.6126.9832.2131.3138.8042.2840.4352.6842.1347.9231.8539.6236.9730.3848.8830.5950.2445.2736.2931.5944.7635.4441.0435.56
6.224.003.523.503.473.523.533.765.934.665.155.566.889.376.808.914.292.844.023.682.701.882.642.162.662.742.292.712.562.292.394.293.692.162.312.264.492.392.063.342.792.872.322.132.231.712.141.882.832.272.432.961.842.941.791.992.482.852.012.542.192.53
-2.165.741.197.742.956.273.516.524.886.235.305.485.162.3028.855.99-41.299.717.1410.757.789.667.8710.557.6114.808.479.907.809.068.849.698.478.697.668.816.058.406.327.415.907.455.717.095.408.105.769.075.647.998.116.555.8311.0710.5914.316.4614.6711.8216.8210.3917.90
-2.296.131.278.223.126.623.716.875.116.515.535.705.382.4030.166.38-41.979.817.2110.757.789.667.8710.557.6114.808.479.907.809.068.849.698.478.697.668.816.058.406.327.415.907.455.717.095.408.105.769.075.647.998.116.555.8311.0710.5914.316.4614.6711.8216.8210.3917.90
-0.431.210.251.690.631.350.751.451.211.631.411.521.270.495.850.99-7.242.862.024.113.163.833.034.023.115.853.053.543.063.443.233.413.293.272.783.012.353.212.392.742.102.702.012.471.882.431.632.451.371.871.791.341.172.191.832.121.122.051.421.830.911.41
-1.022.900.584.171.523.241.763.572.944.043.323.672.740.9711.371.89-12.165.613.966.474.815.914.726.254.698.974.895.714.685.375.115.515.025.054.385.053.594.903.754.343.314.193.123.882.883.712.523.822.182.972.842.141.833.472.983.581.773.302.292.951.352.10
19.2120.8120.7521.8421.3921.9621.9622.9624.6325.9826.7528.2427.3225.6524.9417.6616.5526.3125.2725.1426.9526.1524.9724.2326.6825.6522.8322.6425.0424.2022.7721.9824.2423.1822.2922.4524.3923.4822.5122.1920.4520.8720.0020.3419.1718.3017.0216.3014.4813.9412.8111.7311.3211.219.708.439.387.596.685.975.094.58
4.482.78-0.7111.256.804.53-0.038.834.594.590.9812.708.935.102.406.753.677.661.8615.0610.487.922.4813.739.186.171.5913.308.426.201.4511.276.203.56-0.1813.899.006.371.537.414.222.62-0.398.714.443.38-0.579.396.034.890.875.853.782.40-0.429.005.753.691.017.203.952.21
0.850.47-1.825.592.872.34-1.004.602.003.300.3816.0113.3310.168.222.970.235.300.779.326.185.010.947.434.963.540.328.745.074.010.366.573.322.04-0.8910.196.574.850.803.661.651.04-1.125.622.542.15-1.145.963.613.240.072.901.610.71-1.186.034.072.510.376.791.830.61