Cabot Financial Ratios for Analysis 2009-2024 | CBT

Fifteen years of historical annual and quarterly financial ratios and margins for Cabot (CBT).

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
1.981.651.241.852.021.461.752.642.382.171.771.572.372.672.52
0.440.510.400.570.470.360.290.400.420.330.330.380.260.300.33
0.911.401.071.370.940.780.570.670.740.520.620.730.430.460.53
21.3420.4823.4419.1320.5323.8124.1823.8520.3819.7718.3219.5717.9918.7810.29
13.389.0013.320.809.174.4412.4410.24-11.049.197.758.847.837.51-2.56
13.389.0013.320.809.174.4412.4410.24-11.049.197.758.847.837.51-2.56
17.0412.3818.016.8513.6111.8818.1516.927.5914.7013.2513.5212.4112.785.46
11.477.7511.91-1.267.643.6111.007.92-13.138.456.087.476.546.11-4.70
11.324.847.33-9.104.70-3.529.136.06-11.635.464.4011.707.515.56-3.65
1.091.231.030.941.111.000.810.790.930.890.820.750.990.940.79
5.295.174.995.895.694.834.765.375.765.886.204.976.477.195.28
5.665.175.296.256.305.095.165.296.025.305.464.794.715.034.66
64.5370.6269.0658.3757.9771.7270.8069.0360.6468.8666.8576.1977.5472.5778.26
34.4023.5526.24-27.1516.40-5.7916.8011.73-24.5110.477.7310.4212.6910.09-5.90
39.9028.9333.65-38.3019.62-6.8020.4614.91-31.8118.2912.6517.8913.0310.38-6.09
13.436.898.65-7.956.19-2.288.185.30-10.675.293.804.596.534.96-2.73
19.3511.4615.83-11.588.62-3.7011.947.04-14.217.045.196.499.447.09-3.92
25.4718.3519.2114.4219.8721.1926.2622.0521.4232.0632.5630.6125.3121.6818.94
10.531.764.526.666.174.835.556.237.874.846.506.462.983.876.35
6.34-1.631.093.132.361.753.214.715.652.212.402.12-0.442.294.70

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.222.242.041.982.171.931.831.651.701.261.211.241.951.891.971.851.992.082.082.022.071.341.311.461.511.671.631.751.711.642.522.641.631.571.412.382.072.102.042.172.101.751.671.771.621.581.781.572.572.412.462.372.922.942.942.672.742.732.712.522.782.62
0.420.420.430.440.460.470.480.510.510.400.430.400.500.530.530.570.530.530.490.470.450.350.340.360.330.320.300.290.310.320.420.400.330.330.350.420.420.350.330.330.320.320.320.330.340.340.390.380.230.230.250.260.260.270.280.300.310.320.330.330.320.33
0.760.790.890.910.981.101.221.401.351.251.391.071.061.201.151.371.141.160.960.940.901.020.930.780.760.700.630.570.620.670.720.670.710.720.780.740.820.610.580.520.530.660.690.620.730.780.760.730.370.370.420.430.410.420.440.460.500.510.520.530.500.54
25.2024.1422.7623.3223.0420.3318.7619.7820.4521.2520.4519.6923.3425.4225.8720.7913.3221.5519.3920.6820.1221.0920.2224.8223.0722.9824.4423.2422.8424.9326.0226.8225.7626.4116.4220.7221.6120.0319.3419.9819.5719.6019.9318.6619.5317.0217.9318.2420.6920.5018.7716.9318.1818.1318.8813.9920.4519.6620.0313.0513.31-1.06
16.9315.3114.2014.7215.5012.4910.8812.8614.6214.74-8.578.1914.6115.2015.82-10.620.773.388.679.079.598.659.3812.7112.41-19.6812.6411.0711.9113.2713.7512.1213.3713.561.998.79-71.187.787.889.559.897.579.698.499.665.956.716.3210.6410.318.017.328.977.317.642.8010.238.437.510.840.39-16.60
16.9315.3114.2014.7215.5012.4910.8812.8614.6214.74-8.578.1914.6115.2015.82-10.620.773.388.679.079.598.659.3812.7112.41-19.6812.6411.0711.9113.2713.7512.1213.3713.561.998.79-71.187.787.889.559.897.579.698.499.665.956.716.3210.6410.318.017.328.977.317.642.8010.238.437.510.840.39-16.60
--------------------------------------------------------------
15.5513.949.8113.1613.4310.658.7011.6013.2313.46-9.617.3013.4114.0113.27-12.75-2.121.696.888.108.175.818.5311.8811.12-20.9012.7810.799.6511.5012.2810.1811.9210.92-1.336.26-73.345.626.287.798.515.3512.146.488.214.405.004.419.229.007.225.647.426.506.631.579.306.326.19-1.47-0.39-19.36
10.638.245.2224.358.377.265.608.458.449.80-9.193.219.388.918.04-41.27-1.16-0.145.643.993.792.738.4010.9410.30-21.15-16.949.966.6710.919.007.929.028.45-1.165.96-64.123.755.543.405.534.018.915.256.443.212.443.937.8028.446.045.647.186.9010.815.596.246.044.27-2.32-2.35-12.34
0.280.280.260.270.290.290.270.320.320.310.290.270.280.280.250.240.170.230.230.280.270.260.250.260.280.260.230.220.220.220.210.200.200.190.200.220.210.190.200.220.220.200.200.210.210.190.190.190.250.250.250.270.270.250.240.200.280.270.250.180.210.19
1.371.401.201.271.261.321.111.341.381.361.411.391.441.441.371.451.141.191.221.411.301.201.111.251.361.271.141.281.371.291.261.321.401.221.371.341.261.361.381.461.421.331.401.601.391.241.151.291.631.591.501.761.581.421.481.601.681.531.441.151.281.34
1.391.371.321.391.411.351.241.331.311.381.471.401.451.461.451.581.431.541.501.561.381.52-1.331.291.281.311.371.361.301.511.361.431.401.381.411.231.221.261.321.301.261.291.411.291.251.321.221.191.111.151.261.201.191.221.061.281.301.341.051.231.20
64.8465.7168.2064.8263.9766.8272.6567.6668.6265.1961.3664.2162.1361.7861.8957.0962.9058.5660.0457.6865.0859.18-67.4569.9870.0968.8865.6066.0069.0359.6666.3062.9064.4965.2263.9873.0173.5371.2767.9769.3271.3669.7663.6569.5271.7967.9473.6975.5380.9478.3171.2075.0475.6374.0584.9770.1669.2767.2085.6473.4475.06
8.026.444.1417.487.116.665.699.9810.1610.69-8.443.308.688.987.28-32.56-0.480.293.993.533.262.356.037.987.68-12.14-7.614.863.725.724.623.794.343.84-0.242.99-32.461.472.481.552.631.814.062.453.051.231.272.063.492.982.472.913.302.554.270.783.803.612.70-0.49-0.78-5.25
9.177.404.7820.288.437.946.8512.2612.6213.33-10.844.2411.1912.069.82-45.93-0.620.354.784.223.872.777.059.388.99-14.26-9.965.924.637.195.914.815.514.96-0.313.88-42.212.684.392.714.473.167.174.015.122.102.163.543.573.052.532.993.402.624.390.803.913.722.78-0.50-0.80-5.43
3.352.701.656.832.662.331.872.922.973.24-2.411.092.952.792.35-9.53-0.170.101.461.331.280.892.373.143.24-5.23-3.512.371.732.602.011.711.981.73-0.101.30-13.720.721.230.781.350.871.951.201.410.550.570.911.961.631.301.501.741.332.200.381.891.751.27-0.22-0.36-2.41
4.653.742.379.843.823.532.934.864.956.42-4.811.994.354.183.42-13.89-0.230.132.051.851.781.523.955.115.16-8.26-5.333.462.573.882.692.272.922.57-0.161.73-18.980.951.651.041.791.232.751.642.030.810.781.292.702.301.842.162.441.863.060.552.632.471.81-0.32-0.53-3.51
27.2927.2726.6125.4722.6321.9420.5818.3518.5318.8916.7619.2119.2916.7316.9914.4218.4718.3420.3319.8721.2321.0821.4421.1920.9421.7223.8226.2623.7322.3820.5422.0522.2021.7020.1321.4221.7428.9531.0532.0634.1633.3333.1932.5631.3430.5731.0130.6129.8629.6225.7425.3125.0023.9022.9321.6820.5419.9119.3118.9418.1017.50
8.765.041.8810.538.093.770.921.76-0.09-0.68-0.864.522.751.520.376.664.922.281.846.172.840.86-0.654.832.301.310.735.553.050.921.706.234.692.991.337.874.393.200.874.842.841.06-0.286.502.200.06-0.806.462.861.450.312.981.780.890.613.871.530.19-0.506.355.034.56
6.093.300.916.345.272.380.42-1.63-1.90-1.93-1.391.090.740.30-0.143.132.050.180.652.360.19-0.78-1.551.75-0.18-0.24-0.113.211.670.211.354.713.672.421.065.652.762.110.232.211.07-0.02-0.932.40-0.82-1.91-1.762.120.12-0.38-0.64-0.44-0.18-0.210.142.290.74-0.25-0.664.703.843.71