Central Garden & Pet Financial Ratios for Analysis 2009-2024 | CENT

Fifteen years of historical annual and quarterly financial ratios and margins for Central Garden & Pet (CENT).

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
3.733.342.963.464.695.723.103.383.703.883.693.163.143.233.20
0.450.470.490.390.410.420.380.420.440.480.500.490.490.430.43
0.820.890.970.640.700.730.620.710.780.931.010.970.950.750.75
28.6029.7229.3929.5529.5430.4930.8030.2429.5728.3028.0530.2430.3333.8132.67
6.367.797.707.346.387.557.607.075.543.502.434.385.237.167.80
6.367.797.707.346.387.557.607.075.543.502.434.385.237.167.80
9.0910.2910.039.478.599.769.749.347.705.874.556.176.989.849.61
4.915.965.905.705.005.756.153.813.120.86-0.212.052.954.986.44
3.804.564.594.483.895.583.842.431.940.55-0.121.251.743.014.09
0.981.021.061.151.181.161.571.551.461.401.421.481.491.351.40
2.822.503.404.323.603.603.723.523.463.523.043.593.443.533.82
9.948.868.576.887.948.038.649.097.968.288.518.408.337.927.82
36.7141.1942.5853.0545.9745.4642.2640.1445.8644.0742.8843.4643.8046.1046.71
8.6811.4412.4911.289.3013.0312.518.226.522.02-0.194.766.218.9812.35
30.8262.3021.2318.6216.4323.9030.1120.0514.885.16-0.4912.5817.5220.0828.62
3.734.654.905.194.586.516.103.862.920.85-0.081.922.604.235.87
4.786.066.346.865.487.557.724.803.661.05-0.102.423.185.137.10
21.6319.6817.7215.7314.1913.209.838.698.107.637.647.657.236.916.44
5.71-0.503.633.862.851.711.762.371.412.05-0.471.470.721.662.52
4.91-2.192.473.232.411.141.212.001.051.91-0.890.820.271.362.36

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
3.663.333.473.733.513.473.583.343.162.852.982.963.292.623.513.463.813.813.844.694.844.525.105.724.423.874.423.103.243.332.883.383.503.473.173.703.363.522.633.883.783.643.213.693.643.493.013.162.953.393.153.143.213.143.073.232.952.652.923.202.753.17
0.430.440.450.450.450.470.470.470.470.480.490.490.490.460.420.390.400.410.420.410.400.410.420.420.480.500.510.380.410.450.410.420.410.480.470.440.440.510.450.480.480.530.500.500.510.560.500.490.490.560.520.490.480.510.440.430.420.430.440.430.420.51
0.750.790.820.820.820.880.900.890.880.920.960.970.950.840.730.640.650.700.710.700.670.700.720.730.930.981.040.620.690.830.710.710.710.930.870.780.781.040.940.930.911.120.981.011.041.251.000.970.951.261.090.950.911.030.790.750.720.770.800.750.731.04
31.8230.9828.1926.3231.0828.5627.3628.2330.3030.0529.9728.7930.8929.1327.9329.0131.4429.4527.1927.4731.0330.5828.1829.2730.7131.7229.8329.6331.9032.2028.7729.0731.8231.2927.7327.9530.9130.1628.6328.7427.2029.4227.4522.0430.8630.7526.3126.4533.8431.6326.7326.0630.8533.6129.4829.8134.9736.4732.6032.0134.2333.70
11.6410.381.331.2512.008.590.061.8211.2411.203.961.3010.9211.194.573.7212.559.400.432.019.759.232.203.639.2410.735.102.9310.0811.214.753.149.3610.982.440.358.4910.040.370.374.218.93-2.88-7.156.669.38-4.48-2.149.179.69-3.73-1.217.5612.28-2.30-1.3311.3113.690.195.4910.7012.00
11.6410.381.331.2512.008.590.061.8211.2411.203.961.3010.9211.194.573.7212.559.400.432.019.759.232.203.639.2410.735.102.9310.0811.214.753.149.3610.982.440.358.4910.040.370.374.218.93-2.88-7.156.669.38-4.48-2.149.179.69-3.73-1.217.5612.28-2.30-1.3311.3113.690.195.4910.7012.00
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10.639.09-0.05-0.0510.807.03-1.86-0.499.759.621.75-0.879.5510.181.192.1610.757.93-1.300.478.578.060.410.978.059.362.761.209.119.842.89-2.508.089.65-3.84-1.916.667.64-3.14-2.231.936.88-7.13-10.004.447.18-8.32-4.367.197.45-6.92-3.685.6010.41-5.61-3.949.2111.43-1.424.159.8610.82
8.006.890.070.388.125.29-1.34-0.287.437.301.36-0.417.357.800.952.018.256.07-0.910.456.536.290.392.106.317.385.940.875.616.091.82-1.365.066.04-2.39-1.134.094.67-1.85-1.091.074.17-4.37-6.122.784.46-5.22-2.534.254.63-4.33-2.903.536.54-3.40-2.535.567.15-1.072.216.456.93
0.280.250.190.220.300.270.190.220.300.280.210.240.330.330.240.290.370.320.230.270.340.330.240.260.390.360.270.380.430.420.340.350.420.410.300.340.400.390.260.330.380.390.250.320.400.370.260.350.450.370.280.340.420.380.250.310.390.370.240.320.400.36
0.870.680.480.660.810.670.450.540.800.750.550.771.140.990.741.091.340.960.630.841.050.900.670.831.070.900.700.901.020.910.690.810.970.950.620.830.930.910.550.820.870.880.490.730.830.790.540.891.050.840.610.850.970.840.580.850.990.850.550.871.010.83
1.961.561.712.252.081.611.911.882.011.541.921.922.101.471.831.731.661.531.801.801.791.481.851.821.891.551.882.062.061.662.182.062.131.591.841.862.061.552.151.932.051.552.031.902.031.551.941.962.171.512.171.931.881.492.161.802.081.592.091.761.841.50
45.8457.8252.6239.9443.3555.9347.1947.9344.8458.4346.7646.9342.9161.2549.0652.1654.3559.0050.0049.9550.3960.9348.7549.4347.7158.0147.8643.6543.7854.2041.2443.7942.3256.6248.8648.3143.7158.2041.8446.5944.0057.9944.3347.4044.3858.2146.3945.8641.4459.6241.4946.6647.8460.6141.7349.9143.2856.4843.1251.1949.0460.02
5.044.140.040.195.773.55-0.67-0.185.595.430.75-0.266.186.340.521.266.544.34-0.470.204.484.280.171.095.586.494.000.605.235.931.39-1.064.786.27-1.73-0.873.744.89-1.20-0.861.084.43-2.79-4.882.934.83-3.41-2.245.024.89-3.13-2.523.496.43-1.91-1.644.845.91-0.471.505.776.37
13.9612.930.140.6621.5116.20-3.64-0.9721.6224.831.26-0.459.289.900.852.0810.977.68-0.840.347.557.430.312.0012.2915.509.061.4410.6612.933.29-2.5911.6014.16-4.01-1.988.7512.25-3.17-2.202.5410.65-7.37-12.437.0012.17-9.46-5.9212.9714.03-10.14-7.118.7015.65-4.53-3.6710.8313.86-1.213.4713.0815.68
2.231.770.020.082.441.45-0.27-0.072.262.100.29-0.102.462.590.230.583.061.99-0.210.102.242.090.080.542.432.691.640.292.492.580.64-0.502.192.53-0.71-0.391.651.89-0.48-0.360.461.66-1.11-1.971.161.71-1.34-0.912.021.74-1.22-1.051.492.54-0.87-0.772.282.67-0.220.712.672.56
2.892.320.020.103.171.88-0.35-0.092.982.830.38-0.133.163.440.300.773.952.56-0.270.122.682.530.100.632.893.281.960.373.093.230.82-0.622.803.25-0.92-0.492.112.40-0.65-0.450.572.09-1.41-2.431.442.15-1.70-1.142.582.16-1.50-1.291.833.17-1.07-0.942.823.40-0.260.863.343.14
23.6822.4621.6221.6321.5620.2819.6019.6819.7918.7717.8317.7217.8516.7215.7815.7315.5114.5114.0514.1914.3013.7413.2313.2011.4210.8510.229.839.729.228.758.698.788.477.968.108.267.957.557.637.827.717.447.648.007.757.407.657.847.457.077.237.367.136.736.917.036.716.326.446.446.04
2.87-1.41-1.045.713.41-1.45-0.97-0.50-1.21-3.98-1.353.632.57-1.74-0.533.861.31-1.35-0.262.851.28-1.090.091.710.27-1.43-0.371.760.66-1.48-0.212.371.40-0.81-0.011.410.92-1.590.262.051.11-0.980.50-0.47-1.07-2.66-0.471.471.06-1.560.060.72-0.02-1.450.061.661.13-0.120.532.521.52-0.31
2.37-1.70-1.204.912.80-1.90-1.23-2.19-2.66-5.08-1.702.471.75-2.23-0.743.230.92-1.63-0.412.410.99-1.29-0.011.14-0.14-1.69-0.491.210.09-1.89-0.412.001.10-1.01-0.091.050.62-1.770.191.910.97-1.140.41-0.89-1.39-2.93-0.600.820.62-1.84-0.100.27-0.32-1.64-0.011.360.94-0.230.502.361.43-0.39