Chefs' Warehouse Financial Ratios for Analysis 2009-2024 | CHEF

Fifteen years of historical annual and quarterly financial ratios and margins for Chefs' Warehouse (CHEF).

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
1.892.542.393.433.022.622.742.462.222.452.882.211.681.26-
0.590.620.530.540.530.470.560.620.590.480.520.750.632.45-
1.581.661.141.171.150.901.281.721.460.981.123.171.94-2.04-
23.7223.6722.3722.3224.2824.1525.3125.2525.6724.6425.5926.0326.4425.9826.31
2.943.280.62-9.243.183.363.163.963.863.965.435.996.946.534.92
2.943.280.62-9.243.183.363.163.963.863.965.435.996.946.534.92
4.564.742.62-5.934.955.124.905.665.455.066.616.907.557.175.63
1.621.60-0.39-11.122.041.931.410.482.652.984.285.223.325.594.12
1.011.06-0.28-7.461.521.411.100.251.551.712.523.021.92-3.231.02
2.011.731.631.141.571.971.891.881.812.211.902.293.713.99-
9.218.129.3810.469.729.739.5210.198.398.317.758.7912.3414.86-
10.2810.0510.1211.539.098.939.159.328.438.598.818.479.349.12-
35.5036.3436.0731.6540.1440.8739.8739.1843.2842.4741.4143.0839.0640.03-
7.616.91-1.41-24.067.206.615.781.568.629.6812.8636.9432.66-32.52-
-40.12-67.17-20.78-460.34-4,312.68-361.93-22.13-2.99-16.2079.86-498.10-34.73-360.56-26.05-
2.031.84-0.46-8.512.392.792.090.482.803.784.796.917.1419.20-
3.092.63-0.66-11.163.353.482.550.593.565.036.239.1512.1947.01-
11.4610.409.249.2411.0710.308.747.377.155.865.281.871.13--
1.350.60-0.541.271.501.521.151.501.420.390.480.400.930.630.49
0.09-0.59-1.601.060.960.850.700.881.22-0.58-0.050.250.810.580.45

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-31
1.851.851.921.892.062.142.292.542.502.072.262.392.482.503.073.433.253.543.233.022.352.282.312.622.712.592.882.742.262.512.502.462.583.012.402.222.562.752.502.452.882.902.862.883.432.102.092.212.121.851.711.681.801.12-----
0.580.590.600.590.610.630.620.620.560.510.530.530.540.540.550.540.510.510.610.530.470.470.480.470.480.550.560.560.610.620.620.620.630.650.580.590.610.630.480.480.490.500.510.520.530.770.750.750.770.690.570.630.682.24-----
1.521.551.611.581.611.701.641.661.301.061.121.141.181.211.231.171.061.041.561.150.880.890.920.900.941.241.281.281.561.621.721.721.811.891.411.461.611.770.980.981.031.061.111.121.173.413.153.173.552.351.571.942.46-2.27-----
24.1323.9923.9524.0523.5523.6423.5823.6723.8424.0722.9522.5122.7122.6721.0420.9023.7621.6622.7721.7324.5025.8825.2621.3625.4525.1724.9625.7624.8924.9025.6925.9724.9724.6625.2926.4125.4025.5325.1424.9624.3624.5924.6125.4525.7725.8825.2125.3225.9426.5426.5626.6226.1926.4526.49-25.9826.24-
3.423.551.834.012.902.871.653.763.344.261.222.842.161.10-7.18-17.14-4.69-12.67-4.544.302.683.781.724.472.844.041.804.303.233.671.086.532.783.842.055.174.653.321.595.204.344.012.005.275.536.504.235.525.877.425.168.325.257.766.08-7.366.70-
3.423.551.834.012.902.871.653.763.344.261.222.842.161.10-7.18-17.14-4.69-12.67-4.544.302.683.781.724.472.844.041.804.303.233.671.086.532.783.842.055.174.653.321.595.204.344.012.005.275.536.504.235.525.877.425.168.325.257.766.08-7.366.70-
-----------------------------------------------------------
2.162.320.322.741.611.510.260.691.713.570.372.081.290.06-8.88-19.03-6.55-15.55-5.913.291.542.600.443.031.552.570.242.811.501.89-0.984.710.77-4.970.653.893.242.050.844.263.433.030.904.144.175.383.254.655.066.644.607.86-1.884.392.03-7.086.39-
1.511.630.221.680.831.120.190.151.252.610.271.510.710.26-6.40-13.16-4.50-10.14-3.752.551.111.880.322.251.151.840.172.660.881.11-0.572.670.45-2.900.382.281.891.200.492.322.021.790.532.502.443.141.902.533.063.882.684.47-1.172.671.23-3.633.72-
0.530.560.520.560.530.530.460.520.530.570.470.520.470.420.290.290.250.190.340.420.450.470.420.540.510.520.470.520.500.520.460.540.470.460.460.500.480.480.530.600.580.600.530.550.520.620.620.680.610.800.951.081.051.04-----
2.102.342.452.542.162.312.002.462.642.712.592.992.822.662.412.701.971.632.232.692.452.492.352.752.452.392.362.602.222.592.352.902.512.402.142.322.222.272.092.232.232.402.192.232.212.262.662.642.453.083.113.583.903.78-----
2.792.952.792.852.792.932.623.043.173.113.023.243.193.112.822.922.531.912.602.442.412.612.352.442.462.582.352.512.402.572.362.682.452.442.302.352.352.372.132.322.362.552.522.532.552.602.622.522.412.602.482.722.422.45-----
32.3130.4932.2231.6332.2730.7634.3429.5928.4128.9229.8427.8228.1928.9531.9430.8035.6347.1934.5836.9437.3234.4538.3536.9436.5434.9338.2335.8337.4935.0638.1333.6036.7036.9339.1038.2838.2238.0042.2238.8838.1935.2635.6835.5635.3434.6534.4135.7837.3234.6436.2233.1237.2036.71-----
2.943.360.433.521.682.330.350.292.154.530.392.411.020.33-5.46-10.75-3.02-5.25-4.413.241.372.440.372.881.392.660.223.811.391.86-0.854.720.73-4.630.523.542.881.900.653.542.982.780.743.663.2811.266.289.1710.7614.379.9522.10-6.44-5.88-----
-32.88-23.13-2.21-18.56-6.70-8.10-2.01-2.8435.3697.369.4835.6426.6029.88-365.06-205.77-46.77-66.8936.45-1,940.91-25.97-37.69-3.50-157.57-25.03-11.04-0.85-14.61-2.55-3.971.65-9.04-1.188.50-1.04-6.65-4.82-3.064.7729.2139.26107-53.98-141.8433.60-7.95-4.68-8.62-8.50-39.69284-244.0392.15-4.09-----
0.790.910.120.940.440.600.090.080.661.490.130.790.330.11-1.86-3.80-1.11-1.96-1.271.070.500.880.131.210.580.960.081.380.440.58-0.261.440.21-1.330.171.150.900.570.261.381.171.080.281.361.261.941.181.711.863.112.554.83-1.222.77-----
1.231.380.171.430.650.870.130.110.942.210.191.130.470.15-2.47-4.99-1.48-2.59-1.731.510.731.290.191.510.721.200.101.690.550.72-0.321.790.27-1.640.221.461.120.700.341.841.511.380.361.771.552.641.572.272.444.494.258.25-2.057.30-----
12.1411.6011.2611.4610.9610.6610.2710.4010.069.779.269.248.958.778.659.2410.0110.2510.3111.0710.6510.4810.3010.309.958.928.668.747.707.487.307.377.026.937.247.156.916.735.895.865.645.475.315.285.072.241.991.871.691.481.271.130.88-2.82-----
1.741.310.801.350.440.24-0.060.600.760.470.28-0.54-0.71-0.65-0.321.271.481.460.741.500.790.730.251.521.130.640.371.150.850.790.311.500.820.130.341.420.620.240.290.390.030.120.420.480.700.990.640.400.440.360.230.930.350.530.200.000.350.220.00
0.850.590.360.09-0.33-0.27-0.29-0.590.00-0.09-0.11-1.60-1.19-0.90-0.401.061.341.320.640.960.380.450.110.850.810.450.270.700.490.560.170.880.37-0.180.221.220.50-0.27-0.01-0.58-0.61-0.290.19-0.050.430.830.580.250.310.270.190.810.270.470.17-0.310.19-