Clearfield Financial Ratios for Analysis 2009-2024 | CLFD

Fifteen years of historical annual and quarterly financial ratios and margins for Clearfield (CLFD).

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
9.4310.213.103.495.046.438.259.706.968.097.465.427.545.065.864.37
0.01-0.11-------------
0.010.010.13------------0.00
17.3331.7441.7043.4640.7438.4439.9240.9343.6641.2242.3841.2240.7941.6537.5035.56
-13.9313.8823.5617.939.016.106.537.1814.2511.6914.6813.9511.4110.564.614.98
-13.9313.8823.5617.939.016.106.537.1814.2511.6914.6813.9511.4110.564.614.98
-12.1314.8224.8119.5611.548.589.179.3816.1813.7115.8814.8512.4911.586.656.72
-9.7515.4923.5718.289.846.977.127.5514.4611.8614.8414.1311.6810.945.355.66
-7.4712.1118.2214.447.845.375.505.2010.647.769.368.8720.5517.524.8515.17
0.530.761.181.120.981.041.051.061.071.051.121.150.991.161.141.22
2.061.871.922.893.835.814.645.175.074.946.205.577.477.4510.0713.93
7.829.465.047.248.879.336.0610.229.4110.0411.546.8112.4010.907.519.16
46.6638.5672.3650.4141.1639.1460.2735.7238.7836.3731.6253.6229.4433.4948.6039.85
-4.5210.3233.4519.588.816.096.215.9612.809.1311.6211.8122.2023.516.1421.21
-4.7410.7536.6221.539.987.027.286.2413.359.6112.3012.6223.9826.077.0824.77
-3.959.1521.5416.147.655.585.765.5411.358.1210.4810.2020.4120.355.5318.53
-4.4810.3229.6919.588.816.096.215.9612.809.1311.6211.8122.2023.516.1421.21
19.3820.6610.687.566.065.495.054.674.433.743.403.092.702.141.601.49
1.521.230.160.790.491.100.340.460.850.500.850.330.300.420.050.17
0.870.67-0.500.640.360.910.260.310.730.180.750.250.260.410.010.16

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
9.438.389.7611.0910.218.217.516.493.103.913.913.813.494.455.126.725.045.105.218.266.439.849.039.298.259.218.7814.749.7010.109.3910.616.967.577.9211.408.096.708.419.497.465.515.538.575.426.347.578.877.547.566.808.205.065.006.066.085.865.165.586.344.373.834.86
0.010.01----0.010.010.11------0.03-----------------------------------------------
0.010.010.010.010.010.010.010.010.13------0.03-------------------------------------------0.000.000.000.00
22.8121.917.6713.7224.1431.1232.8135.6639.4741.1343.3044.9543.6144.2443.5941.9641.1741.5539.9439.8838.8238.4336.8139.5638.3439.5340.2842.1441.6740.4742.1639.4645.4743.2442.9642.5641.6942.8538.4241.0641.1842.0843.2942.9643.1841.5940.0938.2340.5242.2238.2441.4041.8642.6640.6440.9339.1338.4136.6934.4335.5737.4934.75
-6.44-4.73-26.39-23.843.469.1816.7920.8223.4123.2822.3025.5320.7119.8814.9913.7113.4713.803.532.079.097.041.565.8311.3411.19-3.123.828.246.747.266.5214.9516.0312.6512.6212.8116.223.7511.5611.6712.9414.5019.0320.0313.279.038.6312.7316.512.0711.1413.0612.717.386.9910.509.01-2.78-3.805.487.582.45
-6.44-4.73-26.39-23.843.469.1816.7920.8223.4123.2822.3025.5320.7119.8814.9913.7113.4713.803.532.079.097.041.565.8311.3411.19-3.123.828.246.747.266.5214.9516.0312.6512.6212.8116.223.7511.5611.6712.9414.5019.0320.0313.279.038.6312.7316.512.0711.1413.0612.717.386.9910.509.01-2.78-3.805.487.582.45
---------------------------------------------------------------
-2.82-1.48-21.66-18.176.5711.5218.5720.8923.1323.3422.5325.7720.9820.2015.4114.2014.0414.474.603.2210.018.012.456.5011.8911.74-2.414.398.717.127.596.8115.1516.2212.8812.8313.0016.353.9511.7411.8513.1214.6819.1520.1513.439.258.8812.9716.742.4411.4413.3113.077.977.4110.919.72-1.78-2.755.718.723.02
-1.77-0.92-16.01-15.395.438.5114.4316.5917.8817.8917.2720.3316.4215.7412.2611.6811.1611.533.662.597.885.941.935.038.378.17-1.815.596.844.105.144.8012.6910.948.819.488.6910.732.337.657.338.189.2812.2813.118.475.195.3146.4116.141.8610.9136.0312.627.486.9210.359.28-2.29-3.2343.058.202.50
0.150.150.120.100.140.170.200.240.410.400.330.370.360.340.290.280.290.290.230.230.290.280.250.270.300.300.240.240.270.280.250.260.300.320.280.270.270.320.230.270.280.270.260.350.410.320.270.270.280.330.230.310.350.400.310.330.370.330.240.260.320.400.31
0.540.510.410.310.380.400.480.620.700.600.500.650.931.031.151.151.121.021.051.101.631.431.461.261.381.340.921.201.271.251.021.271.371.511.191.301.281.541.481.541.561.571.541.801.921.591.681.752.082.081.432.122.262.642.332.673.192.922.262.613.702.892.20
2.191.771.691.971.751.921.821.561.772.262.453.132.332.392.252.772.602.852.532.762.632.352.122.461.752.232.353.032.542.442.182.452.632.472.163.132.622.462.603.002.853.013.857.072.432.682.483.203.442.642.704.523.312.752.393.122.442.742.312.842.432.332.31
41.0050.9853.4045.6551.4346.9149.3657.7450.8639.9136.7428.7638.6737.6040.0032.5534.5831.5435.5932.6334.2438.2442.3936.5951.3540.4438.2829.7235.3736.9641.3736.7134.2036.3741.7128.7934.3036.5434.6029.9531.6029.9023.3612.7337.0533.5736.3528.0926.1534.1333.3619.9027.1532.7237.7128.8136.8632.8538.9831.6837.0338.6638.91
-0.30-0.16-2.12-1.760.861.673.394.8511.519.327.489.087.156.324.053.673.683.760.980.662.521.780.511.432.732.62-0.461.431.951.251.381.374.273.982.712.802.673.880.602.232.242.572.804.696.233.051.511.5413.925.860.483.6414.705.832.602.524.263.43-0.61-0.9015.963.950.92
-0.31-0.17-2.22-1.830.891.753.555.0812.6110.018.099.877.867.014.534.134.174.271.120.762.902.060.601.673.213.09-0.551.492.041.301.441.424.454.162.842.942.814.090.642.352.382.722.984.996.663.281.621.6615.036.420.534.0216.306.612.982.904.923.99-0.72-1.0518.654.771.12
-0.26-0.14-1.87-1.570.761.442.904.057.427.165.777.545.905.353.513.293.203.300.860.602.311.680.481.342.532.46-0.431.361.811.161.271.263.783.542.432.602.383.400.542.062.022.222.434.285.382.731.381.4212.795.370.433.3812.735.012.302.273.843.08-0.56-0.8313.953.250.79
-0.30-0.16-2.12-1.760.861.673.374.8210.229.327.489.087.156.324.053.583.683.760.980.662.521.780.511.432.732.62-0.461.431.951.251.381.374.273.982.712.802.673.880.602.232.242.572.804.696.233.051.511.5413.925.860.483.6414.705.832.602.524.263.43-0.61-0.9015.963.950.92
19.3819.2819.3820.0920.6620.4420.0219.3110.689.938.968.327.567.026.546.276.065.845.605.555.495.355.235.165.054.894.784.784.674.624.654.544.434.214.023.883.743.673.503.503.403.403.353.253.092.912.812.762.702.392.252.232.141.811.701.651.601.531.471.481.491.251.19
1.520.590.310.511.230.880.660.080.16-0.67-0.810.000.790.590.490.200.490.180.17-0.011.100.660.630.510.340.320.170.150.460.190.00-0.040.850.500.220.170.500.320.220.080.850.870.760.500.330.140.050.000.300.060.020.050.420.240.140.130.050.02-0.03-0.020.170.100.03
0.870.200.010.360.670.460.35-0.08-0.50-1.15-1.16-0.150.640.500.440.170.360.070.08-0.070.910.580.590.490.260.260.130.130.310.07-0.08-0.080.730.430.190.150.180.02-0.03-0.050.750.790.730.500.250.080.01-0.010.260.040.000.050.410.250.120.130.01-0.01-0.05-0.020.160.090.03