Clearwater Paper Financial Ratios for Analysis 2009-2024 | CLW

Fifteen years of historical annual and quarterly financial ratios and margins for Clearwater Paper (CLW).

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
1.971.881.921.941.660.991.081.221.872.352.892.683.533.024.78
0.410.500.550.580.670.620.500.550.550.530.520.490.520.530.29
0.690.991.251.382.091.911.261.501.201.141.070.971.081.150.41
15.8812.3410.3015.749.3410.8712.0913.9013.6713.1311.5614.2211.6914.5115.83
8.515.480.688.472.58-5.684.116.627.064.065.267.765.997.1923.79
8.515.480.688.472.58-5.684.116.627.064.065.267.765.997.1923.79
13.4510.546.7614.839.4111.5510.1811.8711.898.6410.0311.999.9810.6727.59
6.923.51-2.015.26-0.45-7.742.364.655.280.832.025.953.685.5522.05
5.172.21-1.594.13-0.32-8.345.622.863.19-0.125.663.422.065.3814.60
1.251.221.051.040.940.960.961.031.151.251.081.151.230.891.32
5.485.635.735.985.685.775.725.795.925.966.246.956.985.146.20
11.2911.0210.5911.6411.0511.3610.6611.0611.3914.5511.1610.7110.358.396.38
32.3333.1334.4731.3733.0332.1334.2432.9932.0625.0832.7134.0735.2543.5257.17
16.128.06-5.4714.80-1.30-33.7216.9110.5511.79-0.4717.6811.868.1815.7650.16
16.128.06-5.4714.80-1.47-39.1632.5726.7722.78-0.8831.9524.3319.2940.4650.16
6.452.71-1.664.28-0.30-8.045.402.943.67-0.156.133.932.524.7819.26
9.534.05-2.446.23-0.43-12.858.494.775.36-0.228.526.023.937.3335.64
40.5734.1330.6631.4426.1625.8734.9928.5026.6625.4428.7023.5321.3020.7016.00
11.168.745.7514.773.3610.2410.7910.108.486.916.128.412.867.849.55
6.856.793.4612.40-5.11-7.69-1.271.021.672.342.06-0.17-2.215.898.73

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
1.781.731.911.972.402.252.141.881.931.861.981.921.881.952.131.942.051.961.791.661.570.950.940.991.100.861.031.081.111.161.211.221.641.911.901.871.852.212.242.351.822.452.692.892.713.263.082.682.773.062.873.532.912.862.913.024.754.964.544.784.143.401.17
0.630.630.390.400.470.480.490.500.500.520.540.550.580.590.570.580.610.640.670.670.670.610.610.620.520.490.500.500.540.540.550.550.550.540.550.550.560.540.550.530.520.540.530.520.570.570.570.490.500.510.520.520.520.520.530.530.260.270.290.290.320.35-
1.731.740.650.660.870.920.960.990.991.081.171.251.381.471.341.381.591.762.122.092.182.092.041.911.231.241.271.261.401.401.481.501.241.181.231.201.251.181.231.141.151.171.111.071.311.311.320.970.991.041.091.081.071.091.131.150.360.380.400.410.460.540.71
7.656.0715.0315.5718.1416.3714.646.7015.5913.5313.5612.4111.613.4912.9816.9217.2317.4611.4911.785.959.3410.3811.1511.7810.4010.1916.129.3211.3111.5313.898.8917.1315.6815.4815.4513.5410.1812.4215.0012.9612.0214.629.5511.9910.1214.3214.6615.8411.9513.0910.4212.3910.9318.4313.9916.718.6718.4114.7815.7414.32
-0.31-3.316.159.237.399.007.580.119.086.006.745.663.06-13.936.369.2610.7610.053.934.16-0.543.393.36-40.7611.004.252.646.041.214.464.696.482.139.208.648.419.067.213.51-3.768.606.634.238.143.866.312.717.678.289.405.607.025.076.835.056.488.0810.853.2027.5123.3834.108.80
-0.31-3.316.159.237.399.007.580.119.086.006.745.663.06-13.936.369.2610.7610.053.934.16-0.543.393.36-40.7611.004.252.646.041.214.464.696.482.139.208.648.419.067.213.51-3.768.606.634.238.143.866.312.717.678.289.405.607.025.076.835.056.488.0810.853.2027.5123.3834.108.80
---------------------------------------------------------------
-3.56-6.004.887.086.677.616.15-1.547.333.634.633.210.38-16.833.596.546.846.910.861.01-4.430.641.05-42.778.942.190.514.26-0.522.792.863.760.407.506.896.627.275.471.72-5.491.954.492.025.751.673.95-3.386.156.637.463.484.732.914.562.523.496.999.651.9026.1622.0931.047.56
1.47-4.403.472.3313.125.664.53-1.123.822.793.401.940.42-12.702.844.994.684.742.160.46-2.47-0.090.89-43.818.081.610.6018.520.201.871.722.200.214.784.222.685.223.511.33-5.771.222.501.2817.622.732.48-0.194.293.974.540.812.471.732.811.2010.934.255.980.1414.9713.9423.814.76
0.160.240.300.450.160.310.310.310.320.310.290.290.260.230.240.250.250.260.250.230.240.230.220.240.220.230.240.240.250.260.260.250.280.290.290.280.290.280.280.300.300.290.280.270.280.280.270.280.300.300.290.300.320.310.300.220.350.350.340.330.380.410.42
1.371.311.293.950.691.291.301.521.391.581.501.541.391.391.261.431.481.691.761.371.481.421.341.431.431.481.511.381.501.571.611.421.571.451.511.431.431.551.441.441.541.641.581.501.741.651.661.711.831.681.651.661.991.941.771.232.091.991.911.511.941.861.53
2.282.292.877.851.612.672.822.792.992.812.832.932.832.823.162.822.552.502.312.732.702.542.452.822.923.392.792.692.833.153.002.713.073.043.232.802.873.153.243.492.832.842.792.782.762.642.752.642.562.562.362.502.572.553.002.113.093.121.981.611.842.173.02
39.5239.2631.4011.4755.8333.7331.9132.2630.1332.0231.7630.7631.8431.8928.5131.9335.3235.9439.0032.9433.2935.4336.7531.8730.7926.5632.2233.4631.7628.5530.0533.1629.3629.6427.9032.0931.3128.5627.7825.7631.8331.6532.3032.4232.6434.0732.7234.0335.1435.2038.1635.9335.0835.3330.0042.6329.1128.8245.5055.9548.8941.5729.84
-1.61-3.922.515.882.304.834.04-1.013.622.703.131.880.41-10.592.264.344.314.842.320.46-2.59-0.090.88-44.045.481.180.4514.060.181.661.591.990.194.323.942.445.013.201.23-5.481.162.241.0713.692.682.34-0.183.673.624.280.772.371.762.831.188.073.645.220.1212.9714.3527.626.94
-1.75-4.272.516.262.304.834.04-1.013.622.703.131.880.41-11.732.484.344.795.422.620.53-2.96-0.111.01-51.159.262.190.8527.080.423.963.945.050.378.147.694.7110.046.102.46-10.342.264.301.9624.755.915.21-0.417.537.569.501.835.594.126.622.9220.713.645.220.1212.9714.3527.626.94
-0.43-1.041.022.350.861.741.41-0.341.210.860.990.570.12-2.950.671.261.171.240.540.11-0.58-0.020.20-10.501.740.360.144.490.050.480.450.550.061.371.230.761.491.000.37-1.730.370.720.364.750.770.69-0.051.221.171.360.240.730.550.880.362.451.492.110.054.985.299.762.01
-0.59-1.441.533.541.232.522.07-0.511.821.301.450.840.17-4.290.971.831.671.760.780.15-0.85-0.040.34-16.782.650.600.237.060.080.760.720.900.091.981.781.112.231.470.55-2.560.561.030.506.601.161.02-0.081.861.812.090.371.140.851.370.553.752.673.790.099.219.8317.906.94
40.0639.5741.1240.5739.1536.7834.9234.1333.9632.4831.5330.6629.4629.2532.1431.4429.9428.4126.8526.1625.7426.3026.1725.8738.1635.8835.2834.9929.6029.4328.8228.5028.1728.4227.3426.6625.6925.5724.4925.4427.7027.8828.3028.7023.0722.5722.0923.5322.6921.6020.4921.3021.5621.3920.6720.7017.9517.1716.1716.0014.1712.028.65
5.814.823.5011.167.402.18-0.538.747.777.002.415.753.792.881.9914.7710.497.220.703.36-0.980.89-1.7810.247.316.701.8610.799.196.242.7410.108.145.592.788.485.634.561.446.915.074.631.666.124.120.970.598.416.783.731.642.863.061.891.637.848.057.013.029.557.774.531.51
0.782.622.416.854.530.15-1.806.796.616.221.943.462.031.621.3412.408.856.150.07-5.11-8.59-5.67-6.10-7.691.091.95-1.06-1.270.941.080.201.021.962.261.031.671.551.700.172.342.423.070.922.061.67-0.42-0.26-0.170.26-0.49-0.13-2.21-0.63-0.820.645.897.076.352.798.737.154.121.36