Crocs Financial Ratios for Analysis 2009-2024 | CROX

Fifteen years of historical annual and quarterly financial ratios and margins for Crocs (CROX).

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
1.301.601.721.691.652.062.712.852.673.873.423.883.382.773.08
0.530.740.980.380.610.44--0.000.010.020.01---
1.142.8454.780.621.550.800.000.010.020.020.030.010.000.010.00
55.7852.3361.3954.1150.1451.4850.5348.2746.8449.2752.2554.1253.5953.6646.61
26.1723.9329.5315.4510.455.781.69-0.59-6.63-0.395.2913.0113.109.89-7.93
26.1723.9329.5315.4510.455.781.69-0.59-6.63-0.395.2913.0113.109.89-7.93
27.5425.0330.9117.4412.428.474.932.69-3.332.738.7716.2816.8214.59-2.25
22.1220.2128.7014.939.705.991.78-0.70-6.85-0.715.0312.9613.6610.23-7.53
20.0015.1931.3722.579.71-6.36-0.52-3.06-8.99-1.580.8711.6911.178.47-6.52
0.850.791.501.241.672.321.881.831.791.481.361.351.441.441.58
4.553.594.183.633.574.243.883.653.453.553.513.133.583.023.69
11.9610.8010.658.5310.4110.0410.4610.8010.099.789.399.159.039.308.59
30.5133.8034.2742.8035.0736.3534.8933.7936.1737.3338.8639.8740.4439.2742.51
54.5166.045,15310890.5933.565.51-7.48-33.82-1.091.6721.2722.9318.01-14.63
-75.47-31.83-4,446.6612514448.973.30-5.07-24.66-0.941.8923.5625.4520.48-16.72
17.0712.0046.9727.9716.1710.761.88-2.91-13.68-0.611.1915.8316.2212.33-10.27
25.6117.3492.3966.4835.4718.662.78-4.13-19.66-0.781.6421.1222.9318.01-14.63
24.0313.260.244.411.932.055.355.435.787.967.066.965.484.273.36
15.029.738.903.891.251.671.360.540.13-0.140.941.421.581.190.72
13.158.058.023.280.751.521.200.27-0.12-0.320.491.001.280.850.51

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
1.431.501.761.301.511.651.761.601.971.941.961.722.631.782.231.691.702.122.181.651.681.741.952.062.642.432.462.712.962.692.752.853.092.672.472.672.772.893.073.873.583.413.653.423.503.423.463.883.423.663.113.383.112.992.602.772.662.572.573.082.632.111.91
0.450.480.520.530.620.630.700.740.800.850.890.980.660.520.510.380.370.640.790.610.610.660.640.44----0.000.000.00-0.000.000.000.000.000.010.010.010.010.010.010.020.010.010.010.01--------0.000.000.01-0.00--
0.820.931.081.141.621.702.362.844.155.638.2454.781.941.081.050.620.591.753.721.551.571.921.750.800.000.000.000.000.000.000.010.010.010.010.030.020.020.020.020.020.020.020.020.030.020.010.010.010.000.000.050.000.000.010.020.010.010.010.010.000.010.070.08
59.6361.3555.6255.2855.6257.9453.8852.5154.9551.6049.2263.4263.8761.6755.0455.6757.1654.2747.7248.0052.3852.7746.5046.2253.2755.3049.4045.3950.7554.2149.8642.0049.7952.3946.3434.8644.0854.9348.5837.0751.2653.7450.0045.0053.2355.2153.2247.2754.3859.2553.2749.0053.5457.5952.5848.1855.1057.8551.9644.3150.7251.1436.87
25.4029.3124.1221.8226.1929.7026.5723.2826.8125.7117.9827.2732.4430.4827.1015.7119.9317.077.403.1812.7513.3311.01-6.455.3211.309.15-15.261.109.405.82-21.23-0.496.365.10-31.43-7.564.73-0.90-31.270.3711.125.38-18.756.2113.8612.08-2.1813.5421.5314.643.0212.7420.8812.431.4312.7316.985.63-28.326.04-0.44-16.68
25.4029.3124.1221.8226.1929.7026.5723.2826.8125.7117.9827.2732.4430.4827.1015.7119.9317.077.403.1812.7513.3311.01-6.455.3211.309.15-15.261.109.405.82-21.23-0.496.365.10-31.43-7.564.73-0.90-31.270.3711.125.38-18.756.2113.8612.08-2.1813.5421.5314.643.0212.7420.8812.431.4312.7316.985.63-28.326.04-0.44-16.68
---------------------------------------------------------------
23.0626.6720.6718.1122.3225.8521.6918.5823.3022.2215.0126.0731.5929.7426.6415.4119.3716.506.682.3712.1812.4510.25-6.495.5911.409.61-15.041.069.455.95-20.850.065.764.68-31.37-8.444.63-0.81-31.540.0311.144.64-18.606.1213.6511.29-1.8013.4322.3113.273.4813.4021.9212.353.1412.6017.055.46-9.895.50-11.49-16.46
18.8120.5916.2426.4116.9319.8116.9114.5717.1916.6211.0226.4024.5249.7821.3944.5517.1117.063.947.5711.4110.928.35-51.612.507.713.68-12.77-0.934.872.67-23.73-2.183.622.28-35.43-10.132.80-2.28-27.543.975.182.04-29.294.529.729.29-1.4415.1918.5910.372.6310.9018.599.492.1611.5914.163.43-8.4212.46-15.31-16.62
0.230.240.200.210.230.230.190.210.220.210.150.380.360.430.340.370.450.410.340.360.460.500.430.460.450.540.490.370.410.500.450.330.390.490.430.340.380.430.330.260.300.340.280.260.300.400.360.270.330.410.350.290.390.430.370.330.390.460.370.330.400.450.30
1.171.141.061.121.191.030.860.950.860.930.821.011.061.171.051.040.891.030.750.791.071.261.140.931.041.130.970.830.850.920.750.740.730.910.800.810.800.850.730.760.730.910.810.770.771.010.820.720.720.810.750.800.850.800.700.770.680.850.750.810.770.870.65
2.752.511.842.902.502.441.952.872.332.181.582.702.532.571.822.532.301.901.492.222.261.931.561.991.981.901.502.042.122.011.571.951.951.961.521.931.871.731.331.691.551.661.321.801.871.901.531.831.932.081.391.842.112.061.552.112.121.951.381.812.392.902.04
32.7235.8748.9831.0535.9536.9246.1631.3538.7141.2856.8433.3235.5934.9849.3835.5439.1847.3760.2140.4739.8946.5557.5145.1645.4247.3460.1744.2242.4244.8157.3446.0746.2746.0359.3546.6148.0152.1467.8653.4158.2054.3568.3449.9848.0247.4658.7149.0946.6943.3564.9448.9942.6443.6657.9242.6742.5446.1765.3949.7737.6231.0444.03
11.5813.859.5517.4414.7517.8515.4416.8426.8532.5920.841,10043.5088.9030.1663.0827.1536.0511.8015.1030.3635.0220.10-7.245.3317.348.97-13.110.708.904.70-18.44-0.565.593.90-28.53-7.213.33-0.60-11.732.743.731.47-10.711.895.304.57-0.587.0310.545.361.136.1611.835.291.266.859.911.95-3.987.54-11.56-8.46
-25.94-27.13-16.90-24.15-13.56-16.12-9.70-8.12-8.98-7.91-3.32-948.8648.0398.6433.9572.9633.2450.7024.0723.9251.8859.9932.24-10.573.1610.365.27-7.850.476.153.21-12.50-0.414.142.87-20.80-5.742.77-0.50-10.102.403.291.26-12.172.105.865.06-0.657.7711.475.881.266.8213.195.971.437.7511.352.24-4.558.55-13.29-9.94
4.244.853.185.463.864.613.253.063.733.501.6310.028.8021.357.2216.397.726.971.332.705.205.493.59-2.321.825.692.87-4.480.283.481.83-7.18-0.252.331.55-11.54-3.331.66-0.30-6.581.572.110.82-7.651.383.853.30-0.435.067.543.670.804.298.123.510.864.516.501.28-2.794.98-6.92-5.02
6.357.194.598.195.686.644.654.425.254.952.2719.7114.7842.8014.7438.9517.0513.092.505.9111.7911.997.31-4.032.748.994.49-6.610.395.142.66-10.18-0.343.412.32-16.58-4.712.31-0.42-8.412.092.891.12-10.521.865.244.52-0.587.0310.545.361.136.1611.835.291.266.839.871.94-3.987.51-11.56-8.46
29.4927.7426.3124.0319.7419.1615.6213.2610.227.995.680.245.745.755.004.413.382.321.401.931.711.611.712.055.665.625.375.355.855.855.595.436.156.195.955.786.907.617.507.969.029.279.157.067.817.567.196.967.096.475.885.485.465.254.594.274.193.783.413.363.423.063.17
11.276.15-0.4515.029.435.280.169.733.961.36-1.138.905.613.750.453.892.320.59-1.231.251.040.28-0.851.671.180.57-0.651.361.120.53-0.670.540.400.27-0.770.130.09-0.04-0.60-0.14-0.06-0.19-0.700.941.060.42-0.391.421.180.55-0.671.581.030.49-0.321.191.010.46-0.150.720.550.31-0.06
10.415.61-0.7113.158.024.46-0.288.052.520.45-1.788.025.043.420.333.281.840.24-1.460.750.580.02-0.991.521.130.53-0.671.200.940.38-0.740.270.260.16-0.81-0.120.04-0.09-0.62-0.32-0.22-0.32-0.760.490.720.21-0.501.000.910.37-0.751.280.800.34-0.390.850.790.32-0.230.510.410.25-0.08