Crown Crafts Financial Ratios for Analysis 2009-2024 | CRWS

Fifteen years of historical annual and quarterly financial ratios and margins for Crown Crafts (CRWS).

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
5.244.623.953.205.725.025.865.433.754.103.703.103.533.542.954.60
0.140.20--0.060.100.19------0.120.110.51
0.160.26-0.050.060.110.24------0.200.191.13
26.2526.4226.6830.4429.4229.2028.1529.4228.2327.3927.7225.2122.9122.3323.5021.64
7.879.5611.809.6610.549.317.8413.1912.7910.7211.5410.329.538.4810.18-17.08
7.879.5611.809.6610.549.317.8413.1912.7910.7211.5410.329.538.4810.18-17.08
14.4613.9415.1413.9814.8511.259.5014.6014.0511.9512.8411.5911.0810.1312.3011.43
7.119.8914.119.7610.588.897.7113.3312.7410.6511.5010.239.287.979.30-18.20
5.587.5311.357.688.946.574.308.458.106.657.106.525.914.795.55-19.55
1.060.831.451.361.281.391.241.401.611.721.761.781.911.972.081.55
2.181.613.102.712.922.772.552.944.094.044.325.375.555.156.305.83
3.913.293.764.094.124.304.554.234.193.843.743.614.204.824.784.61
93.3111197.0489.1688.5384.9380.2486.3887.0994.9797.4810186.9675.6776.4379.16
9.4811.4821.6514.5315.4612.137.6814.3217.0614.4516.0715.5814.5114.0217.83-76.04
11.9914.9427.5319.2622.0718.0312.1216.0719.5116.8519.5319.8918.2518.7624.34-100.86
5.926.2116.4910.4711.489.165.3411.8113.0311.4512.4911.5711.289.6311.84-30.15
8.209.1321.6514.5314.5810.946.1914.3217.0614.4516.0715.5814.5112.3215.95-37.06
5.004.854.544.194.174.093.903.884.023.933.643.343.593.282.982.43
0.690.760.820.860.840.890.241.031.100.470.370.930.850.211.130.90
0.630.680.770.790.770.810.221.021.080.450.350.910.820.191.110.87

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
3.895.244.134.283.694.624.964.573.723.952.783.623.093.202.733.554.305.722.963.863.235.023.464.253.805.862.893.734.895.433.015.474.253.753.884.133.524.103.023.123.233.702.783.363.253.102.884.123.733.533.213.632.843.542.812.962.282.952.121.553.814.60
0.030.140.160.160.120.20--------0.010.020.030.06---0.100.040.100.090.190.06------------------------0.030.010.120.160.170.060.110.070.070.460.51
0.030.160.200.200.130.26-------0.050.050.040.040.06---0.110.050.110.100.240.06------------------------0.040.080.200.250.270.140.190.220.960.901.13
24.4623.1527.0327.3427.6921.8523.7129.0832.8024.9727.1330.0124.8826.7031.5932.7531.0026.3431.3231.6228.5528.6029.9831.0226.7025.9530.1530.5126.3929.9132.6727.2627.4828.2130.2227.5426.7726.0427.9228.6027.2726.4828.8828.5627.0526.0326.3222.6525.3523.2524.2222.2421.6221.1320.0923.8525.0027.3722.4620.7622.4124.50
-1.835.819.7810.614.064.449.2814.4711.0811.8213.5314.366.89-0.1114.0315.2010.149.0612.9412.896.899.1011.5212.382.878.729.237.385.1415.2617.749.799.2814.3614.8412.548.5113.3713.786.557.1313.9513.879.207.9712.7512.476.608.2511.5711.758.385.3010.536.209.017.4316.429.166.986.14-43.64
-1.835.819.7810.614.064.449.2814.4711.0811.8213.5314.366.89-0.1114.0315.2010.149.0612.9412.896.899.1011.5212.382.878.729.237.385.1415.2617.749.799.2814.3614.8412.548.5113.3713.786.557.1313.9513.879.207.9712.7512.476.608.2511.5711.758.385.3010.536.209.017.4316.429.166.986.14-43.64
--------------------------------------------------------------
-2.385.129.229.832.964.849.3014.4812.0911.8213.3514.7317.500.3213.9815.1910.129.2212.7912.837.138.7511.2011.962.238.369.037.445.2815.3717.899.869.5514.3714.6112.488.5813.3013.656.467.1813.9113.919.127.8812.3312.616.648.1811.4311.578.064.9010.085.658.496.9115.868.335.835.07-44.33
-1.994.457.157.552.143.837.0910.899.139.4810.6911.8014.241.0910.9911.487.507.9211.279.596.776.418.328.811.715.503.044.403.809.3010.786.327.078.7510.367.555.198.208.624.064.488.458.635.704.957.867.994.375.147.637.155.003.035.863.535.124.238.965.393.703.03-42.99
0.210.270.270.280.200.240.310.300.250.430.360.330.310.380.300.340.270.360.300.340.290.400.340.380.290.400.320.340.280.370.310.320.300.480.380.410.340.520.450.410.320.520.420.450.380.530.460.390.390.560.480.500.400.590.440.500.390.630.490.410.320.43
0.400.580.500.500.330.490.560.480.400.930.680.580.640.790.580.760.650.840.540.580.560.790.590.720.550.850.530.680.650.770.710.740.671.220.820.850.721.250.890.770.631.300.850.950.801.601.111.070.901.611.061.000.751.580.911.020.771.801.201.280.841.58
1.021.011.081.191.080.951.011.070.891.111.081.171.071.131.071.151.081.141.201.311.281.221.241.231.061.471.371.281.041.111.190.991.141.251.101.161.101.171.091.081.061.111.191.181.121.091.071.221.151.221.321.481.311.461.331.491.311.441.491.461.311.30
87.8489.3083.3675.7483.0094.9889.3884.5110181.3883.1176.6584.0379.7584.3378.1183.7178.9075.2768.9370.4073.6572.3673.0084.7761.2865.7370.0886.3081.1975.3590.5179.0372.2381.5177.8482.0477.1782.7583.4184.8181.3875.4076.3780.7082.8184.1373.9478.2073.6468.3060.9768.6361.8267.5660.3768.9062.4560.3161.7268.7169.43
-0.641.953.323.630.751.682.754.243.075.325.545.236.080.575.045.472.783.795.044.162.593.363.824.540.683.171.371.861.334.134.892.442.725.485.163.912.335.415.382.261.935.655.143.412.495.655.072.112.525.464.573.271.675.342.604.172.598.824.473.322.42-46.81
-0.802.464.224.660.972.193.415.283.876.767.156.717.920.757.067.493.895.417.316.013.805.005.776.991.075.002.202.701.494.645.542.763.096.275.894.522.716.306.352.712.336.866.354.273.167.226.512.633.166.865.784.232.207.143.605.913.7812.056.424.973.10-62.09
-0.421.211.912.080.430.912.203.322.294.053.833.944.350.413.253.862.042.813.373.291.962.542.833.330.492.200.961.491.073.413.392.032.144.193.983.101.764.283.851.651.434.393.602.591.884.203.681.711.994.243.452.491.203.671.582.581.645.862.691.481.01-18.56
-0.621.682.783.040.661.342.754.243.075.325.545.236.080.574.985.342.703.575.044.162.593.033.654.090.622.561.291.861.334.134.892.442.725.485.163.912.335.415.382.261.935.655.143.412.495.655.072.112.525.464.573.161.654.692.193.482.437.894.173.091.30-22.82
4.915.005.004.904.824.854.844.764.644.544.364.534.374.194.254.454.294.174.094.204.124.094.033.953.853.903.843.863.863.883.794.084.064.024.164.013.953.933.783.643.623.643.513.403.363.343.223.643.653.593.513.373.293.283.133.052.942.982.722.622.512.43
0.780.690.400.460.620.760.430.260.350.820.420.320.500.860.790.810.780.840.710.630.860.891.040.710.660.240.860.660.491.031.190.690.831.100.950.720.760.470.260.330.650.370.600.310.340.930.880.790.420.850.790.600.430.210.02-0.010.431.131.170.460.510.90
0.750.630.350.400.590.680.390.240.340.770.390.290.490.790.740.780.770.770.670.610.850.810.990.670.650.220.840.650.481.021.170.680.821.080.930.710.760.450.230.320.640.350.600.310.340.910.860.780.420.820.760.590.420.190.01-0.020.431.111.160.450.500.87