CSW Industrials Financial Ratios for Analysis 2014-2024 | CSWI

Fifteen years of historical annual and quarterly financial ratios and margins for CSW Industrials (CSWI).

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
20242023202220212020201920182017201620152014
2.862.992.562.652.543.082.843.824.933.43-
0.210.320.350.370.040.100.080.210.260.06-
0.270.480.540.580.040.120.090.270.350.13-
44.2441.9940.8644.0245.8346.0945.3544.8650.4548.2848.37
20.0718.3515.5514.1317.0717.2615.2211.1517.3116.8216.36
20.0718.3515.5514.1317.0717.2615.2211.1517.3116.8216.36
24.8223.0421.4319.6220.9121.2119.8015.9321.7020.8320.29
17.7216.6114.6012.1314.8717.5514.7911.1916.1017.1616.20
12.8212.7210.609.5711.8513.02-3.643.859.5411.3510.67
0.760.730.630.481.050.990.960.720.680.91-
2.932.722.472.293.893.674.153.632.562.87-
5.566.175.104.345.155.295.154.805.075.35-
65.6859.1271.5584.1970.8368.9470.9275.9771.9868.22-
16.6518.3714.359.6516.1417.4612.306.539.2314.59-
206-268.50-119.34-46.4132.1636.2824.9613.4623.4524.16-
9.839.266.764.5612.0913.069.594.476.0710.37-
13.1212.409.336.1015.5615.6311.305.166.8613.64-
39.6933.9729.8626.5418.7717.5316.7417.2216.4813.07-
10.557.814.374.384.603.842.752.462.652.271.38
9.736.923.394.203.933.822.442.072.062.350.53

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-03-31
3.822.732.862.772.832.992.992.952.922.722.562.552.862.652.652.813.052.842.542.982.943.123.082.813.182.872.843.033.123.213.823.755.005.464.935.673.89-----
-0.150.210.210.230.270.320.360.360.370.350.330.320.350.370.390.030.030.040.030.040.070.100.040.080.070.080.130.150.190.210.150.210.240.260.290.23-----
-0.180.270.260.290.370.480.550.560.590.540.500.480.540.580.630.040.040.040.040.040.080.120.050.080.070.090.150.180.240.270.170.270.320.350.420.37-----
45.5947.4944.4142.2844.6645.3243.6138.4642.1843.2341.7437.6740.6542.8040.2843.7446.4447.0045.1945.0246.7846.1646.8444.1746.0746.9843.3743.7646.9846.8947.8241.9444.5145.4290.9445.3348.7745.49-47.1448.72-
22.6224.3421.0315.7620.6222.2320.3213.5118.4720.4416.709.8716.7717.9212.504.5821.1417.8715.1512.5319.8619.8617.5712.1618.7819.8112.5811.5017.2418.6721.637.868.708.8123.587.9324.8116.07-15.9717.25-
22.6224.3421.0315.7620.6222.2320.3213.5118.4720.4416.709.8716.7717.9212.504.5821.1417.8715.1512.5319.8619.8617.5712.1618.7819.8112.5811.5017.2418.6721.637.868.708.8123.587.9324.8116.07-15.9717.25-
------------------------------------------
21.7323.3419.909.3719.9420.4118.5110.6216.8719.6415.938.9115.7716.867.983.4020.5217.1816.0911.1712.2919.2818.5912.2218.4120.2011.9011.2617.1517.9822.327.728.718.5620.396.8023.6815.25-16.0218.47-
15.8217.0615.065.2714.7615.0513.839.1212.7314.7310.646.8311.6812.697.082.6115.5813.1514.648.738.6714.8615.046.4316.5413.037.59-49.308.659.534.710.624.794.877.972.8215.489.73-10.4912.10-
0.170.220.200.180.200.200.190.160.190.200.170.140.170.180.150.100.270.250.270.220.270.280.260.240.280.260.240.200.210.220.150.180.210.220.060.170.21-----
0.680.760.780.670.750.710.680.590.640.700.670.670.830.880.780.501.080.811.000.801.021.020.950.861.011.021.100.850.860.930.690.710.900.910.040.710.78-----
1.691.581.481.671.611.601.591.661.521.391.411.501.451.441.381.201.501.271.321.451.471.401.381.541.491.371.321.341.271.250.971.311.371.430.441.541.48-----
53.4156.9860.8953.7655.8256.2456.4654.2959.2764.7663.7859.9262.2862.4765.2575.0660.1170.7368.4261.9161.0364.0665.0758.4060.5365.8668.3567.0270.8471.8392.9068.6265.4762.9520358.5960.66-----
3.555.985.201.585.145.545.163.115.036.353.952.134.094.802.270.585.414.214.772.493.085.545.172.364.775.233.991.013.113.632.940.691.441.560.080.785.13-----
8.3142.7664.3622.7489.33868-75.41-23.15-51.65-56.29-32.84-13.11-36.68-28.00-10.92-2.379.848.139.514.836.1411.6210.734.779.5810.368.102.137.319.076.051.543.293.780.192.0711.11-----
2.693.703.070.942.983.012.601.482.382.911.861.032.032.291.070.274.183.223.581.912.374.183.861.893.754.133.110.762.272.522.010.511.001.050.050.493.29-----
3.555.084.091.253.974.033.482.003.234.012.571.412.773.131.440.365.244.074.602.402.975.154.622.264.414.883.670.882.642.942.320.591.141.180.060.553.93-----
61.3641.8539.6937.9337.7736.0333.9732.2331.2830.1629.8628.9828.4627.4026.5425.7320.4519.3018.7719.3719.0618.4317.5316.7717.0317.0216.7416.3618.4917.9017.2217.1516.9516.7216.4816.4116.23-----
8.124.0210.559.106.093.237.815.423.061.074.374.382.711.204.383.583.020.964.603.932.440.623.843.251.590.562.752.471.600.662.462.061.200.242.652.441.370.650.002.051.260.00
7.593.829.738.475.702.916.924.892.770.953.393.862.391.134.203.172.720.833.933.512.220.473.823.291.650.692.442.231.440.552.071.720.910.082.062.061.180.54-2.151.49-