Cintas Financial Ratios for Analysis 2009-2024 | CTAS

Fifteen years of historical annual and quarterly financial ratios and margins for Cintas (CTAS).

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
1.742.391.841.472.611.982.551.731.953.412.872.922.283.923.964.22
0.320.390.430.310.440.460.460.550.360.400.370.370.330.360.240.25
0.570.640.850.690.790.950.841.360.700.670.590.590.600.560.310.33
48.8347.3446.2446.5845.6445.3944.9144.7143.8243.3241.7241.2942.3842.2342.2241.09
21.5620.4520.2119.4716.4116.4514.6714.5316.0315.6514.3713.3313.1611.5611.0210.84
21.5620.4520.2119.4716.4116.4514.6714.5316.0315.6514.3713.3313.1611.5611.0210.84
26.1725.0925.3024.9221.7621.6718.9818.2319.4819.1918.9217.7917.8916.6316.4616.14
20.5719.2119.0818.1014.9415.9912.9912.9114.7114.6612.8111.7911.4810.319.699.58
16.3115.2315.6615.5012.3612.8413.019.0314.469.858.937.437.216.486.086.00
1.051.030.960.860.920.930.930.781.171.040.940.980.980.880.891.01
11.979.168.947.899.4211.2512.7310.5810.8110.959.7310.379.418.8212.0910.99
7.717.657.647.708.147.517.866.828.758.798.258.418.678.249.399.85
47.3247.7447.7747.3944.8448.5946.4553.5041.7241.5244.2543.4242.0944.3238.8837.05
36.4134.8937.3530.1327.0929.3925.9919.8624.3520.8315.4014.3813.9110.738.519.56
201292-977.52303-1,014.92-264.01-208.42-42.8891.8557.9738.8353.5051.5934.6720.0824.83
17.1415.7715.1713.4911.4311.8711.276.6810.949.607.577.297.145.685.436.08
24.7821.2321.3420.8415.1815.9314.129.0115.5412.459.679.049.316.886.507.18
10.669.508.138.867.827.277.095.464.374.334.684.504.234.184.143.87
5.033.863.643.163.022.442.201.771.061.231.251.110.900.580.930.86
4.043.063.112.902.511.811.581.140.430.770.950.720.590.270.740.59

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.531.742.382.242.562.392.101.861.721.841.021.221.091.472.342.062.442.612.341.922.041.982.241.993.102.552.161.771.841.731.732.142.241.952.051.811.813.412.952.523.172.873.012.633.052.923.012.743.972.282.512.212.403.923.382.893.823.963.454.244.264.223.21
0.340.320.370.380.380.390.410.420.430.430.290.270.290.310.380.390.390.440.430.450.450.460.440.460.430.460.470.500.500.550.250.340.340.360.350.350.360.400.390.370.360.370.370.380.370.370.380.390.380.330.330.340.330.360.250.250.240.240.240.240.240.250.25
0.660.570.580.670.610.640.750.850.930.850.870.690.790.690.670.710.700.790.820.880.940.950.870.900.760.840.941.111.111.360.530.550.610.700.670.680.700.670.630.590.570.590.580.610.600.590.610.630.610.600.580.610.610.560.330.330.320.310.320.320.320.330.34
50.0549.1949.3748.0248.7447.6647.2247.0147.4645.6145.8146.0547.5946.8045.5546.6647.3043.7045.5346.2346.8845.9144.8945.1145.6345.0644.0844.5945.8844.3544.6044.4745.5145.2143.1443.2643.7244.2642.8742.8643.3741.5742.2741.5641.4540.9541.0940.7442.4142.1342.0842.1743.1642.7941.7941.7142.6142.4041.7341.8142.9438.0541.43
22.4322.1621.6421.0221.3720.6120.4020.4620.3219.4920.7919.8320.7819.4218.3720.0820.0212.8117.3818.1416.9017.5316.5416.0415.6215.9012.5914.6415.4611.5915.2915.7716.1016.3715.8716.4315.4715.9315.6616.1614.8318.7813.4713.5412.6914.6112.3713.1113.2513.3713.5913.0212.6412.7311.6110.9310.8511.169.7512.0311.092.4613.13
22.4322.1621.6421.0221.3720.6120.4020.4620.3219.4920.7919.8320.7819.4218.3720.0820.0212.8117.3818.1416.9017.5316.5416.0415.6215.9012.5914.6415.4611.5915.2915.7716.1016.3715.8716.4315.4715.9315.6616.1614.8318.7813.4713.5412.6914.6112.3713.1113.2513.3713.5913.0212.6412.7311.6110.9310.8511.169.7512.0311.092.4613.13
---------------------------------------------------------------
21.4521.3320.6219.9320.3419.5219.1019.1419.0418.3919.6718.7019.6318.0916.9918.7018.6211.2215.9616.7415.4016.1114.9518.6514.2214.4410.9812.8513.598.6314.2014.7314.9915.0414.5715.1214.1114.3614.2014.7515.3116.8811.9912.0811.1913.0510.8611.5911.6811.7011.9211.3210.9711.5510.309.679.589.868.4510.649.781.1211.82
18.0716.6516.4615.7016.4415.1014.8214.8516.1614.1316.0115.2517.3714.5014.4316.1017.059.3212.8313.2313.7412.9011.7814.1412.5211.1519.018.5413.485.509.4011.0410.9011.279.6528.318.3610.168.5610.729.9914.827.627.557.078.216.907.367.267.377.467.306.716.996.305.976.636.105.686.466.050.467.90
0.280.270.270.270.270.270.260.260.260.250.240.240.240.220.210.210.220.210.230.230.240.240.230.230.230.240.230.230.240.220.290.300.300.280.290.270.290.250.260.240.240.190.250.260.260.240.250.250.250.250.240.240.250.230.240.240.240.230.220.230.240.240.24
3.133.062.702.602.412.362.182.242.402.392.182.232.142.031.811.751.892.232.792.852.862.902.732.933.043.273.233.263.083.062.562.682.632.552.712.752.812.552.702.722.502.002.502.632.622.602.572.662.512.432.132.052.062.322.352.622.883.092.993.092.752.692.11
1.931.991.911.871.961.981.931.892.002.021.831.812.021.991.801.822.021.861.871.891.971.951.831.832.012.031.982.012.201.962.032.092.162.122.212.222.262.082.202.202.251.692.102.162.152.102.112.122.292.232.122.222.322.192.182.252.412.412.312.292.482.292.36
46.5545.3247.2148.2346.0145.4246.6947.5744.9844.5949.1549.8444.5345.3050.0149.5444.6548.3748.0347.5445.5946.0449.2549.2744.7944.4345.3644.7840.8645.8944.4143.1041.6642.4740.7640.5439.8743.2140.9640.8739.9553.2942.9141.6841.8542.9542.7142.4439.3240.4142.4240.6238.8541.1441.2039.9937.4037.4038.9039.2836.2539.2538.13
11.249.609.399.389.448.968.979.4510.898.909.588.2710.017.266.777.928.324.477.057.948.227.536.328.036.356.2810.225.406.283.575.376.026.855.956.016.005.744.794.904.714.664.183.763.933.523.963.513.753.563.683.463.543.253.072.392.332.482.191.982.292.230.173.10
92.8852.9857.9768.8060.8975.061401,276-188.04-232.93-223.40123-1,675.0173.0851.37103108-167.45-1,613.03-113.17-88.98-67.65-113.71-71.57-531.65-50.33-61.20-16.71-19.50-7.7014.7819.0922.5422.4620.2519.8821.2013.3412.4110.6610.2010.5313.4416.0413.5314.7214.4616.6812.9413.6312.1013.9712.909.936.766.536.345.174.835.445.540.458.32
4.984.524.434.254.424.053.853.854.263.613.863.684.213.253.103.373.731.892.973.123.273.042.703.282.922.724.271.972.351.202.742.893.272.682.772.592.582.212.352.212.322.051.921.931.802.001.771.851.851.891.791.761.661.631.491.421.571.401.241.471.430.111.93
7.476.535.935.795.875.455.325.486.155.086.806.017.125.024.234.845.092.504.004.374.494.083.514.373.613.415.452.713.161.624.003.974.493.803.913.883.662.873.002.962.962.622.382.452.212.492.172.302.222.462.342.352.161.971.801.761.881.671.501.741.680.132.31
9.9710.6610.439.8510.009.508.938.447.958.138.048.598.018.869.088.578.627.827.997.497.387.277.587.207.827.096.785.996.045.465.184.824.744.374.554.454.204.334.484.704.864.684.674.484.554.504.344.224.304.234.234.054.084.184.254.124.174.144.054.083.973.873.80
1.145.033.361.770.813.862.521.500.723.642.341.400.623.162.091.330.733.022.171.330.652.441.550.780.372.201.500.860.591.771.120.700.371.060.680.600.321.230.800.620.311.250.800.460.171.110.740.460.190.900.590.340.110.580.360.190.060.930.700.480.240.860.56
0.914.042.611.280.563.061.981.140.553.111.981.140.542.901.941.190.662.511.761.040.501.811.070.470.221.581.050.560.441.140.610.340.180.430.200.330.180.770.460.380.170.950.560.300.090.720.440.260.090.590.370.190.020.270.110.04-0.020.740.570.400.200.590.34