Designer Brands Financial Ratios for Analysis 2009-2024 | DBI

Fifteen years of historical annual and quarterly financial ratios and margins for Designer Brands (DBI).

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
1.251.241.201.041.322.062.662.402.462.642.862.992.821.762.702.87
0.540.390.350.530.210.16----------
1.190.650.551.380.260.19-------0.28--
31.7032.5533.4313.9328.6229.5428.4828.8729.3230.2531.2132.1032.3031.0429.1725.91
2.355.656.42-26.243.641.864.467.368.159.7110.1910.497.486.62-2.492.93
2.355.656.42-26.243.641.864.467.368.159.7110.1910.497.486.62-2.492.93
4.518.108.86-22.306.134.347.3410.4011.1712.8313.3413.3610.559.640.655.42
1.314.815.41-27.243.430.344.497.458.409.8410.3010.667.036.13-3.343.03
0.954.914.83-21.872.71-0.642.404.585.196.146.396.498.630.98-1.631.84
1.481.651.591.131.421.961.971.901.911.741.671.791.681.751.882.03
3.683.693.634.073.943.474.003.873.823.864.103.894.104.074.334.44
36.7942.6416.0011.4039.1846.1414614316910288.8984.30119138290204
9.928.5622.8232.029.327.912.502.552.153.574.114.333.062.641.261.79
8.1337.5837.46-201.1013.11-2.467.0613.2715.0315.1315.1516.9125.4710.60-12.505.78
19.1453.5250.95-365.4616.17-2.947.2615.1215.4815.5315.5617.4426.3411.19-13.156.12
1.418.097.67-24.733.83-1.264.758.719.9410.6410.6511.5016.594.98-7.713.73
3.7522.7824.22-94.8410.37-2.067.0613.2715.0315.1315.1516.9125.4710.60-12.505.78
6.286.805.623.3610.0510.6211.9411.6911.0511.4411.059.549.0811.185.985.29
2.562.792.22-2.132.642.192.372.592.772.173.282.852.882.943.161.10
1.692.031.79-2.561.591.371.671.531.601.092.341.371.881.862.620.17

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.291.291.251.181.231.291.241.431.351.321.201.101.041.081.040.931.151.301.321.441.421.502.062.582.602.702.662.732.982.522.402.452.452.382.462.272.782.772.642.532.523.032.862.862.563.032.993.013.483.152.822.461.623.131.763.012.882.742.702.452.962.682.87
0.560.570.540.490.420.470.390.520.520.420.350.300.370.510.530.430.490.440.210.240.240.240.16----------------------------------------
1.311.331.190.970.720.890.651.081.070.740.550.580.791.281.380.910.970.790.260.320.320.310.19-----------------------------0.32-0.28--------
32.7732.8227.4932.6134.5132.0429.1933.0434.4133.2030.9036.7534.8330.7322.1625.377.56-5.4824.8129.2730.5129.7024.2832.7032.1929.0526.4329.5529.3728.6626.6830.4028.3630.0024.5629.9030.5032.5027.5832.6329.2831.3927.9633.6332.6430.4328.9033.7731.2834.4828.4233.9732.6634.1828.4732.5430.2832.7829.2033.1026.4727.2120.65
3.701.26-4.773.587.662.640.277.467.876.402.7312.227.512.42-11.13-8.97-27.76-67.10-1.696.014.825.04-6.816.373.085.404.750.476.865.877.159.036.017.152.549.529.5011.227.5111.929.0810.237.8513.949.609.037.6913.239.2411.707.7715.245.450.926.413.5213.5410.936.2810.063.073.14-3.39
3.701.26-4.773.587.662.640.277.467.876.402.7312.227.512.42-11.13-8.97-27.76-67.10-1.696.014.825.04-6.816.373.085.404.750.476.865.877.159.036.017.152.549.529.5011.227.5111.929.0810.237.8513.949.609.037.6913.239.2411.707.7715.245.450.926.413.5213.5410.936.2810.063.073.14-3.39
---------------------------------------------------------------
2.26-0.31-6.102.446.861.71-0.306.887.554.501.7211.346.501.28-12.45-10.35-28.39-67.57-1.875.784.614.79-6.946.46-2.785.204.940.546.865.747.239.116.127.252.669.649.6211.877.6212.039.1910.397.9514.119.699.087.7313.679.3411.787.7815.034.420.305.793.4012.8311.115.729.993.373.10-3.49
1.790.10-3.941.294.701.545.935.225.383.151.759.405.242.42-21.99-6.23-20.06-44.71-0.914.653.203.57-5.464.72-4.823.411.660.564.203.304.465.593.804.411.755.906.007.234.817.405.856.454.918.686.005.744.578.455.727.143.7710.1129.37-7.570.03-0.686.486.713.335.992.051.85-2.16
0.370.350.360.370.370.350.380.400.410.400.410.410.420.350.310.290.220.200.340.370.330.340.520.560.550.500.510.490.470.470.480.490.450.470.490.460.410.430.450.460.410.420.400.450.410.470.470.460.390.440.430.450.400.480.450.510.460.510.470.520.490.510.48
0.810.810.960.880.860.790.890.850.810.830.970.901.060.901.000.891.020.950.990.970.840.960.980.900.900.941.050.920.910.861.000.860.850.851.050.900.860.861.030.931.000.981.040.990.941.061.070.930.960.981.100.931.010.991.080.990.941.051.091.031.031.011.13
15.547.729.027.358.147.409.783.784.193.744.123.694.103.293.1110.569.955.899.3110.7010.0511.1612.1655.9046.0852.4737.4034.8238.5041.0335.8632.6134.8144.5443.4636.4433.7327.1126.2325.1721.0726.3021.4826.5425.8530.5522.1922.5820.6629.7330.2235.7232.5140.7035.5344.7640.3172.5672.8282.3862.7052.3748.44
5.7911.669.9712.2411.0612.169.2023.8021.4624.0921.8624.4021.9527.3228.968.529.0515.289.678.428.958.077.401.611.951.722.412.582.342.192.512.762.592.022.072.472.673.323.433.584.273.424.193.393.482.954.063.994.363.032.982.522.772.212.532.012.231.241.241.091.441.721.86
3.960.25-8.242.638.102.5810.4211.7812.806.283.4920.3713.786.48-55.14-10.97-24.15-43.34-1.055.853.764.09-5.494.17-4.172.531.250.422.932.403.244.222.663.221.303.823.534.523.054.983.433.782.815.603.623.863.165.843.254.523.106.9623.25-3.411.171.276.105.422.555.191.561.51-1.62
10.160.63-19.405.6414.794.9514.8416.6918.718.654.7528.2321.2711.13-100.21-15.56-33.03-55.27-1.297.174.634.95-6.564.39-4.392.601.290.433.312.733.704.823.053.701.343.923.624.633.135.113.523.872.895.753.733.983.266.023.354.663.217.2024.26-3.541.231.336.395.692.695.501.671.61-1.71
0.670.04-1.430.481.730.532.242.082.201.250.723.832.200.84-6.78-1.83-4.32-8.85-0.311.711.071.22-2.822.67-2.651.700.840.281.981.542.132.721.722.060.862.702.483.112.153.422.372.701.983.952.472.692.153.852.243.062.024.5312.22-2.240.550.823.943.401.573.101.010.94-1.04
1.730.11-3.801.344.731.376.325.656.183.622.2614.348.653.17-26.00-6.30-12.28-24.22-0.834.442.843.13-4.614.17-4.172.531.250.422.932.403.244.222.663.221.303.823.534.523.054.983.433.782.815.603.623.863.165.843.254.523.106.9623.25-3.411.171.276.105.422.555.191.561.51-1.62
6.416.206.286.837.206.706.806.035.595.775.625.374.263.613.365.125.626.9110.0510.3610.0410.1510.6211.7311.4511.9811.9411.9212.1711.8311.6911.4911.4711.3811.0511.8712.0111.8311.4411.2911.1211.2511.0510.8210.299.909.549.6010.109.709.088.937.987.7211.187.056.636.335.985.815.485.385.29
0.37-0.332.563.302.010.342.790.550.15-0.532.222.131.24-0.02-2.13-1.47-1.10-0.552.641.620.46-0.042.191.791.330.312.371.720.550.092.591.340.740.122.771.641.280.552.171.461.070.163.282.221.600.462.851.951.120.402.881.460.930.392.921.270.300.231.501.440.410.171.10
-0.13-0.601.692.611.630.122.03-0.06-0.22-0.691.791.841.07-0.09-2.56-1.84-1.41-0.751.590.80-0.08-0.361.371.200.930.091.671.230.20-0.141.530.460.11-0.201.600.740.710.251.090.660.55-0.122.341.481.110.231.371.070.600.141.880.840.440.011.840.51-0.090.151.241.230.240.080.17