Eastside Distilling Financial Ratios for Analysis 2014-2024 | EAST

Fifteen years of historical annual and quarterly financial ratios and margins for Eastside Distilling (EAST).

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
2023202220212020201920182017201620152014
1.080.511.490.422.369.904.422.430.484.02
0.76---0.290.14----
3.84-5.300.49-9.240.650.160.060.00-0.440.10
10.1117.5823.4825.8634.9137.7337.4239.2748.8853.11
-45.91-47.89-55.67-58.44-85.61-134.91-184.98-203.86-208.00-383.91
-45.91-47.89-55.67-58.44-85.61-134.91-184.98-203.86-208.00-383.91
-32.87-28.62-43.05-37.26-70.84-122.54-169.56-186.44-205.89-75.79
-71.77-117.16-48.85-68.87-112.95-147.75-202.14-246.63-211.50-384.26
-73.20-118.25-36.40-70.39-145.43-147.75-202.12-249.08-211.50-384.40
0.600.650.370.440.320.230.290.831.320.52
2.942.581.461.541.060.350.401.641.271.31
18.7816.618.5720.188.785.758.286.1111.977.65
19.4321.9842.5818.0841.5763.4344.0859.7230.4947.74
-883.361,073-45.18871-179.07-48.25-102.51-586.21339-256.44
1812242,69163.69178-49.07-110.08-458.99339-256.44
-43.11-75.74-18.04-30.40-36.61-34.33-58.46-204.07-278.75-198.25
-212.071,073-45.18871-127.55-41.72-102.51-458.99339-256.44
0.50-1.8718.12-2.1315.1642.7921.068.91-27.6341.72
-1.68-1.14-9.36-6.00-19.68-45.83-37.72-79.47-31.15-38.97
-1.59-4.16-9.60-5.80-24.38-50.10-41.25-79.61-32.46-40.34

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-31
0.290.301.081.430.280.280.510.640.831.341.491.841.281.050.420.441.031.262.364.004.674.889.909.777.675.534.4210.036.053.482.431.061.15-0.48----
--0.780.53-------0.190.22-----0.290.180.160.140.140.130.29--------------
-6.45-23.564.241.33-3.94-5.24-5.300.670.510.540.490.590.750.76-9.2411.374.191.700.650.250.210.200.160.170.490.060.060.010.02-0.00-0.020.43--0.44----
5.187.71-5.8917.160.9822.47-6.416.3829.9025.3223.0526.8226.3917.252.1234.9439.0524.90-54.4839.4137.4932.8118.7540.4449.9148.5831.3337.8634.7847.2836.4133.0845.6843.67100.0052.4248.21100.00-
-40.04-43.55-75.72-22.19-52.69-43.46-84.15-65.50-23.18-43.58-65.69-46.90-40.44-73.03-52.02-40.72-49.90-101.13-487.35-77.92-72.40-80.89-164.64-140.10-118.15-103.47-181.56-221.66-197.24-140.17-170.13-242.98-218.22-185.51100.00-398.40-225.11100.00-
-40.04-43.55-75.72-22.19-52.69-43.46-84.15-65.50-23.18-43.58-65.69-46.90-40.44-73.03-52.02-40.72-49.90-101.13-487.35-77.92-72.40-80.89-164.64-140.10-118.15-103.47-181.56-221.66-197.24-140.17-170.13-242.98-218.22-185.51100.00-398.40-225.11100.00-
---------------------------------------
-50.41-53.63-106.79-72.28-61.74-56.01-420.49-91.80-36.81-54.44-85.39-59.03-49.96-7.15-70.14-46.07-58.67-111.57-1,648.94-80.56-75.53-84.09-169.16-176.39-125.00-108.09-216.19-228.22-213.07-147.24-237.62-259.20-265.20-223.12100.00-401.22-226.03100.00-
-51.66-55.21-108.64-73.55-63.13-57.34-422.13-93.08-37.55-55.45-86.85-130.90-51.32118-69.76-43.98-60.07-120.47-3,055.76-82.69-78.85-87.71-169.13-176.42-125.05-108.05-215.62-228.27-212.82-148.06-239.99-262.74-268.79-223.12-68.13-401.22-226.03-0.20-
0.180.140.110.160.140.140.110.100.150.110.080.110.130.110.110.120.110.080.010.110.140.120.070.080.110.130.090.070.130.210.240.290.22-0.76----
0.920.700.660.690.730.550.550.560.650.460.310.390.400.420.500.250.210.200.050.210.200.200.140.090.100.120.130.160.260.320.490.420.34------
2.903.583.582.742.873.322.763.263.882.981.792.402.263.154.963.063.122.490.182.021.691.801.782.052.623.012.463.212.451.701.761.451.85-6.91----
31.0125.1225.1332.8631.3227.1332.5927.6023.2230.2050.1737.5539.8128.5618.1629.4028.8136.1748744.6553.3050.1050.6943.8334.2929.9136.6128.0636.7152.9251.2762.2048.52-13.03----
76.94272-250.65-81.2440.6953.11640-30.52-15.43-16.16-16.53-16.75-19.83-2.71218-202.53-87.36-75.89-54.98-25.03-18.18-15.71-17.05-20.87-39.19-27.27-32.55-21.91-62.67-48.82-162.2399.46278-62.90----
22.1024.0451.4976.4817.0918.4413362.7097.8122198478.0333.404.0015.9313.9617.7731.5654.71392-22.49-18.98-17.34-21.43-42.12-29.41-34.95-24.14-88.94-59.21-127.03209-458.91-62.90----
-8.97-7.60-12.23-11.48-8.34-7.89-45.21-9.13-5.63-5.92-6.60-6.43-6.33-0.80-7.60-5.61-6.33-9.47-11.24-9.15-10.76-9.68-12.13-14.20-14.10-13.67-18.56-16.63-28.59-30.59-56.48-76.18-57.41--51.79----
76.94272-54.89-38.4240.6953.11640-30.52-15.43-16.16-16.53-13.50-15.40-2.71218-202.53-87.36-75.89-39.16-20.62-15.28-13.50-14.74-18.07-27.94-27.27-32.55-21.91-62.67-47.55-127.03209-458.91-62.90----
-1.10-0.280.501.73-4.17-3.61-1.8711.5915.0116.7118.1216.0513.9814.29-2.131.804.888.7715.1628.9933.8939.4342.7934.9418.6119.1721.0626.6912.3112.638.91-8.653.65--27.63----
-0.65-0.05-1.68-1.55-0.75-0.52-1.140.200.35-0.18-9.36-4.06-0.262.34-6.00-5.65-4.22-2.72-19.68-17.17-13.59-8.52-45.83-33.10-26.22-10.35-37.72-21.99-16.92-8.62-79.47-39.46-32.77-7.16-30.73-32.53-24.260.000.00
-0.60-0.04-1.59-1.57-0.66-0.55-4.16-3.02-2.90-2.05-9.60-4.18-0.392.46-5.80-5.24-4.05-2.80-24.38-22.20-18.24-10.87-50.10-36.12-28.91-11.75-41.25-23.83-17.86-8.92-79.61-39.55-32.92-7.34-32.03-33.65-24.61--