Ennis Financial Ratios for Analysis 2009-2024 | EBF

Fifteen years of historical annual and quarterly financial ratios and margins for Ennis (EBF).

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
5.964.774.444.223.955.255.524.984.355.385.114.494.363.873.344.15
-----0.090.100.110.120.270.230.140.200.130.120.21
-----0.100.110.120.130.370.290.160.250.150.130.26
29.8430.3528.6828.9929.4130.7831.6629.3530.1430.2526.5123.2725.2428.0926.1424.57
13.4415.3210.9010.0311.6012.5012.9211.7413.2314.326.117.5710.0012.8811.32-1.73
13.4415.3210.9010.0311.6012.5012.9211.7413.2314.326.117.5710.0012.8811.32-1.73
17.6119.3415.5915.0715.7616.5716.7615.3016.4317.238.7410.0812.3914.8613.600.48
14.0715.0410.499.3011.6912.4612.6711.2213.2214.325.867.249.5512.6210.75-2.24
10.1410.957.256.738.739.348.890.509.26-11.712.434.636.078.116.80-5.61
1.051.101.080.981.201.101.121.100.990.841.011.080.971.161.201.34
7.366.427.407.738.887.839.559.029.762.213.063.732.923.945.094.35
8.908.0710.259.4510.189.9310.389.5510.566.058.528.888.799.429.0410.16
41.0245.2335.6138.6335.8736.7535.1638.2234.5660.3242.8641.1041.5038.7340.3635.92
12.1814.279.548.0213.0112.9512.5210.5110.8112.113.636.848.7112.8411.24-11.22
19.6224.1917.0915.1424.6725.6023.0920.8317.7523.949.7015.9220.6928.9830.02-35.00
10.6712.017.866.6110.4710.319.948.158.277.602.464.995.899.428.14-7.51
12.1814.279.548.0213.0111.7311.239.399.538.812.825.906.9711.229.92-8.90
13.5612.8511.7811.5811.3611.1410.369.9111.6511.1514.0013.9113.8813.4512.1611.35
2.661.801.942.032.201.991.782.293.372.491.251.920.951.273.201.71
2.411.701.721.962.091.821.682.193.252.421.111.820.76-0.042.421.51

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
6.275.745.965.815.595.184.774.704.704.294.444.234.003.994.224.894.484.663.953.783.574.385.255.324.995.925.526.025.895.184.986.366.037.904.354.474.335.045.385.305.085.225.114.394.404.764.494.834.815.214.362.102.073.703.873.483.303.443.343.423.561.574.15
---------------------0.090.090.090.090.100.100.100.100.110.110.110.110.110.120.130.180.230.270.260.220.220.230.200.090.110.140.140.160.190.20--0.120.130.130.110.110.120.120.15-0.21
---------------------0.100.100.100.100.110.110.120.120.120.120.120.120.120.130.150.210.300.370.350.280.290.290.250.090.120.160.160.190.240.250.140.140.140.150.150.120.130.130.140.170.260.26
30.0729.9728.4029.1831.0030.5927.6130.3731.6631.5827.5328.3628.7730.1129.6030.3829.0426.8628.0529.4629.8330.2628.8931.2330.7632.3230.3132.0032.5231.7129.6928.5329.6329.5326.5230.4831.2230.96-8.3524.8525.1525.0625.4127.6527.1025.8525.3523.7324.5419.8221.8324.7726.1527.7127.4727.0927.7629.9728.1926.8526.0023.6822.10
13.3113.3213.2812.5413.7714.1115.9514.6715.5315.1610.5811.3510.7610.8810.6012.5010.306.6310.2612.2611.7812.0310.7912.9612.9413.349.2614.2314.5213.3912.8410.3712.0411.745.2514.0015.1914.37-176.31-54.8510.789.63-8.8511.3011.709.829.327.779.124.374.929.1112.1013.1511.3411.5313.5914.8713.0911.9711.528.81-51.23
13.3113.3213.2812.5413.7714.1115.9514.6715.5315.1610.5811.3510.7610.8810.6012.5010.306.6310.2612.2611.7812.0310.7912.9612.9413.349.2614.2314.5213.3912.8410.3712.0411.745.2514.0015.1914.37-176.31-54.8510.789.63-8.8511.3011.709.829.327.779.124.374.929.1112.1013.1511.3411.5313.5914.8713.0911.9711.528.81-51.23
---------------------------------------------------------------
14.3614.3014.2313.2114.3214.5215.7514.2215.2215.0010.0810.4910.6110.768.5112.2310.026.3510.4012.4211.8412.0510.8812.8512.9413.209.0314.0314.2913.0611.0310.2811.8011.735.8813.9915.1914.37-178.70-54.9310.479.03-9.1610.8711.509.758.947.368.644.294.319.0411.7212.4611.1111.2613.3514.5912.6811.4211.008.05-51.60
10.4110.3610.419.4710.2210.4511.8710.2410.9610.806.687.357.437.545.709.057.414.708.049.198.768.928.159.649.709.909.548.849.008.237.096.477.43-18.673.7810.9511.009.48-14.42-48.436.605.69-10.956.857.246.145.724.785.492.722.745.667.457.977.477.158.489.278.107.196.935.07-53.63
0.240.250.240.260.270.280.260.290.290.290.270.280.270.260.250.260.240.250.290.310.300.280.280.300.270.280.260.280.290.290.270.280.280.250.330.240.240.22-0.130.330.280.260.250.240.280.280.250.260.270.280.230.250.270.290.280.290.320.320.280.300.320.300.27
1.661.761.741.751.611.611.591.541.571.681.871.831.781.871.922.011.841.902.202.221.952.052.021.941.962.042.292.292.192.212.182.342.272.313.410.690.710.62-0.540.880.900.820.760.810.981.050.840.900.960.970.720.750.800.900.950.991.231.261.161.231.301.130.90
2.262.352.062.172.212.391.922.412.532.632.552.672.652.712.372.742.582.682.482.552.492.582.502.602.262.582.442.442.492.602.322.522.472.513.511.801.621.56-0.952.332.272.212.072.212.292.172.062.222.182.432.072.582.482.662.252.482.562.352.122.212.152.162.04
39.7438.3343.6141.4140.6537.7146.8937.3435.5134.1735.2433.7233.9833.1537.9232.9134.8333.5436.3435.2836.1334.8936.0734.6139.7434.9136.8536.9336.2134.5938.8535.6836.5135.8225.6650.0655.5657.82-94.9038.6939.7240.7443.3840.7139.3041.4643.7340.4641.3737.0543.5434.8836.2533.8139.9736.2735.1138.3242.4540.6741.8941.7244.08
2.883.022.902.853.183.453.683.513.873.772.192.472.442.411.712.822.181.432.913.513.223.302.843.623.343.483.123.193.343.092.872.322.692.301.622.873.283.0330.77-24.582.702.19-3.992.462.612.301.961.692.101.090.931.902.683.202.822.863.674.043.142.993.172.25-21.55
4.534.784.674.655.255.736.246.146.636.603.924.464.474.453.225.114.032.685.526.656.266.485.617.286.836.365.755.986.416.045.694.294.943.832.675.286.225.8560.85-45.597.005.68-10.647.335.755.134.563.904.892.582.204.045.736.986.376.728.9210.248.398.329.166.79-67.20
2.532.632.542.472.742.943.102.923.203.081.802.052.001.971.412.321.781.172.342.872.632.502.262.882.642.782.482.502.622.402.221.802.091.831.242.112.282.0119.33-16.011.831.48-2.701.682.011.741.431.241.500.760.631.421.992.332.072.052.692.962.272.162.231.50-14.42
2.883.022.902.853.183.453.683.513.873.772.192.472.442.411.712.822.181.432.913.513.222.992.573.283.023.132.802.862.992.762.562.072.402.051.432.492.702.3422.39-18.202.111.70-3.091.972.392.051.691.451.760.880.741.902.682.812.472.483.263.582.772.632.702.25-17.09
13.8013.6613.5613.4613.3113.0812.8512.4612.2311.9811.7811.7911.7211.6611.5811.4511.3411.2911.3611.5911.4011.2511.1411.0810.9510.5210.3610.2410.139.979.919.759.7711.2111.6511.7111.4511.2811.1511.3214.3314.1214.0014.6014.4014.2313.9114.0413.9513.7713.8813.9813.9613.7913.4513.1112.8112.5012.1611.9411.7111.4911.35
1.340.882.662.011.340.841.801.310.840.551.941.320.940.462.031.571.080.572.201.711.060.601.991.400.940.471.781.330.760.492.291.661.120.583.363.062.341.172.491.801.240.511.251.471.530.831.921.561.130.570.951.040.490.431.271.181.060.373.202.771.940.971.71
1.200.792.411.831.200.761.701.180.770.511.721.190.890.461.961.541.070.532.091.601.010.571.821.270.850.421.681.250.690.462.191.611.090.573.242.932.251.132.421.741.210.501.111.361.490.801.821.491.100.560.760.840.340.35-0.040.070.16-0.142.422.311.710.951.51