Eastern Financial Ratios for Analysis 2009-2024 | EML

Fifteen years of historical annual and quarterly financial ratios and margins for Eastern (EML).

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
202320222021202020192018201720162015201420132012201120102009
2.632.672.502.753.323.363.206.044.965.305.214.824.014.903.86
0.240.300.360.440.470.210.250.010.020.040.050.080.040.050.06
0.340.510.620.850.940.300.410.020.040.060.070.100.100.060.17
23.7520.9923.0324.3324.5725.0724.4126.4123.6923.0721.1621.1719.1520.5018.31
5.555.077.086.836.937.625.928.095.558.327.298.606.106.543.18
5.555.077.086.836.937.625.928.095.558.327.298.606.106.543.18
8.287.6610.0112.809.509.908.2310.868.2710.809.9810.798.699.576.82
4.025.167.746.696.447.515.618.165.558.197.108.405.956.341.69
3.144.413.792.745.276.192.475.663.965.444.845.483.854.260.92
1.091.070.930.720.901.291.161.111.191.161.251.361.341.271.12
3.523.413.023.473.483.333.272.982.993.153.664.233.883.673.75
7.386.515.716.216.647.747.537.598.268.078.758.077.417.927.35
49.4656.0563.8958.7455.0147.1848.4748.1044.1945.2141.7245.2549.2646.0749.65
6.488.7314.1210.5812.5814.975.809.447.2110.228.4712.057.967.911.56
21.0135.08115-2,715.93-223.1430.1812.0911.859.1913.3610.4515.4510.3210.322.08
3.414.236.084.014.738.002.866.274.706.326.067.455.165.421.03
4.936.089.075.916.6711.774.369.347.059.808.0511.117.637.511.46
21.3120.3518.2916.7016.8915.5513.8813.1812.7112.0113.1011.5111.1311.3710.98
4.221.20-1.242.323.662.051.781.991.461.501.812.190.231.532.23
3.201.00-1.522.022.931.191.341.531.060.920.931.52-0.310.771.86

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.602.632.632.602.892.692.672.922.972.662.502.742.802.792.753.233.653.423.323.223.503.503.363.262.983.593.203.163.246.196.045.745.565.914.965.525.505.495.305.335.545.545.215.525.375.634.824.765.004.854.014.345.365.214.904.634.835.103.865.155.035.40
0.230.230.240.270.290.280.300.350.370.360.360.410.420.420.440.460.470.470.470.480.160.210.210.220.230.240.250.250.260.010.010.010.010.020.020.030.030.040.040.040.040.050.050.060.070.070.080.080.090.090.040.040.040.050.050.050.050.060.060.120.130.15
0.320.330.340.390.440.470.510.600.650.630.620.750.810.790.850.890.940.930.940.970.220.290.300.310.380.340.410.410.420.020.020.030.030.030.040.040.050.050.060.060.060.070.070.090.090.100.100.100.110.120.100.050.050.060.060.060.070.070.170.180.200.21
24.8923.8426.7724.9522.1721.3816.6123.1522.9921.1220.2323.8222.8225.1126.2124.0426.1222.4426.3324.6124.4322.6826.0224.7924.7324.7625.3221.3426.7324.0935.0028.0023.3219.4028.9724.9321.3619.8924.8724.1422.3620.9623.7221.0921.7418.0621.6620.6022.2520.2119.8318.1719.5219.0320.8220.3721.1819.5720.7620.3420.2112.03
7.344.917.988.003.552.980.467.607.035.096.007.535.748.986.727.717.235.919.389.434.823.838.058.267.217.027.116.384.286.0411.149.758.422.906.839.522.313.728.3910.478.026.418.867.178.434.578.118.419.977.836.755.896.475.187.276.596.985.255.804.805.60-3.41
7.344.917.988.003.552.980.467.607.035.096.007.535.748.986.727.717.235.919.389.434.823.838.058.267.217.027.116.384.286.0411.149.758.422.906.839.522.313.728.3910.478.026.418.867.178.434.578.118.419.977.836.755.896.475.187.276.596.985.255.804.805.60-3.41
--------------------------------------------------------------
6.183.686.346.162.781.110.038.267.045.175.417.505.8812.066.897.506.855.787.829.045.353.388.018.127.076.896.925.823.816.2011.539.758.352.867.149.412.243.598.2910.347.886.248.696.978.264.357.948.189.757.626.625.776.335.007.086.406.785.032.074.004.87-4.12
4.802.875.254.672.050.840.546.785.804.393.399.33-7.309.463.815.36-4.784.437.236.914.122.587.746.575.355.22-0.313.982.534.217.767.175.661.965.066.981.582.375.916.794.874.195.615.255.542.904.815.616.335.053.854.054.173.315.004.394.333.261.323.233.00-3.81
0.290.270.270.260.270.280.260.260.250.250.220.220.220.220.130.210.150.230.240.220.330.320.310.320.330.340.310.320.340.290.270.270.300.280.280.300.310.310.280.310.300.320.300.290.340.300.310.350.370.370.360.340.350.320.320.330.330.320.280.270.280.28
0.970.930.830.810.920.990.890.820.790.800.760.860.970.860.630.860.520.920.930.870.940.910.790.840.920.910.860.970.960.840.650.710.830.750.660.750.830.860.750.880.880.940.850.891.040.950.951.091.091.071.020.991.000.930.921.030.970.990.910.940.870.93
1.731.581.811.531.631.631.611.411.501.471.381.551.741.461.171.631.181.641.811.391.911.881.871.882.001.962.001.972.011.811.881.761.881.851.971.841.861.911.971.931.901.972.101.841.981.851.832.012.041.951.971.631.801.811.991.871.971.861.831.871.821.71
52.0856.8149.7958.7455.2955.2255.8863.8959.8661.2565.1358.1851.5961.5277.2055.2176.5054.9349.6964.5647.0347.9648.1547.8845.0345.8845.0845.7144.8549.8447.8051.1947.8948.5745.7749.0448.4747.0145.6546.6147.4845.6342.7849.0345.5548.7349.0844.6844.2246.0945.6055.3349.9649.7245.2948.0345.7848.4949.2448.1149.5352.77
2.571.452.652.381.110.480.133.633.082.283.433.402.585.132.782.972.022.764.724.052.521.604.523.963.523.43-0.192.551.721.813.212.942.610.812.193.310.781.172.712.862.021.832.362.392.961.392.412.953.602.872.122.002.051.542.332.122.061.490.551.431.36-1.78
7.484.438.618.444.261.900.5316.7716.9314.6927.8231.3149.90232-714.50-62.31-67.57-53.49-83.64-45.154.813.159.118.217.596.94-0.405.323.672.254.033.713.321.032.794.271.011.523.553.502.482.252.913.023.751.783.093.734.593.692.752.552.632.003.042.772.711.990.741.951.87-2.46
1.370.771.401.190.550.240.061.631.350.981.471.330.982.021.051.160.771.031.771.501.360.822.422.121.771.76-0.101.270.851.212.131.941.700.541.432.090.490.721.682.081.471.321.691.531.870.881.491.952.371.851.371.371.441.071.601.461.421.030.370.880.83-1.07
1.981.112.021.750.780.340.092.361.941.452.202.021.482.971.561.621.071.472.502.112.121.273.563.082.712.61-0.151.911.281.793.182.902.580.802.143.220.751.122.602.761.941.752.242.242.761.292.222.723.302.612.031.921.961.472.212.021.951.410.521.261.18-1.51
21.9221.5821.3120.6220.2320.3520.3519.9519.3518.8918.2917.9117.0517.7116.7016.9916.4816.8716.8916.6116.0815.7915.5515.2414.7614.4313.8813.9913.6413.4313.1813.0412.7812.7212.7112.2112.0312.0012.0113.6413.4413.2013.1012.0811.8211.6011.5112.1311.7511.4611.1311.7811.7411.5411.3711.4411.1811.1410.9810.5810.4110.22
1.640.574.223.072.161.101.20-0.05-0.40-0.57-1.24-0.530.680.202.323.111.050.243.662.001.390.242.051.130.890.021.781.621.000.381.991.440.970.111.460.580.220.051.501.120.500.071.811.270.730.112.191.730.870.330.230.27-0.07-0.241.531.120.810.352.232.301.470.51
1.190.293.202.321.850.921.000.02-0.36-0.44-1.52-0.550.720.412.022.940.990.182.931.701.190.101.190.470.47-0.201.341.380.890.301.531.150.800.051.060.26-0.04-0.080.920.760.25-0.040.930.600.29-0.091.521.160.490.08-0.31-0.21-0.36-0.370.770.540.500.201.862.011.260.40