Enersys Financial Ratios for Analysis 2009-2024 | ENS

Fifteen years of historical annual and quarterly financial ratios and margins for Enersys (ENS).

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
2.462.642.702.502.602.513.133.042.872.782.242.472.332.252.132.23
0.310.390.450.390.460.430.330.350.370.320.190.120.190.200.290.34
0.470.670.870.650.880.810.500.550.620.490.260.150.250.260.450.56
27.4422.6522.3424.8225.4224.6825.5027.5426.4125.5825.4525.0022.4522.9022.8520.96
9.827.516.147.276.167.5710.4910.029.0710.517.8610.979.239.367.247.22
9.827.516.147.276.167.5710.4910.029.0710.517.8610.979.239.367.247.22
12.389.969.0010.4310.279.8212.5912.8112.8413.7410.2513.1911.4411.6210.089.61
8.165.685.185.714.766.499.238.997.859.956.6210.118.387.715.526.04
7.514.744.294.814.445.714.636.775.887.236.087.316.315.773.944.15
1.031.030.900.860.940.901.041.031.051.171.071.151.191.070.961.32
3.733.603.644.324.434.204.644.765.155.535.104.834.894.524.797.45
6.835.814.674.935.184.504.734.864.724.844.385.084.894.234.125.54
53.4762.7778.2273.9870.4381.1377.2375.0477.3475.4983.2871.8174.6186.2388.6665.90
15.3210.969.649.2910.5112.499.9814.2812.9417.3811.7214.0413.8311.597.9412.15
35.6531.0236.3035.2274.3496.0117.0925.2926.0935.1422.4522.7224.7821.1416.5327.94
7.764.863.854.144.155.154.826.905.958.506.328.307.486.203.775.49
10.516.645.265.705.697.116.739.338.1111.819.5312.4011.279.235.628.05
43.6339.2136.4336.1030.8130.1728.6625.5123.5823.7026.6824.5721.7719.5716.1414.06
11.056.77-1.538.295.914.604.895.596.764.053.895.034.151.532.804.44
9.014.64-3.236.683.592.993.294.475.562.762.673.893.160.341.903.49

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
2.702.462.672.692.762.642.792.923.072.702.962.922.812.502.782.762.812.602.562.902.542.512.913.403.333.133.473.433.233.042.952.983.022.873.002.852.272.782.842.672.332.242.532.582.582.472.602.602.552.332.162.162.262.252.342.272.282.132.242.272.312.23
0.320.310.340.360.350.390.420.480.490.450.440.410.390.390.410.420.440.460.440.460.430.430.450.330.330.330.380.390.350.350.360.360.370.370.380.390.290.320.310.270.210.190.180.110.120.120.150.170.200.190.210.220.200.200.250.270.290.290.300.310.320.34
0.500.470.530.590.560.670.740.940.990.870.810.710.680.650.710.750.830.880.820.870.780.810.830.510.520.500.630.650.560.550.600.580.600.620.620.660.580.490.460.390.290.260.250.140.150.150.200.220.260.250.280.310.260.260.370.390.440.450.460.480.510.56
27.9527.9228.8626.5926.4524.8623.2221.6720.6421.4521.8422.4723.7124.2525.2125.0624.8225.6824.2625.8925.8325.3924.2024.3624.6424.5125.3925.9626.2526.8627.6528.0027.6926.2525.4327.2226.7625.1725.7125.8025.6426.7625.9925.3823.4624.3025.7824.9624.9724.5422.7920.9121.4322.7423.1823.4222.2121.4223.3424.1322.7622.97
10.718.8810.759.839.849.648.536.035.584.916.066.287.476.357.477.827.552.575.647.708.764.397.359.599.579.9210.4410.4311.248.489.7610.9210.994.249.6710.4612.286.8211.2312.7111.311.809.1710.7210.489.9610.7211.3511.8311.119.367.768.569.779.509.418.626.899.166.855.742.95
10.718.8810.759.839.849.648.536.035.584.916.066.287.476.357.477.827.552.575.647.708.764.397.359.599.579.9210.4410.4311.248.489.7610.9210.994.249.6710.4612.286.8211.2312.7111.311.809.1710.7210.489.9610.7211.3511.8311.119.367.768.569.779.509.418.626.899.166.855.742.95
--------------------------------------------------------------
9.307.319.138.158.097.656.294.484.094.295.085.046.425.315.845.855.900.944.276.357.512.976.318.828.558.759.498.939.797.198.9810.069.832.818.549.4511.036.3310.5612.5610.370.797.189.919.379.159.6610.7810.8210.288.337.027.747.208.467.917.255.517.475.093.611.11
8.226.698.847.247.356.664.833.833.453.104.304.505.394.165.145.044.99-0.193.588.236.232.337.127.186.847.91-3.927.007.745.396.437.927.421.516.717.038.614.208.058.947.751.938.607.276.846.597.037.907.717.656.425.175.885.496.645.615.293.965.503.512.470.64
0.240.260.250.260.260.270.260.250.240.240.240.230.230.230.220.210.210.240.230.230.250.260.210.270.270.270.270.250.260.270.250.250.270.280.250.250.240.290.270.270.270.290.290.280.300.290.280.280.310.310.310.300.300.300.290.270.270.270.250.230.220.26
0.860.940.810.850.830.930.850.870.921.000.980.961.101.191.091.031.041.121.041.111.111.181.031.261.281.241.171.081.201.271.101.121.241.361.251.201.161.401.171.201.231.351.321.211.371.221.091.131.271.241.271.251.251.261.281.201.221.391.281.221.241.45
1.681.741.731.681.601.551.581.271.291.261.331.351.401.351.371.421.381.311.321.301.261.281.121.271.291.251.331.231.241.291.271.241.321.251.241.181.111.221.211.121.131.181.201.221.281.281.211.171.241.271.271.151.211.181.211.131.231.171.131.041.031.10
53.6051.8552.0753.5956.1257.9956.9070.5969.7971.3967.8266.4864.1666.7765.6063.5064.9968.6068.1769.0971.6770.5180.3970.8069.5371.9967.6073.3272.5969.8870.9372.2968.3572.2472.6876.3780.7674.0474.5180.5679.5376.3874.8874.0070.4670.4974.3076.7872.5170.8771.1478.0174.0876.2174.3679.6573.0276.6479.9286.1587.5681.54
3.873.474.403.923.974.112.902.442.151.882.402.262.802.192.522.492.58-0.121.994.753.751.443.703.943.914.51-2.293.794.143.043.503.984.330.583.673.924.372.544.374.783.951.024.123.313.413.213.313.794.324.353.783.003.273.073.723.072.952.272.941.691.160.37
8.558.0710.8210.2010.4411.649.069.028.357.099.027.7910.198.3110.0311.8314.79-0.8316.2328.0826.2511.0926.346.576.657.72-4.116.727.175.396.567.548.611.177.698.568.485.148.819.387.561.967.645.235.485.195.436.327.547.806.975.545.785.616.795.886.044.736.043.592.520.85
1.971.762.171.871.921.821.240.950.830.751.011.011.270.981.111.071.07-0.050.821.911.530.591.511.911.882.18-1.041.762.011.471.651.892.020.271.691.752.041.242.182.462.110.552.342.022.051.901.932.172.372.352.011.561.791.651.911.531.441.081.400.800.540.17
2.622.382.922.502.582.491.681.271.101.031.341.341.701.351.491.441.44-0.061.112.572.140.822.022.632.613.04-1.422.312.681.992.232.552.720.362.292.403.101.733.033.493.130.833.382.943.012.832.803.153.473.553.002.332.632.452.772.252.101.612.061.170.780.25
45.0143.6342.8240.8041.0239.2137.4934.6535.3936.4336.3036.9236.8736.1035.9333.7132.1530.8132.3831.2030.5230.1730.5328.5427.9328.6626.7327.0626.9125.5124.4024.7823.7223.5823.4822.8624.6723.7025.3226.0226.6526.6826.9126.1724.8624.5724.4723.4321.9621.7720.4519.7619.7919.5718.1717.1515.4716.1415.8315.8115.1514.06
0.2511.057.804.461.806.773.29-1.71-1.74-1.53-1.84-1.52-1.118.296.295.042.725.914.102.460.704.603.861.960.604.893.081.050.495.593.782.591.546.765.173.801.764.052.811.040.843.891.971.850.705.032.781.620.504.152.500.550.341.530.890.14-0.262.802.261.671.304.44
-0.639.016.413.641.414.641.91-2.66-2.29-3.23-3.03-2.31-1.486.685.054.122.103.592.751.510.302.992.651.140.243.292.070.440.194.472.982.121.375.564.183.081.342.761.810.480.542.671.031.370.463.892.011.070.173.161.770.060.110.340.08-0.34-0.481.901.651.291.113.49