Ethan Allen Interiors Financial Ratios for Analysis 2009-2024 | ETD

Fifteen years of historical annual and quarterly financial ratios and margins for Ethan Allen Interiors (ETD).

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
2.162.201.611.321.651.761.771.922.011.922.251.961.871.741.782.24
----0.130.000.000.030.090.170.260.280.320.370.440.40
----0.150.000.000.040.110.210.360.390.480.590.790.66
60.8260.7059.2757.3754.7854.8454.2554.9855.6854.4954.4454.6453.5151.4747.5051.51
12.0717.3416.9111.282.484.556.377.5911.238.749.338.296.814.70-1.99-10.79
12.0717.3416.9111.282.484.556.377.5911.238.749.338.296.814.70-1.99-10.79
14.5419.3118.8613.675.347.168.9610.2313.6711.2711.7310.769.367.772.990.19
13.2217.8216.8911.152.414.536.407.4711.077.518.366.885.653.88-3.18-12.04
9.8813.3712.638.761.513.444.744.747.134.925.754.456.814.31-7.51-7.81
0.871.061.141.000.951.461.451.341.381.251.141.181.131.080.931.04
1.782.081.892.032.122.082.152.302.172.262.332.412.182.332.312.09
95.5168.3648.0575.9172.8952.4162.0262.1083.8960.1460.0959.3948.8945.1634.5051.53
3.825.347.604.815.016.965.895.884.356.076.076.157.478.0810.587.08
13.2122.4625.3617.082.717.069.479.0314.4410.0211.689.7115.4410.38-17.15-17.22
14.5824.8428.5219.593.158.0610.7410.1716.3211.4113.3211.2317.9612.36-20.77-20.20
8.5714.1914.358.781.435.046.866.379.816.136.565.267.714.66-7.01-8.15
13.2122.4625.3617.082.357.059.458.7713.148.378.626.9810.446.55-9.68-10.35
19.0018.5816.0913.9213.0913.6914.4714.6114.1413.0412.7011.5711.169.798.9310.57
3.133.932.725.122.022.071.542.812.061.892.052.101.302.181.770.76
2.753.782.614.841.901.721.102.231.531.521.501.560.571.981.880.20

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
2.162.092.312.142.202.021.931.691.611.481.421.291.321.291.311.241.651.961.451.461.761.771.591.741.771.781.871.781.922.062.221.952.011.912.062.001.921.941.762.242.252.122.181.941.962.052.141.961.871.871.901.791.741.872.051.821.782.012.212.132.242.42
----------------0.130.23--0.000.020.000.000.000.000.000.000.030.060.090.090.090.100.130.160.170.170.170.260.260.270.270.280.280.320.320.320.320.330.340.360.370.390.410.430.440.410.410.410.400.39
----------------0.150.29--0.000.020.000.000.000.000.000.000.040.080.100.100.110.130.150.200.210.210.350.350.360.370.370.380.390.470.480.470.480.490.530.570.590.640.720.780.790.700.710.700.660.63
60.7661.3560.1661.1061.4759.8761.0560.4258.2560.4458.7659.8958.6657.3156.6756.7852.2856.0555.8653.9354.8055.3355.2254.0254.0653.3154.3155.3355.6152.4855.5456.1256.2955.4755.9254.9854.8554.3253.8354.9654.6353.8154.8954.3653.9654.5954.3655.6253.9153.6153.5952.9352.9151.0251.8449.9849.5548.9148.1742.8148.7247.10
13.4210.4712.9711.2016.9115.4518.2518.4818.2616.5217.4415.0113.4910.7312.617.73-13.59-0.505.2710.72-2.536.008.186.287.742.138.846.379.542.178.789.4912.538.4012.7710.989.605.338.9610.7312.225.5210.288.789.035.159.089.587.734.437.617.386.362.926.043.277.63-1.92-3.69-11.81-14.69-53.28
13.4210.4712.9711.2016.9115.4518.2518.4818.2616.5217.4415.0113.4910.7312.617.73-13.59-0.505.2710.72-2.536.008.186.287.742.138.846.379.542.178.789.4912.538.4012.7710.989.605.338.9610.7312.225.5210.288.789.035.159.089.587.734.437.617.386.362.926.043.277.63-1.92-3.69-11.81-14.69-53.28
--------------------------------------------------------------
14.6611.8113.9612.2517.7516.0318.6718.6418.2716.4917.4015.0013.4610.7312.407.44-14.41-0.365.3110.73-2.615.968.266.277.862.108.916.309.411.968.719.3912.498.1712.5910.809.382.278.059.8211.294.509.337.796.923.847.998.456.653.276.446.145.031.915.043.387.12-3.33-5.05-13.42-16.57-54.83
10.988.8510.419.1213.5612.0013.8613.9313.7212.5012.9211.0510.188.829.446.19-13.18-0.154.068.11-1.804.496.184.715.581.447.494.095.991.265.505.968.165.347.976.916.561.465.096.238.593.045.984.974.502.605.155.373.9415.664.413.664.032.168.512.31-16.25-0.58-2.33-9.97-12.20-34.71
0.230.200.230.220.250.250.280.300.320.280.300.270.260.260.280.240.150.210.280.270.360.330.370.340.390.320.360.320.340.310.340.330.360.330.360.310.320.280.300.280.300.270.310.290.300.260.310.290.290.280.300.300.280.260.280.260.260.230.230.210.210.21
0.470.390.470.430.480.490.500.510.540.430.520.460.510.560.610.510.350.470.550.530.510.480.550.520.580.520.560.510.580.560.540.530.550.520.580.550.580.510.600.550.620.550.620.590.610.540.610.530.550.570.620.620.590.610.610.600.610.540.520.530.450.43
24.9218.3224.4914.8316.1911.7818.9924.9313.5017.1127.7622.9619.7615.2919.9011.4111.3214.2913.2914.0912.9111.2321.3514.7016.6311.3913.7317.9715.8617.2822.1919.5921.7317.6720.6314.9915.4310.6418.5513.0216.0010.8117.9614.4814.8414.8217.1712.8012.4210.0113.2512.6311.848.0711.7710.009.559.3611.3910.4310.6013.44
3.614.913.686.075.567.644.743.616.675.263.243.924.565.894.527.897.956.306.776.396.978.024.226.125.417.906.565.015.685.214.064.594.145.094.366.015.838.464.856.915.628.325.016.226.066.075.247.037.258.996.797.137.6011.157.659.009.439.617.908.638.496.70
3.832.713.683.235.394.936.447.197.746.447.355.845.174.384.862.81-3.68-0.071.953.81-0.912.143.302.272.990.653.691.842.910.572.672.914.282.684.353.463.420.672.633.174.651.493.302.652.451.333.023.052.278.672.782.382.551.275.421.48-10.27-0.30-1.16-4.65-5.53-15.02
4.233.004.073.585.975.487.198.068.707.298.396.725.935.015.583.25-4.27-0.082.234.34-1.042.433.762.563.390.734.162.083.280.643.003.294.833.044.933.933.900.772.993.605.301.713.793.052.831.543.513.542.6410.113.292.833.031.526.501.79-12.44-0.35-1.38-5.51-6.49-17.45
2.491.752.412.023.413.023.944.144.383.463.902.972.662.272.651.50-1.94-0.031.142.16-0.651.502.281.602.160.462.681.312.060.391.861.952.911.762.862.142.090.421.541.772.610.821.851.421.330.691.601.561.134.351.341.091.140.572.380.61-4.20-0.13-0.53-2.13-2.62-7.31
3.832.713.683.235.394.936.447.197.746.447.355.845.174.384.862.81-3.19-0.051.953.81-0.912.093.292.262.980.653.691.842.830.532.442.663.892.403.802.912.860.562.202.353.431.092.401.921.760.902.052.081.535.841.821.511.610.783.170.84-5.80-0.17-0.68-2.74-3.32-9.23
19.0018.7818.6218.2118.5817.8717.2416.4016.0915.1614.4613.6613.9214.1613.8113.2913.0913.5413.9313.9413.6914.0413.9114.6814.4714.7614.6614.6414.6114.4814.5014.3114.1413.7013.6813.3613.0412.9913.1712.9712.7012.2012.1011.7911.5711.3911.2911.4311.1611.0110.079.899.799.599.479.008.939.919.9610.0910.5711.20
3.132.101.180.653.932.901.601.502.721.570.890.675.124.022.601.672.021.510.880.872.071.661.170.911.541.270.510.642.811.920.980.982.061.380.740.561.890.770.360.232.051.370.770.722.101.520.620.231.300.950.380.222.181.400.10-0.031.771.160.720.590.760.48
2.751.810.980.513.782.801.591.702.611.631.070.614.843.812.421.581.901.501.051.181.721.400.990.801.100.950.340.542.231.430.630.761.531.030.540.451.520.400.140.161.501.030.510.641.561.060.20-0.030.570.330.050.101.981.21-0.04-0.081.881.250.890.710.20-0.01