Fastenal Financial Ratios for Analysis 2009-2024 | FAST

Fifteen years of historical annual and quarterly financial ratios and margins for Fastenal (FAST).

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
4.573.964.194.084.515.305.516.244.464.225.876.306.586.698.22
0.060.100.100.120.110.180.160.160.14------
0.080.180.130.150.130.220.200.200.200.05-----
45.6646.0746.2045.4747.1648.3249.2849.5950.3750.8251.7051.5251.8351.7750.95
20.8120.8220.2520.2219.8220.1220.0820.0921.4221.1021.4321.5020.7718.9315.32
20.8120.8220.2520.2219.8220.1220.0820.0921.4221.1021.4321.5020.7718.9315.32
23.2223.3523.0923.0922.6122.9122.9922.7123.6623.0423.3623.2222.3820.7317.40
20.7220.6320.0920.0619.5719.8819.8919.9321.3521.0921.4521.5120.7818.9815.41
15.7215.5715.3915.2114.8315.1413.1812.6013.3513.2413.4913.4212.9411.699.55
1.651.531.401.421.401.491.511.481.531.581.601.731.641.551.45
2.622.202.122.302.062.012.042.012.102.112.052.122.061.961.86
6.766.896.687.347.196.957.227.938.268.088.038.428.178.409.01
54.0352.9854.6649.7350.7652.5150.5346.0444.1845.1745.4743.3544.6743.4540.50
34.4934.3630.4131.4329.6732.6527.5925.8328.6725.8025.3126.9524.5320.6915.48
34.4934.3630.4131.4329.6732.6527.5925.8328.6725.8025.3126.9524.5320.6915.48
25.8823.9021.5221.6720.8122.6419.8818.7120.3920.9521.6123.1621.2418.0713.89
32.5530.9127.4327.7326.3026.8623.0621.5924.5425.8025.3126.9524.5320.6915.48
5.855.545.294.764.644.033.653.343.113.242.992.632.472.172.02
2.501.631.331.911.471.171.010.900.940.840.700.670.450.410.52
2.221.351.081.641.050.880.820.580.690.530.360.440.260.290.44

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
4.404.394.834.574.714.263.663.963.983.714.074.194.184.163.954.084.394.134.254.514.514.684.315.305.355.625.115.515.365.474.906.245.374.364.404.464.544.193.314.223.974.434.895.875.545.955.446.306.596.555.716.585.565.735.416.696.306.556.348.227.197.736.39
0.030.030.060.060.050.060.060.100.110.090.100.100.100.110.120.120.110.130.140.110.150.170.170.180.140.160.150.160.180.180.150.160.180.160.170.140.130.12-------------------------
0.070.070.060.080.080.100.120.180.180.160.120.130.120.140.150.150.140.150.170.130.170.200.200.220.170.190.190.200.220.220.180.200.230.230.200.200.180.190.070.050.060.04---------------------
44.9545.0645.4645.4645.9245.5445.7245.3245.8646.5346.5546.5346.3446.4745.4145.5745.3344.5146.5846.8647.2146.8647.7147.7348.1248.7248.7148.8049.0749.8049.4449.7849.3349.4549.8149.9150.4650.3250.7850.4850.8450.8151.1750.5651.6552.2352.3251.6151.6351.5851.2751.1951.9352.1952.0452.0551.7852.1151.0649.8649.9851.0752.86
20.3220.1920.5920.1220.9520.9721.1519.6421.0421.5621.0119.6420.4921.0819.7819.4720.5320.9419.8518.7120.4420.1019.9618.9520.5021.2219.7818.6820.1721.1820.2819.2520.0320.6320.3919.4222.1122.6321.3720.4121.7021.7720.4119.3121.9622.6821.6720.8721.8922.2320.9420.1521.3621.3920.0918.6319.9619.5817.3714.9015.6114.7316.02
20.3220.1920.5920.1220.9520.9721.1519.6421.0421.5621.0119.6420.4921.0819.7819.4720.5320.9419.8518.7120.4420.1019.9618.9520.5021.2219.7818.6820.1721.1820.2819.2520.0320.6320.3919.4222.1122.6321.3720.4121.7021.7720.4119.3121.9622.6821.6720.8721.8922.2320.9420.1521.3621.3920.0918.6319.9619.5817.3714.9015.6114.7316.02
---------------------------------------------------------------
20.2920.1620.5720.1520.8820.8520.9619.3620.8221.4020.8719.4920.3420.9119.6119.3120.3520.7919.6918.5120.1919.8319.6718.6620.2720.9719.5618.4519.9520.9920.1319.0719.8620.4920.2619.3222.0322.5621.3520.3921.7221.7720.4019.3321.9822.7021.7220.8921.9122.2420.9620.1721.3721.4020.1118.6719.9919.6317.4114.9815.7414.8216.08
15.6115.2815.7115.1516.0115.8315.8714.4915.7916.1415.8215.0915.6715.9014.8614.4415.6715.8314.8213.9915.4814.9514.8213.7115.4416.6614.7014.0012.6313.2812.8112.1112.5312.9612.7912.1313.7114.0713.3912.7813.5913.7412.7712.1913.9014.2813.5213.0413.6213.9513.0312.5413.3213.4112.4211.3612.4212.1110.769.349.739.179.95
0.400.420.420.390.400.410.410.370.390.390.380.360.370.360.350.340.340.370.350.340.360.360.360.370.400.410.390.370.390.390.380.360.370.380.370.360.400.400.390.390.410.420.400.390.420.430.410.420.420.430.420.410.440.440.420.390.410.400.380.360.370.360.38
0.670.700.690.630.660.660.610.540.580.570.570.540.600.610.590.550.580.600.540.500.540.540.530.500.560.560.540.510.550.540.530.480.530.520.510.510.560.570.540.530.580.570.540.510.550.560.550.510.570.590.580.530.570.550.530.490.530.520.500.470.490.450.42
1.591.591.561.621.581.611.621.671.621.611.591.701.641.661.671.771.691.711.641.721.691.671.651.721.661.731.721.791.791.831.821.901.861.891.851.971.851.861.832.001.881.891.851.961.891.941.932.031.952.011.992.062.011.961.972.122.002.031.982.232.042.082.03
56.5756.5957.6255.6657.0955.9955.6653.7855.4655.8656.6052.8854.9854.2654.0550.9953.1452.5754.9052.2853.3453.9254.5152.2054.3252.0852.2650.2550.2249.2349.3747.4448.3047.6848.6645.6848.5748.4949.2044.9047.9247.5948.5945.8247.5646.3446.7444.2346.0944.7345.2943.6744.7245.8145.7642.3744.9844.2545.3640.4344.0243.2644.26
8.298.378.687.968.528.819.027.769.009.038.587.608.218.327.567.177.688.587.636.708.268.178.107.338.539.498.027.277.067.486.775.946.657.046.936.217.657.966.856.187.016.996.225.606.827.096.656.336.577.026.516.006.876.956.165.085.885.494.703.744.023.674.28
8.298.378.687.968.528.819.027.769.009.038.587.608.218.327.567.177.688.587.636.708.268.178.107.338.539.498.027.277.067.486.775.946.657.046.936.217.657.966.856.187.016.996.225.606.827.096.656.336.577.026.516.006.876.956.165.085.885.494.703.744.023.674.28
6.296.366.575.976.436.516.455.406.156.256.045.385.775.755.174.955.395.855.154.705.605.455.325.086.196.815.755.244.935.224.824.304.654.874.784.425.475.665.265.025.625.725.174.785.796.075.615.445.696.075.535.195.865.955.224.445.104.804.093.363.563.283.74
8.018.088.207.518.068.328.506.987.988.237.776.867.397.386.686.336.817.496.525.947.056.826.746.037.317.976.806.075.826.135.754.965.425.905.785.326.646.976.856.187.016.996.225.606.827.096.656.336.577.026.516.006.876.956.165.085.885.494.703.744.023.674.28
6.286.105.995.856.075.925.735.545.525.535.465.295.155.014.854.765.034.854.644.644.514.374.194.034.033.883.773.653.533.463.433.343.303.233.153.113.083.043.173.243.213.153.032.992.952.872.772.632.812.702.602.472.392.292.192.172.162.132.022.021.992.001.91
1.551.030.582.501.881.210.681.631.110.660.401.331.060.770.481.911.360.860.421.471.030.580.361.170.860.540.281.010.790.510.360.900.670.440.290.940.690.450.300.840.560.370.240.700.530.360.270.670.490.320.220.450.330.170.130.410.280.200.130.520.430.280.16
1.280.860.502.221.661.060.621.350.900.530.341.080.880.670.421.641.160.710.341.050.720.370.270.880.710.450.230.820.660.420.330.580.400.290.240.690.500.300.230.530.330.220.190.360.290.210.180.440.340.240.180.260.180.080.090.290.220.150.120.440.370.230.13