Fortune Brands Innovations Financial Ratios for Analysis 2009-2024 | FBIN

Fifteen years of historical annual and quarterly financial ratios and margins for Fortune Brands Innovations (FBIN).

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
1.701.591.391.641.351.131.771.711.871.861.801.941.602.54-
0.540.500.430.480.420.450.370.380.320.220.120.110.151.02-
1.161.280.880.930.901.070.580.610.480.300.130.140.19-57.03-
41.3240.9340.8340.4235.6035.7236.4436.0334.5434.0634.9733.2329.9432.6730.10
13.2916.3916.8915.6812.1210.8512.9212.4110.8310.058.724.57-0.476.141.80
13.2916.3916.8915.6812.1210.8512.9212.4110.8310.058.724.57-0.476.141.80
17.0320.5320.9120.3214.8313.6215.4214.9413.3612.5211.167.802.889.596.16
11.1914.1215.1313.799.989.7912.0211.6810.049.768.384.31-1.312.57-1.00
8.7414.5416.0915.277.497.108.958.296.883.946.203.79-1.071.97-1.30
0.700.770.610.490.920.920.960.970.940.990.890.810.920.76-
2.762.733.192.495.175.195.786.005.405.735.625.866.936.56-
8.669.058.274.939.239.599.519.059.118.759.198.219.628.64-
42.1540.3344.1274.0739.5638.0438.3640.3240.0641.7339.7044.4437.9542.24-
17.6825.8718.2613.7217.7717.8918.2717.4512.4912.097.884.54-1.63-114.64-
-41.89-97.35100-36.63-51.88-34.00-100.42-71.37-102.7819735.4033.88-62.91-2.93-
6.188.827.055.176.866.548.628.046.296.755.002.80-0.951.53-
8.1712.9710.417.1210.249.7811.5710.878.469.416.964.04-1.382.05-
18.1616.3022.6920.0217.4015.5217.1215.4015.3514.3115.9214.5513.62--
8.274.314.945.894.514.133.854.122.631.601.741.701.130.901.74
6.282.503.424.833.613.142.803.201.860.841.191.330.710.541.53

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302009-12-31
1.321.342.041.701.801.491.631.591.472.132.181.391.781.871.961.641.882.051.541.351.391.131.491.131.301.471.441.771.871.962.061.711.982.152.161.872.092.242.191.861.922.072.231.801.801.792.141.941.901.791.881.600.89-----
0.490.510.570.540.560.550.500.500.480.530.540.430.460.460.480.480.440.480.460.420.450.420.490.450.470.450.390.370.360.350.380.380.400.410.430.320.360.370.240.220.220.190.150.120.120.120.110.110.130.130.160.150.01-----
1.161.241.331.161.281.501.281.281.121.141.160.880.860.860.920.930.790.911.030.901.011.031.121.071.130.990.800.580.570.540.610.610.670.700.750.480.560.590.330.300.290.240.180.130.140.150.130.140.150.160.200.190.04-----
45.8643.6343.9442.6242.8240.2339.2641.7240.0640.9041.0810.7335.5636.4536.3711.4735.1435.1035.1636.1635.9335.6734.5535.3235.7736.6835.0435.6137.4737.5934.8935.7737.3736.5834.1434.3035.0735.2233.3332.8834.7935.2233.2135.5734.3436.2433.7335.6233.2533.9430.9027.2930.1732.7429.42-33.44-
17.7516.0614.0111.5415.5813.1112.6716.1116.1217.4815.772.1114.4315.2314.030.0614.5412.5711.0513.0911.5113.4310.219.8610.6513.209.5211.7814.7915.329.3511.7014.3214.468.6311.4612.9411.007.087.6212.2412.227.798.569.3410.246.36-2.246.677.732.67-12.492.457.331.09-8.03-
17.7516.0614.0111.5415.5813.1112.6716.1116.1217.4815.772.1114.4315.2314.030.0614.5412.5711.0513.0911.5113.4310.219.8610.6513.209.5211.7814.7915.329.3511.7014.3214.468.6311.4612.9411.007.087.6212.2412.227.798.569.3410.246.36-2.246.677.732.67-12.492.457.331.09-8.03-
----------------------------------------------------------
15.2813.7511.288.9513.6911.1810.7013.7113.5915.0714.054.4413.4614.2012.632.2213.4511.349.919.459.9211.858.528.259.9712.228.5710.3014.0414.598.7511.7713.3513.427.5910.4812.0010.366.547.2011.9911.927.648.349.199.496.19-2.646.537.432.42-12.802.237.26-2.10-4.53-
11.8210.808.697.0010.828.778.139.6817.0815.2915.87-19.6510.1711.2210.04-20.229.968.427.787.087.249.126.386.007.239.075.989.269.6010.096.527.969.659.655.517.178.686.844.214.34-1.999.084.598.826.146.154.193.744.405.111.56-8.100.264.91-1.47-3.37-
0.180.190.160.180.190.170.170.180.140.150.14-0.110.250.250.24-0.110.250.220.220.230.230.240.210.240.220.250.230.250.250.260.230.250.250.250.220.250.240.230.230.260.260.250.220.170.250.260.230.130.240.250.220.240.22-----
0.650.710.610.680.780.730.680.650.480.510.50-0.901.131.181.18-0.831.451.221.291.311.231.311.181.351.301.441.321.531.411.471.381.571.421.421.221.451.491.381.261.511.321.281.171.091.481.511.550.891.551.601.571.891.61-----
2.082.091.802.172.181.871.862.171.281.261.13-1.542.152.292.14-1.102.162.092.072.352.282.132.042.492.172.171.992.492.272.292.102.362.252.282.112.442.222.031.992.271.981.921.841.812.022.082.071.292.232.312.112.532.16-----
43.3143.0849.9641.4041.2948.0448.3841.4970.4771.5879.85-58.5441.7739.2642.10-81.7341.6943.0243.5138.2439.4942.1744.0636.2241.4241.4145.3036.1539.6939.2742.8438.0840.0339.4842.7436.9340.4744.3045.1739.7345.4846.9048.8849.7844.5943.2443.3969.8840.3038.9942.7435.5541.58-----
5.705.754.233.556.154.694.116.134.674.894.33-1.226.627.146.08-0.366.314.724.614.284.525.853.763.914.475.963.184.925.095.463.184.425.165.482.813.574.163.291.782.503.613.411.751.632.512.541.520.301.722.130.60-3.340.12-----
-14.64-13.38-9.07-8.40-12.58-8.84-15.51-23.08-15.85-16.74-13.21-6.70-24.85-25.62-18.220.96-29.20-15.78-12.63-12.51-11.31-14.13-7.85-7.44-8.59-14.72-10.55-27.04-31.43-39.34-15.50-18.07-20.71-22.72-10.49-29.38-26.41-19.8122.3940.7138.5732.3512.287.3223.5526.539.302.2515.0125.5211.33-128.91-8.25-----
2.072.011.421.242.061.491.432.091.681.731.53-0.472.572.822.38-0.142.541.841.731.651.682.161.341.431.622.281.352.322.422.671.512.042.342.451.231.801.971.571.001.392.072.061.131.031.561.580.980.191.061.290.36-1.950.07-----
2.922.831.811.642.702.112.063.082.432.292.01-0.703.563.843.17-0.193.522.472.482.472.473.421.912.142.373.271.933.123.233.541.972.753.093.221.612.422.672.071.351.942.822.761.491.442.212.221.360.271.501.850.50-2.820.12-----
19.2918.7818.2318.1617.6017.1616.4416.3023.6322.8322.2822.6922.5022.0721.1020.0218.9217.8317.0917.4016.7916.7516.0615.5215.8015.2716.1617.1216.7716.6815.8015.4015.3014.8314.1515.3515.0614.8214.4214.3114.8415.9815.9015.9215.3715.2314.9114.5514.5414.0013.6813.6213.72-----
3.161.51-0.568.276.543.950.594.312.220.32-1.364.943.081.87-0.495.893.611.88-0.104.512.510.79-0.634.132.380.94-0.343.852.261.09-0.114.122.421.05-0.042.631.700.34-0.411.600.68-0.18-0.911.740.970.27-0.431.700.720.32-0.271.130.15-0.06-0.440.000.360.00
2.150.74-1.076.285.193.090.262.500.94-0.50-1.753.422.291.41-0.664.833.151.58-0.283.611.960.43-0.813.141.650.48-0.582.801.650.71-0.303.201.760.58-0.311.861.180.01-0.560.840.17-0.46-1.041.190.660.09-0.511.330.520.16-0.330.71-0.10-0.22-0.50-0.19-