Franklin Electric Financial Ratios for Analysis 2009-2024 | FELE

Fifteen years of historical annual and quarterly financial ratios and margins for Franklin Electric (FELE).

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
2.972.111.833.043.052.272.403.073.032.333.412.953.233.473.75
0.070.080.090.100.100.110.150.200.250.190.230.230.250.260.28
0.080.200.200.110.140.280.320.310.390.300.320.320.360.360.39
33.7533.8334.6734.7332.5733.3133.5134.8932.1832.8734.3433.8433.1632.2529.32
12.7112.5811.3810.469.6710.179.5311.809.779.5512.8212.6711.388.976.99
12.7112.5811.3810.469.6710.179.5311.809.779.5512.8212.6711.388.976.99
15.2415.0514.0713.3912.4813.1412.9615.5413.6113.1016.0715.8514.4612.3311.04
11.7311.5111.429.928.899.289.3010.969.338.5611.5513.0110.617.705.53
9.339.139.218.007.218.166.908.117.726.518.379.237.655.453.71
1.201.211.060.981.101.100.950.910.930.970.920.910.990.910.87
2.692.482.412.712.952.762.393.043.223.193.313.073.873.453.29
9.288.878.477.807.587.516.586.517.277.298.398.6610.4710.089.96
39.3141.1543.0946.7748.1348.6155.4956.1050.2250.0943.5242.1434.8736.2236.64
16.1117.6416.3411.9012.0214.3411.1912.8913.1711.8313.8216.2014.159.316.15
30.5836.9641.9622.5123.3329.9723.5128.2433.7630.8334.1355.5634.0722.9017.19
11.2711.149.847.958.048.926.637.637.406.597.868.587.685.063.34
15.0116.2914.9110.7410.7612.719.4910.289.869.5410.7112.5410.616.884.43
26.2523.1720.4118.3917.2215.8815.0713.2612.1012.5912.5410.979.659.218.44
6.732.162.764.543.802.731.422.472.090.982.041.472.112.012.42
5.881.272.144.053.352.270.711.761.550.280.640.701.651.762.16

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
2.402.652.852.972.742.231.992.111.921.691.701.831.811.793.173.043.213.162.843.052.402.152.132.272.222.062.222.402.352.073.313.073.012.722.953.032.693.052.262.332.162.603.143.413.443.333.422.953.093.183.073.233.183.043.513.472.993.213.403.753.693.332.39
0.010.070.070.070.070.070.080.080.080.080.090.090.090.090.100.100.100.110.110.100.110.110.110.110.110.120.150.150.150.160.200.200.200.210.240.250.250.240.200.190.190.220.220.230.230.240.250.230.230.240.240.250.250.250.250.260.270.280.280.280.280.290.30
0.070.110.090.080.110.220.250.200.260.320.300.200.210.250.110.110.120.120.180.140.220.290.310.280.290.370.380.320.330.400.300.310.310.350.400.390.440.380.420.300.360.380.330.320.330.350.360.320.330.360.350.360.360.360.340.360.370.390.390.390.390.450.60
35.6936.7835.4933.8334.5933.1133.4933.9634.5534.3432.1933.5735.5434.8234.6934.6935.3934.7533.8631.6333.7633.6930.7932.9533.0433.7533.4832.8133.3833.6534.4233.8235.6535.9733.9931.5233.0332.4231.6730.6332.0634.9433.7533.1034.8135.9133.2333.3734.7634.1932.8232.4932.8534.4532.6631.7331.5533.9431.6328.2630.2729.7428.84
13.8414.5710.4010.7514.5114.2110.8611.4914.5114.698.8510.9112.3311.8010.1510.7013.7811.015.188.9412.2612.304.179.0611.7411.777.687.8010.2811.228.4011.0613.2712.969.6510.7411.949.377.031.0111.6613.7511.229.6615.1015.4510.4110.2114.1015.2110.408.7212.6214.638.617.5810.409.767.856.659.316.525.24
13.8414.5710.4010.7514.5114.2110.8611.4914.5114.698.8510.9112.3311.8010.1510.7013.7811.015.188.9412.2612.304.179.0611.7411.777.687.8010.2811.228.4011.0613.2712.969.6510.7411.949.377.031.0111.6613.7511.229.6615.1015.4510.4110.2114.1015.2110.408.7212.6214.638.617.5810.409.767.856.659.316.525.24
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13.5314.169.189.9713.5413.069.879.9813.1213.898.3011.9512.3911.129.7710.0313.2810.225.007.2212.2011.433.658.9410.4310.736.607.289.7412.177.339.0813.2112.758.499.6911.488.817.35-0.2910.6213.299.977.7613.9714.419.378.9912.9114.2915.678.2211.7613.568.077.009.348.835.194.787.785.393.91
10.2710.887.158.0110.7310.477.708.0310.5910.746.589.2710.008.958.378.1410.938.003.995.969.739.223.127.718.728.877.162.677.879.807.056.649.879.516.166.828.966.538.640.598.159.527.335.649.9110.576.866.119.2010.0611.416.128.579.575.764.646.555.854.583.415.203.522.57
0.290.300.260.270.310.320.270.290.320.310.270.270.300.290.260.250.290.270.230.270.280.280.240.270.290.280.240.240.260.260.210.230.230.240.210.220.220.230.210.240.240.240.210.220.240.260.220.210.250.270.220.230.270.260.230.220.240.260.220.200.230.230.20
0.650.650.560.620.650.660.540.590.650.640.580.640.750.810.700.700.780.670.570.730.690.670.600.680.710.690.570.620.690.680.610.780.720.770.690.770.740.760.700.800.780.770.690.800.810.830.720.710.780.840.730.890.980.890.820.850.920.930.770.770.840.750.63
1.951.821.752.132.131.901.752.122.191.981.972.202.101.931.862.012.041.681.591.851.761.611.611.831.771.671.531.691.761.601.421.641.581.561.441.721.761.611.461.771.661.621.571.991.911.781.701.992.001.941.692.392.211.841.872.472.392.101.762.312.211.851.67
46.0649.5751.2842.3242.1847.3651.3642.3741.0445.5545.8040.8242.7846.5348.4944.8044.0453.4956.5448.7351.1655.9355.9149.1450.9254.0458.6953.4051.0056.1963.2154.8457.0957.8362.2952.2351.0156.0661.8350.9854.3355.7257.2145.1247.1250.5452.9445.1545.0146.3753.2737.7040.7748.8748.0436.4337.6442.8351.2239.0340.8248.5353.75
4.314.842.713.214.925.233.433.735.746.053.124.325.024.363.263.184.753.201.432.504.394.311.243.314.064.202.941.123.514.502.502.893.824.022.342.903.802.753.390.533.594.292.832.234.415.202.942.584.275.214.762.564.224.732.451.943.032.941.921.312.271.621.15
7.688.945.056.109.1610.116.987.8212.5614.187.7711.1012.8611.476.026.008.846.242.894.868.718.632.586.918.508.446.002.357.5010.135.256.348.429.335.727.4510.136.828.631.388.8410.776.665.5111.7015.049.298.8413.3916.0315.266.1610.1011.805.784.787.867.795.193.666.194.653.57
3.043.331.872.253.373.342.082.363.443.411.792.603.002.612.202.123.212.150.941.672.752.580.742.062.512.471.710.662.082.561.511.712.272.321.321.632.031.541.850.291.992.351.601.272.422.801.571.372.282.742.491.392.282.551.361.061.611.561.040.711.230.850.55
4.274.522.532.994.584.863.173.455.285.542.863.944.573.962.952.874.272.861.282.243.923.841.102.933.603.712.500.952.973.792.012.313.053.191.772.172.842.092.730.432.923.372.211.733.383.942.212.003.303.973.631.923.153.551.831.442.222.121.390.941.631.150.80
27.8626.7726.5326.2525.5924.8523.7323.1722.1921.3620.8020.4119.9419.4618.6118.3917.5816.7916.3317.2216.7616.4315.8815.8815.7315.3615.5315.0715.0314.4513.7313.2613.4413.0212.5712.1011.9412.5512.3712.5913.3713.4612.9212.5412.0511.5011.1910.9710.9610.3710.389.659.8510.039.579.218.968.398.448.448.428.057.62
3.260.75-0.036.734.240.92-0.262.160.15-1.33-1.302.762.000.750.114.542.871.01-0.103.801.930.09-0.062.731.280.11-0.581.420.86-0.27-0.522.471.510.63-0.012.091.280.15-0.450.980.07-0.54-0.732.041.14-0.12-0.641.470.54-0.40-0.612.111.110.12-0.662.011.470.47-0.272.421.890.84-0.02
2.650.34-0.225.883.590.49-0.461.27-0.47-1.76-1.502.141.580.48-0.034.052.540.81-0.223.351.62-0.12-0.172.270.97-0.13-0.700.710.38-0.66-0.631.760.990.26-0.251.550.97-0.05-0.540.28-0.42-0.88-0.870.640.09-0.88-0.980.700.17-0.62-0.671.650.83-0.04-0.731.761.270.39-0.282.161.710.72-0.09