Forum Energy Technologies Financial Ratios for Analysis 2009-2024 | FET

Fifteen years of historical annual and quarterly financial ratios and margins for Forum Energy Technologies (FET).

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
2.592.442.543.923.383.233.655.294.743.173.682.842.432.692.28
0.240.440.410.420.450.330.260.240.240.230.280.260.500.310.37
0.320.780.710.730.820.500.360.320.320.300.390.361.020.450.68
27.6326.9422.80-2.1525.6024.0923.0616.9724.4732.1631.1732.7332.1328.6727.45
2.802.48-8.22-45.20-56.05-37.30-17.30-21.94-10.5915.4113.7417.0214.249.817.41
2.802.48-8.22-45.20-56.05-37.30-17.30-21.94-10.5915.4113.7417.0214.249.817.41
7.507.76-0.43-35.25-49.443.86-0.90-11.437.1819.1517.7220.6917.8514.2513.29
-1.061.48-15.16-21.42-59.47-36.62-6.75-23.48-12.5113.9412.2015.7512.475.934.70
-2.550.53-15.28-18.91-59.28-35.15-7.26-13.95-11.1210.028.5010.708.273.202.85
0.900.840.680.580.820.580.370.320.570.790.700.750.700.910.81
1.781.901.732.081.721.691.421.441.912.562.382.092.363.072.91
5.044.544.376.366.205.164.034.267.756.066.096.184.936.356.37
72.4980.4483.5857.4158.8370.6790.4785.7647.1260.2259.9159.0673.9957.4657.32
-4.571.21-25.11-23.85-116.67-36.31-4.22-6.63-9.4912.499.7413.0414.295.195.18
-7.723.21-73.98-58.44-265.30-185.71-28.19-22.35-34.9453.5455.5572.52-50.0527.16205
-2.300.44-10.44-10.89-48.88-20.45-2.71-4.47-6.337.885.988.005.822.942.48
-3.480.68-14.72-13.85-64.08-24.17-3.10-5.02-7.229.607.039.707.113.603.26
40.4854.3158.4272.7987.871892612592783112872762035,9525,172
0.80-2.87-2.800.7018.920.44-8.1114.1934.6856.6544.6931.7311.6424.301,630
0.16-3.62-3.451.2416.26-3.98-13.5310.5027.5047.9131.9521.47-0.2917.321,494

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-09-302010-06-30
2.692.832.592.552.562.642.442.432.632.382.542.712.823.413.923.694.253.763.383.093.253.183.233.473.343.473.653.744.224.605.295.234.864.834.744.293.993.183.173.213.533.443.683.013.572.812.842.862.822.472.432.492.45---
0.360.390.240.240.250.270.440.450.470.430.410.400.390.410.420.400.480.500.450.450.320.320.330.250.250.240.260.250.250.240.240.250.250.240.240.220.230.250.230.220.230.260.280.280.290.240.260.210.250.480.500.520.33---
0.570.640.320.310.330.370.780.820.870.750.710.670.640.700.730.680.941.010.820.830.470.470.500.330.330.320.360.340.340.320.320.340.330.320.320.280.310.340.300.290.300.350.390.410.440.330.360.280.340.921.021.100.49---
30.7431.5026.8528.4627.6727.5726.2128.2528.2024.8920.3124.7323.4322.87-52.3412.6511.3912.1024.4926.1825.7225.7915.3427.9126.5226.8921.3923.9324.4922.7820.8021.183.7021.671.4826.8429.8431.3532.2532.4332.2231.6730.6732.0831.1230.7829.4833.5032.8834.7933.8234.0329.9828.96--
3.871.580.963.163.453.634.904.243.47-3.68-8.85-5.23-7.00-12.56-92.20-35.76-30.92-30.34-3.91-222.910.301.58-139.600.91-4.27-2.68-10.94-7.00-39.76-12.05-16.87-18.96-37.05-15.69-96.144.987.8911.5614.7716.2215.3615.2014.5414.3412.8113.1911.4918.0918.7019.3215.0218.4110.2911.15--
3.871.580.963.163.453.634.904.243.47-3.68-8.85-5.23-7.00-12.56-92.20-35.76-30.92-30.34-3.91-222.910.301.58-139.600.91-4.27-2.68-10.94-7.00-39.76-12.05-16.87-18.96-37.05-15.69-96.144.987.8911.5614.7716.2215.3615.2014.5414.3412.8113.1911.4918.0918.7019.3215.0218.4110.2911.15--
--------------------------------------------------------
-2.04-3.35-6.415.27-2.54-0.35-5.849.816.37-4.73-15.33-7.62-15.00-24.40-28.17-19.82-5.22-28.20-10.52-224.17-2.17-2.27-141.80-1.56-5.006.0634.34-11.40-44.23-16.80-17.11-21.56-34.79-20.92-97.893.123.7911.2814.1015.6912.8312.9112.3612.0711.6912.6910.2916.8417.6417.7213.5616.438.299.52--
-3.26-5.10-9.064.45-3.55-1.84-6.739.065.38-5.93-13.23-8.22-15.87-25.90-28.95-20.80-4.85-20.34-6.23-222.76-5.59-2.90-140.59-1.14-5.6011.2219.81-7.46-38.72-9.22-8.50-13.01-19.99-14.39-83.422.743.128.2410.5111.149.239.048.778.498.138.567.2511.7711.8111.699.4210.735.336.09--
0.210.200.230.220.220.220.230.230.210.200.190.180.170.140.130.110.110.160.170.200.130.150.150.120.130.110.110.110.110.090.080.080.080.090.100.110.130.150.200.200.190.180.180.180.180.200.170.200.220.220.210.210.24---
0.490.460.450.420.440.480.520.480.460.440.490.450.460.370.680.250.270.410.360.400.390.430.480.380.410.390.440.380.420.380.340.310.370.300.460.360.380.460.640.700.630.630.620.580.600.600.510.550.620.660.690.760.83---
1.251.251.261.141.101.151.241.231.171.171.201.211.291.291.401.301.271.261.301.311.361.331.321.241.301.281.221.271.371.071.071.041.511.461.421.551.421.361.531.491.551.441.571.561.501.521.441.401.481.471.471.521.62---
72.0472.0371.3179.2482.0478.1372.8173.1576.8676.6875.2774.4670.0269.6564.2269.3370.9171.6569.4668.7066.1767.4267.9472.3769.2870.1273.7370.7765.8884.1784.4286.6159.5461.6463.5957.8963.1766.2958.8960.2558.1362.4257.2157.7260.1059.0862.4164.3760.8561.3461.1259.1955.72---
-1.52-2.31-4.071.91-1.57-0.84-4.185.453.00-2.92-5.95-3.35-6.03-7.77-8.05-5.04-1.25-8.40-2.56-109.79-1.35-0.77-37.25-0.22-1.081.943.48-1.26-6.62-1.28-1.01-1.53-2.38-1.85-13.010.470.622.063.303.562.752.652.602.582.462.712.063.634.155.964.845.742.43---
-5.17-8.48-6.863.27-2.75-1.51-11.1015.548.85-8.86-17.54-9.26-16.26-20.06-19.72-11.97-2.92-20.30-5.82-258.62-6.64-3.75-190.51-1.10-5.7410.7023.29-4.43-21.24-4.40-3.41-6.17-9.50-6.96-47.881.792.458.7614.1513.8412.3512.5714.8117.9610.3913.1611.4613.9219.24-32.54-16.96-15.9513.58---
-0.69-1.01-2.040.96-0.78-0.41-1.542.091.15-1.16-2.48-1.45-2.71-3.51-3.67-2.33-0.52-3.24-1.07-44.45-0.75-0.43-20.97-0.14-0.711.292.24-0.82-4.34-0.86-0.68-1.02-1.61-1.24-8.680.310.401.262.082.281.771.651.591.531.471.711.262.382.592.551.972.281.30---
-0.97-1.42-3.091.46-1.18-0.61-2.353.001.60-1.68-3.49-2.01-3.67-4.57-4.67-3.00-0.64-4.19-1.41-60.21-0.92-0.52-24.79-0.16-0.811.472.56-0.94-4.95-0.97-0.77-1.14-1.79-1.40-9.900.370.471.542.542.772.111.971.871.861.742.071.532.873.123.122.412.731.63---
35.9836.3240.4840.9241.3241.0754.3152.5753.9255.0258.4260.9764.2867.8072.7976.7179.1879.3987.8787.961851871892612602662612442442562592582622722783173183093113243193072872882742662762612482102036,9506,413---
2.280.410.80-0.30-2.89-2.27-2.87-3.05-4.82-4.38-2.80-1.430.42-0.240.700.30-0.370.2818.9213.727.423.260.44-4.47-4.73-3.49-8.11-3.550.99-3.1314.199.739.905.9434.6825.6812.1610.6056.6537.3723.6313.2144.6934.6518.916.0431.7316.175.585.6011.645.060.61-1.440.000.00
1.920.190.16-0.70-3.06-2.35-3.62-3.24-4.92-4.51-3.45-0.400.67-0.041.240.56-0.410.1216.2611.435.732.61-3.98-8.12-7.34-4.40-13.53-7.63-1.72-3.8510.507.597.695.0627.5019.937.888.1047.9129.0719.4310.8831.9525.2112.643.9421.479.020.582.68-0.29-2.89-5.64-3.47--