FutureFuel Financial Ratios for Analysis 2009-2024 | FF

Fifteen years of historical annual and quarterly financial ratios and margins for FutureFuel (FF).

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
7.034.887.3010.395.819.188.802.817.416.367.015.906.774.885.91
------------0.010.01-
-------0.000.000.000.000.010.010.09-
11.137.327.3215.3136.1325.227.3718.5119.0419.3022.5116.2719.9318.8417.51
7.434.434.0110.9231.8221.803.5914.4315.6816.4220.2913.1016.6614.6712.63
7.434.434.0110.9231.8221.803.5914.4315.6816.4220.2913.1016.6614.6712.63
10.277.097.3016.4337.7825.717.8818.7519.0819.0522.6016.0719.5918.1216.45
10.153.474.9615.5438.8820.686.0516.1217.3119.7021.8815.6017.0315.5912.94
10.153.848.1722.7742.9718.278.5522.2515.4915.5616.649.7511.1410.548.64
1.001.110.930.460.350.620.650.480.610.741.070.990.800.640.80
9.9213.7111.065.113.495.545.823.963.736.088.187.024.324.766.14
12.1314.068.215.051.6711.649.465.604.964.819.2715.448.696.148.68
30.0825.9644.4472.2521931.3538.5965.2373.6375.8439.3623.6342.0259.4242.07
12.065.379.0912.5218.8813.666.6916.9311.7714.8222.5313.1811.979.158.93
12.065.379.0912.5718.9413.716.7117.0011.8114.8222.5313.1811.979.168.94
10.184.277.6310.5515.0411.285.5210.659.4911.5317.869.668.966.736.91
12.065.379.0912.5218.8813.666.6916.9311.7714.8222.5313.1811.879.078.93
7.086.476.608.5010.688.898.047.619.028.217.586.246.986.316.75
0.491.201.012.200.791.960.902.090.911.201.441.561.230.480.88
0.351.090.972.100.631.850.821.990.751.011.021.350.670.220.09

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
5.542.007.038.326.125.444.885.304.165.757.305.074.147.9010.3914.297.292.355.819.5010.338.979.187.176.866.218.807.598.628.042.819.4110.998.227.419.597.116.416.366.016.546.337.015.225.634.965.906.467.316.286.777.167.805.784.888.299.678.555.915.296.335.89
-----------------------------------------------0.010.010.010.010.010.010.010.010.010.000.00----
---------------------------0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.010.010.010.010.010.010.010.010.020.090.010.000.00-0.010.010.01
11.968.5926.173.31-10.0729.1512.8916.920.83-16.9324.408.30-0.06-25.8615.1411.911.9230.893088.324.616.7322.8515.549.3667.289.047.122.6411.3325.2514.8911.7423.7087.138.105.3024.6232.6920.249.6711.6820.0221.4826.0523.2010.8424.8813.9514.9321.5724.3620.659.0528.2517.9712.1916.6513.6126.1214.0415.99
7.533.7722.180.25-13.5824.6010.0014.30-1.29-22.7320.386.22-2.70-31.4511.427.03-2.4026.332964.991.672.5019.5412.566.6162.015.104.12-0.926.4221.3011.317.9218.2979.965.543.0419.9329.7617.626.139.0618.1719.4123.5520.566.3821.7311.2112.3518.2821.4416.945.8323.5914.438.2011.988.7921.788.6910.80
7.533.7722.180.25-13.5824.6010.0014.30-1.29-22.7320.386.22-2.70-31.4511.427.03-2.4026.332964.991.672.5019.5412.566.6162.015.104.12-0.926.4221.3011.317.9218.2979.965.543.0419.9329.7617.626.139.0618.1719.4123.5520.566.3821.7311.2112.3518.2821.4416.945.8323.5914.438.2011.988.7921.788.6910.80
--------------------------------------------------------------
13.238.5125.382.39-11.5428.4311.3814.79-3.43-31.0022.476.10-1.33-31.7019.2911.1921.6610.9830311.636.5013.319.9516.539.1257.677.596.531.309.2322.7812.9910.7618.6579.816.454.7024.0632.9518.9912.6612.1619.0320.3527.0221.8713.0623.1912.2913.9717.2422.1517.897.1525.6815.138.6512.419.2821.878.7911.34
13.227.4325.412.38-11.5628.4212.6713.36-2.64-29.3420.879.324.70-21.1310.9712.7331.9735.8735910.085.2011.342.8011.606.8564.2721.194.301.236.2826.9318.5720.9522.6687.534.533.6315.0334.0611.107.867.6321.1312.6317.1215.248.2714.228.218.3011.8514.1011.294.9218.869.915.347.676.2614.136.817.10
0.280.160.250.340.240.200.330.350.350.130.310.290.220.100.110.120.100.090.030.140.150.100.140.170.190.120.180.180.160.130.130.140.140.090.070.240.230.120.190.240.160.200.300.290.260.230.210.220.260.220.230.240.210.160.160.210.170.160.260.210.170.17
2.160.952.064.191.390.763.845.643.701.313.012.071.391.151.251.641.100.89-1.121.411.870.851.291.431.680.311.561.661.800.921.001.231.020.510.072.861.770.631.311.390.911.712.381.991.551.001.581.352.051.071.221.561.471.221.031.731.551.362.051.231.421.08
2.052.223.033.722.802.664.184.592.491.522.742.721.540.931.230.890.830.350.163.102.612.092.623.713.390.792.592.051.791.371.531.531.630.670.563.682.462.051.252.301.722.652.623.533.652.853.274.243.893.882.513.492.452.041.502.332.131.932.772.261.712.10
43.9440.6229.6824.2232.1933.8021.5119.6036.1759.1932.8933.1358.5597.2273.0710110825554829.0634.5443.1534.3424.2826.5411334.7743.8450.1965.8458.7158.8555.1313416124.4536.5843.8372.2539.1052.2333.9334.3925.4824.6331.6327.4921.2423.1623.2235.8325.7636.7344.1159.8338.6342.2546.6632.4539.8852.7642.85
4.462.117.550.93-3.356.935.285.66-1.18-4.667.733.451.35-2.421.471.834.105.3715.491.630.931.390.472.371.569.374.540.960.241.005.613.013.422.627.521.331.042.238.393.391.611.918.074.845.944.772.374.082.862.433.684.593.101.084.012.621.111.532.073.801.521.53
4.462.117.550.93-3.356.935.285.66-1.18-4.667.733.451.35-2.431.481.844.115.3915.541.640.931.400.472.381.569.414.550.970.251.015.643.023.432.637.551.331.042.238.393.391.611.918.074.845.944.772.374.082.862.433.684.593.101.084.012.621.111.532.073.811.521.53
3.661.196.370.80-2.785.654.204.62-0.92-3.826.492.751.02-2.011.241.583.323.1412.341.370.771.150.391.951.277.493.750.760.200.803.532.512.872.136.061.090.821.746.532.631.271.506.403.694.423.471.743.062.171.812.763.432.340.802.952.080.901.231.602.911.181.18
4.462.117.550.93-3.356.935.285.66-1.18-4.667.733.451.35-2.421.471.834.105.3715.491.630.931.390.472.371.569.374.540.960.241.005.613.013.422.627.521.331.042.238.393.391.611.918.074.845.944.772.374.042.842.413.654.553.071.073.982.601.111.522.073.801.521.53
4.904.687.086.796.726.956.476.376.016.086.606.095.888.308.508.618.468.1110.689.269.119.038.899.108.888.748.047.907.817.747.619.789.519.229.028.378.348.338.217.737.617.597.587.307.066.796.247.457.167.086.986.726.596.306.316.266.306.706.756.896.646.54
0.36-0.280.490.19-0.93-0.681.201.01-0.04-0.241.010.45-0.05-0.332.201.751.920.090.790.560.31-0.081.961.811.490.090.900.830.640.192.091.761.060.030.911.380.800.951.200.610.070.721.441.320.68-0.171.561.501.050.341.231.450.860.570.480.440.210.040.880.530.170.09
0.24-0.330.350.08-1.02-0.741.090.93-0.09-0.260.970.44-0.06-0.332.101.671.860.060.630.420.20-0.131.851.741.470.080.820.770.600.171.991.691.010.010.751.240.700.891.010.46-0.070.661.021.010.55-0.221.351.340.950.290.671.000.480.370.220.290.10-0.030.09-0.06-0.25-0.19