National Beverage Financial Ratios for Analysis 2009-2024 | FIZZ

Fifteen years of historical annual and quarterly financial ratios and margins for National Beverage (FIZZ).

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
2024202320222021202020192018201720162015201420132012201120102009
3.892.541.892.483.253.313.373.082.962.532.222.061.921.412.302.72
--0.11------0.060.220.42----
--0.13------0.070.280.71----
35.9533.8336.7139.3237.0037.9040.0939.4334.2633.9333.9532.8233.9136.4333.2029.53
18.3415.9218.2621.2516.5717.7420.9319.6513.2011.4610.0510.7310.6710.468.746.60
18.3415.9218.2621.2516.5717.7420.9319.6513.2011.4610.0510.7310.6710.468.746.60
21.2118.7521.0624.1519.6319.2722.2821.2014.9113.2511.8812.3912.3612.3510.828.64
19.2915.9018.2421.2816.9418.1321.0619.6913.1511.579.8410.6410.6410.448.666.75
14.8312.1213.9316.2412.9913.8915.3512.958.657.596.697.067.006.795.544.30
1.552.042.431.921.542.242.132.342.312.612.883.172.823.282.472.16
9.028.296.979.109.938.919.609.399.679.949.6411.3410.1711.4411.4310.23
11.5911.1812.1612.4011.7811.9511.5711.5911.5510.7711.0210.3310.2110.7311.0210.70
31.5032.6530.0229.4330.9830.5431.5631.4831.6233.8833.1435.3235.7534.0033.1134.10
31.6038.1866.2448.9428.7442.4945.2143.6129.7133.4341.2467.2536.2150.8223.2314.57
32.4439.7470.5551.0329.7044.4547.3046.3731.9837.0747.7284.4641.1662.1525.9115.96
22.9524.7533.8831.2520.0431.1532.6430.2420.0319.9019.5822.4919.7322.2913.679.31
31.5938.1758.8348.9228.7342.4845.1943.5829.6931.2532.0439.0036.1750.7323.2114.55
5.983.992.573.824.853.553.552.642.211.591.150.761.310.871.531.85
2.111.731.422.071.901.491.651.220.860.620.560.430.410.600.590.39
1.791.491.111.801.641.081.311.070.730.520.430.330.300.470.500.32

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.993.893.683.202.752.542.582.021.921.891.983.222.762.482.404.043.523.253.733.563.123.311.934.143.433.373.362.891.843.082.953.822.942.963.082.782.472.532.832.572.262.222.722.552.092.062.292.662.061.922.111.801.531.411.122.822.452.302.383.562.972.722.96
---------0.110.20-------------------------0.030.060.100.130.180.220.260.300.350.420.51----------------
---------0.130.24-------------------------0.030.070.110.150.220.280.340.420.550.711.02----------------
37.1636.6935.9335.9435.3135.7435.3533.3731.2534.3936.2335.8440.0338.5638.9039.7539.9637.6036.8436.8936.6435.2536.4739.7139.5440.6740.0939.3640.2240.5339.0238.7439.3836.5132.5033.9333.9333.7132.2335.2934.2733.7032.6735.0934.0934.5632.0332.7731.8831.9433.1634.2536.1235.6937.5437.2935.4435.4032.5133.9631.0329.7528.68
21.1017.8017.8418.1019.4617.0416.5515.6614.6115.9315.7218.2122.5619.6919.5822.6622.7317.6514.9116.5516.9114.0714.0420.0121.5320.4720.1120.7522.2420.9318.8918.3720.2714.7810.5913.0814.0811.259.4412.0812.719.987.4811.4210.8310.788.5811.0912.0510.508.6710.8812.2510.948.7310.4811.379.856.578.889.347.574.02
21.1017.8017.8418.1019.4617.0416.5515.6614.6115.9315.7218.2122.5619.6919.5822.6622.7317.6514.9116.5516.9114.0714.0420.0121.5320.4720.1120.7522.2420.9318.8918.3720.2714.7810.5913.0814.0811.259.4412.0812.719.987.4811.4210.8310.788.5811.0912.0510.508.6710.8812.2510.948.7310.4811.379.856.578.889.347.574.02
---------------------------------------------------------------
22.4219.3518.5719.0020.1016.7916.7315.6914.5815.8715.6918.2122.5619.6519.6122.6822.8218.0215.3516.9617.1914.4114.5820.4421.8120.6320.2820.8622.3420.9718.9718.4020.3014.7210.5613.0214.0311.219.3312.0013.339.397.5211.3110.6910.638.4911.0112.0210.488.6310.8312.2310.908.7210.4911.349.816.538.649.347.254.51
17.2314.7114.6614.5915.3112.6612.8012.0311.1512.0812.0013.8717.2614.9914.9217.3517.4413.8011.9212.9813.1110.8911.2315.7616.6914.9218.0613.9214.7313.7512.4812.1113.369.736.938.559.217.386.137.908.707.095.117.366.927.125.817.217.876.975.797.047.957.295.616.757.306.164.205.576.014.622.82
0.630.390.380.450.510.500.510.600.700.610.600.450.510.470.490.360.410.400.380.440.480.530.400.480.560.530.570.660.630.600.610.570.620.590.570.660.690.660.630.710.760.740.650.790.780.800.740.720.760.740.710.810.840.830.510.590.650.620.600.550.600.560.52
2.282.221.952.072.261.971.852.262.421.801.862.312.672.242.112.382.792.582.302.342.272.201.941.942.612.382.242.482.712.362.452.482.542.372.462.432.632.542.082.252.422.482.172.542.592.802.362.612.832.762.392.712.722.932.432.943.122.792.772.903.062.632.37
2.842.892.652.993.012.732.762.983.173.043.153.213.163.023.253.282.833.093.073.463.112.832.893.093.092.903.003.043.022.972.833.212.862.932.723.122.812.752.793.032.882.822.673.002.762.622.832.942.812.692.723.072.952.722.983.193.022.782.923.222.932.762.97
31.6931.1333.9030.0629.8932.9432.5530.1728.3729.6428.5628.0528.4729.8027.6927.4431.8329.1329.2925.9828.9631.8331.1029.1029.1231.0830.0529.6029.8430.2731.7828.0431.4430.6933.1528.8532.0632.7832.2829.6731.2131.8833.7330.0332.6634.3531.8330.5932.0533.5133.1129.2930.5433.0830.2028.1729.7932.3930.8027.9930.7532.5830.34
18.537.827.769.3811.769.7510.1312.2213.4314.3515.078.7913.1911.0011.618.4510.068.016.298.189.447.898.129.8512.9111.0014.0013.5517.9411.8811.239.4212.318.515.838.5710.528.266.4210.0513.2811.287.0413.2914.8217.3414.458.1310.659.497.1610.9614.4813.8310.956.187.876.514.214.415.444.042.24
19.468.037.999.6812.1810.1510.5812.8614.2215.2916.229.0913.6811.4712.188.6810.358.286.528.499.838.258.5310.2113.4311.5114.7414.3919.2612.6312.049.9813.139.166.319.3311.559.167.1811.3215.1813.058.1815.6517.9521.7719.129.0211.9410.798.2512.8017.1816.9113.966.788.707.264.744.795.924.422.47
10.875.685.506.517.756.326.537.217.787.347.256.188.787.027.376.287.195.584.515.766.285.784.497.559.337.9410.259.189.348.247.676.918.285.743.995.646.374.923.885.636.675.353.405.885.485.804.315.185.995.174.145.736.666.062.853.984.773.832.533.083.592.581.48
18.527.817.769.3711.769.7510.1212.2113.4212.7512.128.7913.1810.9911.618.4510.058.016.298.179.437.888.129.8512.9011.0014.0013.5417.9311.8711.229.4212.308.515.828.5610.197.725.788.6810.908.765.219.289.5010.057.088.1210.649.487.1510.9414.4613.8010.926.187.866.514.214.415.434.032.24
3.285.985.455.004.523.993.643.162.832.572.214.794.383.823.395.985.464.854.534.283.933.553.274.474.063.553.152.692.292.642.322.812.532.212.071.931.761.591.481.391.251.151.101.020.890.760.631.601.461.311.191.101.000.870.731.791.661.531.422.051.961.851.77
0.612.111.471.090.751.731.200.880.431.420.990.920.612.071.551.180.551.901.340.930.541.491.140.810.631.651.140.770.461.220.870.570.330.860.530.400.220.620.390.340.200.560.350.250.200.430.290.170.130.410.200.200.160.600.390.320.170.590.440.270.140.390.27
0.571.791.260.950.691.491.070.790.411.110.820.850.551.801.371.070.511.641.170.830.501.080.850.640.571.310.940.660.421.070.750.480.290.730.450.350.200.520.340.310.200.430.260.210.170.330.230.140.120.300.130.150.140.470.310.280.160.500.380.230.120.320.22