Flowers Foods Financial Ratios for Analysis 2009-2024 | FLO

Fifteen years of historical annual and quarterly financial ratios and margins for Flowers Foods (FLO).

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
1.041.431.441.661.051.361.291.401.241.461.491.311.411.291.53
0.440.380.390.410.410.440.400.440.430.390.450.380.270.110.24
0.780.620.630.700.710.800.670.790.810.680.860.710.430.160.35
48.3047.9449.7749.9547.7347.7048.7548.3948.0447.9747.1646.6346.8847.6746.55
3.406.316.817.335.475.374.116.757.887.358.987.216.828.007.93
3.406.316.817.335.475.374.116.757.887.358.987.216.828.007.93
6.389.269.9610.558.969.027.8510.3311.3810.7912.1610.6010.2311.3111.04
3.096.226.254.575.144.993.816.357.767.158.646.896.928.177.99
2.424.754.763.473.993.983.834.175.014.696.194.494.455.325.01
1.491.451.331.321.301.391.471.421.331.561.491.521.781.941.92
14.2714.8316.1217.5416.9716.8618.1018.2817.6620.9519.5617.7819.8822.2322.79
15.5113.7514.1914.6314.4413.7514.0014.4414.0115.8914.7011.8314.9415.4814.55
23.5326.5425.7224.9525.2826.5526.0725.2726.0522.9724.8330.8624.4323.5825.08
9.1315.8214.6111.0913.0212.4912.0013.5315.2215.6521.4515.8516.2617.2218.37
76097.74121135-513.84-191.56345-179.06-194.4290.0716867.9531.0127.4931.59
3.606.896.344.585.185.525.645.936.657.309.226.827.9410.349.89
5.149.788.956.527.676.997.257.598.719.4911.739.7711.8415.3214.02
6.426.846.686.495.975.975.945.815.865.365.166.213.725.853.54
1.641.691.622.141.731.401.411.701.571.481.281.040.651.481.13
1.040.940.691.701.250.941.271.301.221.260.820.730.331.010.82

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
1.191.111.041.071.351.321.431.411.451.521.441.581.651.711.661.681.581.651.051.081.151.171.361.421.391.431.291.281.371.381.401.421.091.121.241.341.501.391.461.501.481.471.491.521.551.521.311.232.022.021.411.311.311.261.291.331.351.431.531.441.431.40
0.440.430.440.430.420.420.380.380.380.380.390.390.390.390.410.430.430.450.410.410.410.430.440.390.390.390.400.410.400.410.440.450.440.450.430.410.360.370.390.400.410.420.450.470.360.390.380.380.340.360.270.280.260.100.110.130.150.190.240.250.260.28
0.770.760.780.760.730.730.620.620.620.610.630.630.630.630.700.760.770.830.710.700.710.760.800.650.640.640.670.720.670.720.790.840.890.920.810.730.580.610.680.700.720.740.860.920.590.680.710.700.600.640.430.430.400.150.160.180.210.260.350.350.390.41
49.9349.4447.9448.5149.0247.8146.8346.8548.0949.5447.8949.8950.4550.5849.0249.7150.6750.2947.0547.3347.8848.4046.9547.4148.0648.1947.7048.9449.4748.8048.0948.1148.8848.4246.8847.5848.5548.8848.2847.5747.5248.3645.7746.7547.4948.2446.7846.6746.3546.6745.9445.8546.8048.5948.1347.1247.5847.8347.1046.5245.7546.78
7.776.444.42-4.957.216.115.924.796.357.805.475.077.278.847.575.357.728.290.426.077.417.173.415.795.556.355.28-5.587.428.272.557.208.717.906.017.889.018.424.728.337.498.516.926.078.3313.268.067.356.966.595.617.076.717.678.007.828.437.808.178.487.957.34
7.776.444.42-4.957.216.115.924.796.357.805.475.077.278.847.575.357.728.290.426.077.417.173.415.795.556.355.28-5.587.428.272.557.208.717.906.017.889.018.424.728.337.498.516.926.078.3313.268.067.356.966.595.617.076.717.678.007.828.437.808.178.487.957.34
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7.386.094.08-5.286.875.865.914.696.237.675.294.957.177.297.305.817.45-0.580.135.777.086.813.015.545.295.785.02-6.067.228.011.996.698.397.675.837.788.918.294.618.167.298.246.625.718.0312.867.636.856.536.595.657.116.807.898.228.018.597.958.298.497.987.40
5.474.633.16-3.905.194.614.493.504.755.964.003.785.545.505.464.485.65-0.430.244.495.445.212.374.294.834.258.99-3.604.835.091.504.385.474.933.764.955.825.363.195.284.825.294.673.865.179.915.254.354.164.223.534.594.395.135.495.215.555.125.315.304.944.63
0.360.460.330.350.350.440.330.350.340.430.300.310.310.400.310.290.300.400.290.300.300.390.310.340.350.450.330.350.340.430.310.330.330.430.300.320.370.470.360.340.350.470.330.350.420.520.370.370.390.520.420.420.400.600.430.450.460.600.430.440.450.60
3.624.533.193.383.564.323.413.693.544.883.803.883.975.024.173.884.044.933.823.904.135.253.814.084.235.624.114.304.375.824.074.204.255.374.104.224.625.934.874.534.676.154.444.524.916.174.294.344.646.014.774.394.506.194.914.775.136.515.004.955.286.92
3.144.393.443.292.864.133.103.143.154.403.223.423.354.393.413.173.143.953.213.233.134.093.063.103.064.123.123.173.214.183.193.233.194.243.183.313.414.443.723.363.334.293.253.293.374.232.863.243.354.473.523.493.264.543.453.383.294.413.233.423.374.49
28.6920.5226.1727.3631.4421.8129.0528.6828.5820.4727.9326.3426.8920.5126.3928.4328.6622.7628.0127.8828.7421.9829.3829.0629.3721.8528.8528.4128.0121.5228.1727.8328.2521.2128.2827.2226.4220.2824.2026.7727.0120.9627.7027.3426.7021.2931.4227.8026.8320.1325.5625.7727.6319.8426.1126.6727.3620.4227.8826.3226.7320.04
4.845.312.64-3.404.344.843.372.823.715.862.792.753.955.074.073.284.33-0.440.183.354.105.191.663.103.503.976.28-2.823.544.851.083.424.445.142.593.574.345.302.493.843.675.373.583.374.7111.844.493.623.494.853.043.913.545.163.953.914.335.444.364.744.565.72
105152220-147.0154.2868.6120.8018.6124.0537.4823.0523.6533.1144.2349.4853.2794.76-16.63-6.93-178.54-176.31-104.18-25.4043.9043.4255.53181157-211.21-127.46-14.26-27.77-29.36-33.57-33.14-251.3419.5426.8414.3619.3419.2729.9328.1050.8119.2356.0119.2515.886.218.975.797.236.528.196.316.247.059.117.508.408.2610.62
1.952.131.04-1.361.822.031.471.211.612.571.211.171.692.191.681.311.70-0.170.071.351.652.030.731.471.671.922.95-1.251.642.210.471.431.822.111.131.592.132.531.161.801.692.471.541.352.165.191.931.601.622.191.481.931.773.082.372.332.533.072.352.442.282.81
2.733.021.49-1.942.512.802.081.742.293.641.711.692.433.112.391.872.45-0.240.101.982.412.960.931.892.152.433.79-1.652.132.840.601.862.502.811.482.112.803.361.512.302.173.131.961.773.007.242.772.242.293.102.212.832.604.633.513.413.694.413.333.573.354.15
6.576.526.426.516.966.906.846.806.836.886.686.686.736.686.496.396.326.245.976.116.126.005.976.066.156.135.945.696.045.955.815.675.575.595.865.805.675.515.365.535.475.445.164.834.734.566.214.173.973.833.723.903.903.935.853.883.773.623.543.373.303.18
0.790.501.641.220.610.271.691.370.860.581.621.481.050.462.141.721.300.501.731.310.980.451.401.100.700.461.411.070.820.391.701.370.930.561.571.321.010.561.481.030.810.571.281.040.830.411.040.870.610.290.650.460.320.351.481.100.750.401.130.800.560.28
0.510.341.040.770.290.110.940.780.410.350.691.080.790.341.701.401.090.401.250.990.760.360.940.750.470.341.271.030.680.501.301.060.740.451.221.080.870.471.260.840.630.480.820.710.620.310.730.640.480.230.330.150.120.251.010.750.490.260.820.590.430.21