Flowserve Financial Ratios for Analysis 2009-2024 | FLS

Fifteen years of historical annual and quarterly financial ratios and margins for Flowserve (FLS).

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
1.881.972.112.542.242.202.061.951.821.901.831.721.791.731.71
0.370.400.410.490.440.460.470.480.480.360.380.310.170.180.23
0.620.690.710.980.780.890.940.960.970.590.640.490.220.250.31
29.5527.5029.6429.9632.7331.0529.7530.9932.4235.0634.0733.2733.5634.9635.46
7.725.467.656.719.815.949.326.9311.2916.1015.3414.2213.7214.4214.42
8.135.978.117.0310.086.239.667.2611.5116.3516.1314.5814.1414.8314.78
10.078.4810.939.7312.779.1612.9010.1814.3018.6118.2816.8416.5317.4217.02
5.184.273.775.438.184.087.185.349.0514.9413.9912.8713.0313.1513.40
4.325.223.563.506.062.720.073.325.6710.529.809.449.509.639.80
0.850.750.750.700.800.830.750.850.920.980.980.990.980.901.03
3.463.263.673.914.014.172.913.073.153.183.082.922.972.963.54
4.904.164.794.954.954.844.274.524.624.514.294.304.254.805.51
74.5087.7076.2073.7773.7075.4185.4280.7378.9481.0085.1184.7985.8076.0066.20
10.3910.657.418.0013.936.620.268.2815.8626.7526.0123.8018.8418.3923.77
30.6035.6227.8838.2961.9640.311.7862.2312571.3380.1865.2840.1340.7752.74
4.024.132.872.655.002.380.092.885.3210.469.709.379.298.7210.08
6.536.424.394.057.873.570.144.348.1917.0716.2516.3115.7215.0118.30
15.0914.2514.1313.5513.5812.7212.8212.6112.8914.4513.6913.1214.0912.7910.93
2.47-0.301.912.372.461.452.371.843.294.313.423.271.302.102.55
1.97-0.851.512.052.210.861.941.182.013.362.462.520.681.561.91

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
2.001.881.882.022.001.921.972.042.092.072.111.692.282.262.542.572.232.192.242.292.282.172.202.242.252.292.062.122.112.051.951.981.961.901.822.022.042.061.902.032.021.981.831.651.611.691.721.931.491.891.791.991.941.881.731.841.981.871.711.721.651.59
0.380.370.370.400.390.390.400.420.410.410.410.420.420.430.490.500.450.450.440.430.440.450.460.470.470.470.470.460.470.470.480.470.470.470.480.490.480.480.360.370.370.370.380.320.330.320.310.300.180.160.170.170.170.170.180.210.230.230.230.240.260.28
0.630.610.620.690.680.670.690.760.730.720.711.180.740.760.981.000.810.810.780.770.830.860.890.920.930.920.940.900.920.940.960.940.920.940.970.990.950.950.590.610.610.640.640.610.650.600.490.460.400.210.220.220.220.240.250.280.310.310.310.330.360.40
31.6431.1729.1429.0229.8730.2828.4227.4528.3225.5329.0529.2730.9829.2729.9830.8629.1629.8232.3733.4332.1233.0432.8232.3829.4029.5129.6430.3427.9931.0531.0929.3931.2132.2530.2035.4531.7632.7034.8435.0135.1435.3133.8634.4034.0134.0433.7033.4232.5333.4133.1933.5732.8134.8733.7234.3235.7336.3234.1036.6535.4335.89
10.4910.409.396.428.955.8310.142.776.840.909.266.628.036.549.679.454.702.718.7210.509.9010.257.416.534.804.948.598.4714.475.8510.450.019.137.509.8015.3110.989.2016.9615.9815.8715.3815.3215.7314.8115.5515.2714.2113.9413.2615.2813.8112.4513.0614.3813.3015.1914.8313.5515.3414.5614.36
11.0710.639.806.849.316.3110.493.447.421.379.827.178.366.959.949.755.033.078.9510.7110.2710.517.746.874.955.288.938.8014.776.2510.860.379.307.8510.0815.5511.169.3617.3016.1416.0515.7115.5415.9214.9818.4415.5514.5514.2913.7415.7414.2012.7813.5814.7413.6515.6115.3613.8915.6514.9114.81
--------------------------------------------------------------
8.679.026.133.787.083.516.234.866.54-1.282.264.785.622.446.138.431.385.737.438.478.378.555.934.662.912.726.487.7411.752.848.38-1.298.165.447.7913.379.255.7316.1315.2314.3713.7313.8014.8413.8213.4614.2912.4012.5212.0114.2412.4812.1713.1013.4114.4013.0511.6812.3515.0913.6812.57
6.286.835.374.224.742.7311.684.405.08-1.931.825.755.051.645.696.070.661.365.976.015.886.434.842.961.361.65-10.245.394.772.205.61-1.675.293.584.848.546.452.7311.1210.6810.0910.0910.1510.279.718.9210.669.129.088.669.899.618.779.739.8710.699.548.379.2111.139.929.01
0.220.210.230.220.220.200.220.190.190.170.190.150.190.180.190.180.190.190.220.210.210.180.210.210.210.190.210.180.180.190.230.190.210.190.260.210.220.190.280.250.250.220.280.260.270.230.280.250.260.230.270.250.250.220.260.230.240.240.280.260.280.27
0.930.850.940.850.830.770.930.810.840.850.960.880.900.901.030.890.960.921.090.960.990.881.050.981.020.920.820.650.670.640.820.640.670.590.920.630.700.610.900.700.680.620.870.680.690.630.810.670.690.630.840.690.690.640.850.670.770.770.990.750.790.74
1.121.191.321.261.221.081.201.131.201.121.241.221.231.171.311.231.221.221.341.261.231.141.251.221.191.191.211.041.051.041.211.051.091.031.301.101.121.001.281.061.061.001.201.131.151.041.201.051.121.021.191.101.131.101.361.161.261.181.511.251.281.24
80.2675.6768.1271.4373.9683.0175.2579.4175.0780.0472.3673.8673.1076.6968.8273.1273.8873.8267.3071.3673.3379.0172.0573.7275.4475.8474.5686.7385.3886.3774.1885.3282.8787.0069.0782.0680.7290.0870.5284.5585.1089.6774.8479.8078.4386.6974.7985.3580.5287.8475.4182.0680.0082.0766.2677.7871.4476.5859.4372.0370.4272.76
3.793.903.412.752.871.606.722.402.63-0.761.062.892.700.993.383.450.490.843.673.503.463.482.961.810.900.97-6.342.762.441.153.78-0.883.081.973.805.554.301.687.996.796.465.837.566.997.025.537.495.275.433.955.514.684.234.355.325.154.994.396.126.786.876.57
10.4911.0810.068.408.905.1922.489.6310.21-3.003.9911.9812.034.6516.2017.922.514.3016.3115.1416.2818.0318.0512.746.316.26-43.6314.1813.677.9028.42-5.6817.3912.5829.8740.4325.149.8321.2918.7018.2717.9223.3220.7922.7316.5320.5512.9113.558.1511.749.368.599.2111.7912.0310.529.4613.5816.0418.4319.74
1.481.511.321.061.120.622.610.901.01-0.290.410.930.990.361.121.140.170.301.321.301.251.231.070.640.320.35-2.161.010.880.411.31-0.311.100.691.271.831.440.563.122.722.562.282.822.692.612.122.952.252.362.032.722.412.162.182.522.462.321.972.602.902.752.45
2.372.472.151.651.740.974.051.391.54-0.450.631.691.550.561.711.730.270.472.071.991.931.921.600.960.480.51-3.341.491.310.611.98-0.461.641.031.962.852.250.885.104.304.093.644.734.784.703.745.143.684.483.334.603.903.533.594.344.073.863.394.715.165.114.74
15.3715.1915.0914.6214.6814.3614.2512.9713.4513.7414.1313.7813.6213.3713.5513.1013.0112.9913.5813.5413.3713.0612.7212.4912.5713.0512.8213.5713.2512.8412.6113.2013.5813.4312.8913.0813.4513.2014.4514.2214.2813.6713.6913.0812.3412.5713.1213.5113.0914.5714.0913.9814.0913.4412.7912.2211.1011.0010.9310.429.568.53
0.370.472.470.990.380.20-0.30-0.83-0.54-0.211.911.160.470.282.370.870.150.362.461.090.370.291.450.20-0.43-0.922.370.550.350.031.840.540.08-0.073.290.980.13-0.694.310.94-0.08-0.613.420.77-0.23-0.743.270.800.37-0.651.30-0.89-1.41-1.352.10-0.10-0.31-0.882.550.03-0.45-1.07
0.140.371.970.630.140.08-0.85-1.18-0.78-0.301.510.900.300.212.050.620.010.322.211.050.490.510.86-0.15-0.67-1.021.940.260.15-0.091.180.05-0.19-0.222.01-0.03-0.70-1.293.360.35-0.46-0.842.460.11-0.66-0.982.520.320.07-0.780.68-1.29-1.67-1.471.56-0.33-0.44-0.951.91-0.49-0.83-1.33