Flexsteel Industries Financial Ratios for Analysis 2009-2024 | FLXS

Fifteen years of historical annual and quarterly financial ratios and margins for Flexsteel Industries (FLXS).

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
2.573.102.942.293.403.474.635.255.293.254.504.204.264.643.933.16
0.030.170.220.02------------
0.030.200.290.02-----0.06-----0.09
21.1418.0213.3520.2014.4615.7720.0823.1822.7423.5322.8623.4324.2222.7722.9118.84
4.142.681.226.51-9.37-9.735.017.957.617.375.085.255.754.675.37-0.70
4.142.681.226.51-9.37-9.735.017.957.617.375.085.255.754.675.37-0.70
5.113.842.177.60-7.09-8.056.529.649.128.436.046.236.565.476.280.45
3.772.341.086.57-9.20-9.615.148.027.587.625.435.415.874.775.35-0.80
2.553.750.344.81-7.32-7.353.615.074.854.783.423.413.713.073.31-0.47
1.501.362.031.611.551.741.721.742.031.912.092.011.942.062.072.15
3.372.643.342.374.453.994.063.624.503.143.453.203.233.563.473.56
9.3310.3113.248.5511.3911.6311.8611.0711.2110.3511.3810.7110.4810.799.1310.36
39.1235.3927.5742.6732.0531.4030.7832.9832.5635.2632.0734.1034.8333.8239.9735.22
7.0010.431.4113.72-15.30-15.877.3110.3111.5611.948.998.709.378.109.18-1.41
7.0010.431.4113.72-15.30-15.877.3110.3111.5611.948.998.709.378.109.18-1.41
3.845.090.697.77-11.31-12.826.218.819.829.127.136.837.196.336.85-1.00
6.788.701.0913.44-15.30-15.877.3110.3111.5611.948.998.709.378.109.18-1.41
28.9227.3724.8224.5322.2825.9930.7229.5027.2324.9722.6221.2820.1919.1617.7016.27
5.784.271.23-4.382.300.853.453.357.000.422.160.811.281.992.852.63
5.673.440.93-2.234.41-1.820.511.876.06-4.411.62-0.04-0.281.652.672.55

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.842.572.793.073.533.102.983.343.042.942.953.413.392.293.003.163.203.402.903.383.813.474.764.144.194.634.635.144.855.255.214.655.315.294.884.043.903.253.943.632.844.504.543.723.974.204.214.374.324.264.374.454.754.644.244.483.873.933.913.333.453.163.78
0.020.030.090.110.190.170.120.130.190.220.230.280.240.02------------------------0.080.05----------------------0.09
0.020.030.100.120.230.200.130.150.230.290.300.390.310.02----0.07----------------0.030.040.060.080.090.07------------------0.040.060.090.13
21.5121.2721.7521.9319.4619.9518.8217.0116.0414.1915.726.7217.0019.4019.5320.4721.689.1614.0115.5917.165.3419.1218.1419.2015.0721.7821.1821.8122.8423.5622.5723.7723.9722.9022.0722.0322.7324.2123.6923.4822.9622.6623.1622.6623.3123.2224.0523.1325.2924.1224.0723.2624.5421.3822.7322.4823.5522.1423.9921.8020.9716.53
5.826.852.784.582.034.002.144.040.452.864.14-6.104.275.225.368.267.52-48.85-8.44-6.8812.64-26.54-18.161.781.412.383.435.978.137.769.977.106.887.299.016.737.417.079.156.566.567.925.961.305.216.294.954.864.817.245.595.524.466.194.284.014.237.514.805.723.181.74-3.83
5.826.852.784.582.034.002.144.040.452.864.14-6.104.275.225.368.267.52-48.85-8.44-6.8812.64-26.54-18.161.781.412.383.435.978.137.769.977.106.887.299.016.737.417.079.156.566.567.925.961.305.216.294.954.864.817.245.595.524.466.194.284.014.237.514.805.723.181.74-3.83
---------------------------------------------------------------
5.776.722.484.091.423.591.893.700.112.684.03-6.184.125.215.418.397.56-48.34-8.32-6.7712.72-26.39-18.021.831.562.533.556.098.247.8210.057.196.927.238.966.807.347.399.216.607.138.036.391.675.696.535.094.934.997.355.745.574.616.304.434.024.357.654.695.723.041.41-3.99
3.984.441.683.050.799.601.493.060.30-0.223.79-5.333.164.294.127.093.69-39.72-5.33-5.239.52-19.87-13.941.321.141.932.434.815.165.136.314.554.245.025.544.284.554.775.684.094.495.074.001.043.614.163.173.093.154.683.653.472.924.142.882.572.694.842.853.551.821.07-2.52
0.390.400.390.370.330.360.370.360.340.460.480.440.430.460.470.510.440.270.360.380.380.390.420.410.400.400.440.460.430.430.450.450.450.500.510.510.530.500.500.480.460.530.550.540.520.530.520.510.500.520.520.500.490.510.520.520.540.540.540.540.510.490.47
0.850.900.870.740.630.690.710.700.660.760.770.740.590.680.871.031.090.831.131.000.891.010.941.031.021.000.930.930.900.911.000.950.991.090.990.880.910.820.860.800.780.870.930.870.830.850.880.820.820.850.920.820.800.860.900.820.860.900.940.950.820.800.80
2.632.512.763.193.002.772.712.852.823.033.152.832.852.432.682.572.652.012.882.482.762.632.782.772.602.742.802.732.622.772.772.692.622.752.772.522.712.692.622.632.652.882.742.712.682.832.662.782.552.802.712.652.542.682.392.552.312.392.462.532.312.382.29
34.1635.9332.6428.2330.0232.4633.1731.5631.8729.7128.5431.7731.5437.0033.6235.0034.0244.7431.2336.3432.5834.2732.3832.4634.5632.8332.1333.0134.4132.4732.5333.4534.4032.7132.5335.7233.1833.4634.2934.2333.9131.2132.8933.1933.5731.8333.8632.4335.3132.1933.2333.9435.4833.6237.6335.2738.9937.6136.6535.5238.9937.7639.33
2.683.271.242.130.537.171.112.160.22-0.213.78-4.872.563.482.985.022.27-14.67-2.61-2.574.45-9.69-6.860.650.540.901.282.592.632.613.382.472.222.943.402.723.003.103.842.672.863.382.760.752.442.802.112.022.023.152.452.221.832.711.971.741.953.522.032.661.270.75-1.73
2.683.271.242.130.537.171.112.160.22-0.213.78-4.872.563.482.985.022.27-14.67-2.61-2.574.45-9.69-6.860.650.540.901.282.592.632.613.382.472.222.943.402.723.003.103.842.672.863.382.760.752.442.802.112.022.023.152.452.221.832.711.971.741.953.522.032.661.270.75-1.73
1.541.790.661.120.263.500.551.090.10-0.101.83-2.331.341.971.943.581.62-10.85-1.91-2.003.57-7.83-5.860.550.450.771.072.212.212.232.862.051.892.502.852.162.392.362.841.982.072.682.190.571.882.201.641.571.572.421.911.721.442.121.501.341.452.621.531.910.930.53-1.20
2.623.171.131.890.435.980.981.890.18-0.162.92-3.511.953.412.985.022.27-14.67-2.61-2.574.45-9.69-6.860.650.540.901.282.592.632.613.382.472.222.943.402.723.003.103.552.542.863.382.760.752.442.802.112.022.023.152.452.221.832.711.971.741.953.522.032.661.270.75-1.58
29.7128.9228.1727.8027.1727.3725.6925.4024.6724.8224.8623.7025.0024.5323.7923.7622.9422.2825.2826.3227.0125.9928.7130.6530.6530.7230.7430.5429.9729.5028.8528.0527.5327.2326.6825.9625.3924.9724.3723.5623.0222.6221.9121.5821.5121.2820.7720.4620.2620.1920.0519.6719.2519.1618.5618.2717.9217.7017.1716.8716.4816.2716.30
0.435.784.473.22-0.334.275.694.622.381.23-0.60-6.14-6.25-4.38-2.12-1.46-0.282.301.740.10-0.410.851.591.381.253.451.800.160.193.352.991.531.437.004.101.181.100.420.79-0.730.412.161.510.160.170.810.830.28-0.491.281.230.29-0.421.990.860.04-0.532.852.852.680.462.631.97
0.355.673.672.65-0.583.445.024.212.030.93-0.75-6.08-6.16-2.230.160.92-0.244.413.902.341.93-1.82-1.02-0.82-0.060.510.04-0.690.331.871.780.790.876.063.190.440.83-4.41-3.58-4.66-2.961.621.01-0.030.08-0.040.07-0.39-0.90-0.280.48-0.09-0.511.650.74-0.04-0.582.672.682.550.372.551.93