Fossil Financial Ratios for Analysis 2009-2024 | FOSL

Fifteen years of historical annual and quarterly financial ratios and margins for Fossil (FOSL).

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
2.082.221.911.771.892.082.543.252.953.263.012.813.163.363.86
0.450.350.230.300.260.310.430.380.460.380.320.060.010.000.00
0.820.540.300.520.410.670.770.630.870.640.470.060.010.010.01
48.1249.3751.6847.7549.5852.7348.7451.8754.3157.0257.1156.2256.0656.8954.57
-10.13-0.094.95-8.39-1.282.47-15.224.189.0216.1417.2317.1118.3818.5413.67
-10.13-0.094.95-8.39-1.282.47-15.224.189.0216.1417.2317.1118.3818.5413.67
-8.771.306.54-5.711.195.13-12.317.3511.7318.8819.7419.4020.4120.5316.34
-11.05-1.322.84-10.66-1.410.79-16.273.769.6515.9017.2217.2317.5918.9214.20
-11.12-2.621.36-5.96-2.36-0.14-17.152.596.8310.7311.6012.0211.4812.578.99
1.441.361.371.091.381.611.681.391.371.611.461.551.561.381.21
2.902.272.612.852.473.182.492.702.362.532.452.472.312.352.86
7.528.167.337.027.657.757.608.108.718.157.177.868.497.717.38
48.5744.7249.8052.0047.6947.1148.0545.0541.9144.7750.9246.4343.0047.3149.46
-62.23-10.805.72-21.80-9.93-0.16-81.528.4324.6539.3036.0928.5627.5225.1914.90
-81.32-12.546.88-32.76-12.56-0.21-109.2919.0466.4663.7457.0640.0330.7727.8416.69
-16.02-3.521.95-6.49-3.12-0.06-28.563.919.7617.7617.4019.2318.7118.0511.30
-34.15-7.034.39-15.33-7.33-0.11-46.215.2713.3824.2624.7226.9327.3725.0814.83
4.807.778.928.559.9711.8911.9421.0419.3819.3819.6620.8017.9716.2615.20
-1.14-2.140.951.98-0.285.043.704.357.377.317.147.363.933.093.96
-1.30-2.340.971.81-0.674.693.193.925.755.535.535.532.552.413.40

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
1.811.942.162.082.252.482.642.222.372.292.171.911.731.821.871.771.831.902.091.892.061.921.992.082.012.112.212.542.323.153.313.253.283.193.592.953.613.583.513.263.033.253.503.013.103.643.652.813.053.243.903.163.183.333.553.363.794.654.513.863.714.874.72
0.520.460.470.450.480.420.390.350.430.390.300.230.180.250.280.300.340.380.420.260.320.230.230.310.340.340.390.430.400.480.380.380.410.430.460.460.470.440.420.380.390.340.340.320.310.230.110.060.130.080.010.010.000.000.000.000.000.000.000.000.010.010.01
1.090.850.900.820.920.720.640.540.750.630.430.300.310.440.480.520.570.680.770.410.520.420.410.670.750.770.880.770.740.990.630.630.730.770.870.870.910.820.730.640.650.540.530.470.460.300.120.060.160.100.020.010.010.010.010.010.010.010.010.010.010.010.01
49.4252.6452.3747.6046.9848.6649.4547.1650.3451.5549.0450.0552.7753.9850.2949.1652.7654.2835.9243.2751.6352.8753.2952.9853.6353.5950.5548.6646.4550.4949.7650.9852.1851.9152.7952.9554.1655.3455.2756.7556.9157.4657.0857.3557.3857.9055.5856.9555.7656.0255.8056.0855.9256.0456.2157.0757.0357.4255.8056.3755.2652.9352.43
-8.50-13.08-11.46-5.70-13.48-10.97-11.480.255.15-2.95-3.807.829.723.49-4.623.474.02-14.21-34.38-0.14-1.700.34-4.298.563.720.18-4.975.56-0.07-72.00-7.786.894.222.252.188.969.829.527.7420.8617.3210.9513.4820.6417.4015.1413.8521.6116.5313.8514.0620.9918.4815.5017.2421.3321.2415.6013.0420.4615.047.127.37
-8.50-13.08-11.46-5.70-13.48-10.97-11.480.255.15-2.95-3.807.829.723.49-4.623.474.02-14.21-34.38-0.14-1.700.34-4.298.563.720.18-4.975.56-0.07-72.00-7.786.894.222.252.188.969.829.527.7420.8617.3210.9513.4820.6417.4015.1413.8521.6116.5313.8514.0620.9918.4815.5017.2421.3321.2415.6013.0420.4615.047.127.37
---------------------------------------------------------------
-8.95-14.09-11.94-6.60-16.05-10.40-12.18-0.813.55-4.56-4.434.488.321.78-6.122.172.17-16.91-38.16-0.85-3.34-1.03-0.467.851.62-1.84-7.184.60-1.26-73.62-8.256.913.501.691.629.6110.0410.778.1621.0717.1410.3112.9620.3417.0614.7615.1121.7016.6413.8514.3520.3217.3914.6716.6222.0621.2415.6413.6720.6214.598.538.80
-11.13-14.92-9.53-6.70-17.74-8.24-12.69-1.891.34-5.14-5.723.256.39-0.29-6.73-0.753.67-8.70-21.90-0.97-4.81-1.46-2.636.050.82-1.35-8.48-8.67-0.78-57.76-8.285.182.350.880.887.097.467.395.2514.4711.606.798.5413.9811.079.5910.6015.9511.229.019.8614.1910.839.2310.4013.7913.0113.219.1313.269.255.265.36
0.350.330.290.430.320.300.300.400.330.290.300.440.360.310.270.360.290.180.250.440.330.310.290.500.410.410.380.560.390.340.280.440.330.310.290.420.340.360.350.490.400.360.370.480.390.360.370.510.370.370.380.510.420.370.380.480.370.310.310.410.320.290.31
0.640.610.540.870.560.510.490.700.480.410.500.870.580.540.560.910.570.320.570.890.460.510.570.980.540.540.530.820.540.480.510.870.500.500.490.750.470.490.510.770.550.500.550.790.530.510.580.810.510.530.510.750.550.540.580.810.580.590.690.940.610.590.54
1.661.951.902.241.771.981.922.422.032.101.872.371.962.192.072.302.291.992.552.462.182.462.332.402.332.822.432.512.222.482.372.552.302.672.792.682.332.912.722.472.262.542.682.342.252.742.502.612.352.812.642.752.352.462.442.662.032.532.402.522.072.272.04
54.3246.0747.4440.1550.7345.4846.7837.1744.3542.8048.1638.0046.0241.0943.5139.1739.2245.2035.3336.6541.3036.6538.6737.5238.6831.9437.0335.8740.6336.2537.9535.2439.1833.7632.3033.6238.5530.9633.0336.3939.8335.4333.6238.5240.0432.8436.0734.5238.2532.0334.0932.7738.2536.5536.8233.7944.3935.5437.4635.7743.5439.6644.13
-19.72-20.76-10.73-11.27-21.81-7.80-11.24-2.361.61-4.81-4.974.267.21-0.19-5.95-0.853.83-5.79-20.52-1.33-4.89-1.22-2.148.131.12-1.40-9.02-13.46-0.84-52.40-4.765.001.960.840.787.756.806.734.6215.8711.075.416.7514.078.896.105.9412.336.875.275.3911.006.795.175.639.486.625.453.777.444.122.052.27
-30.10-29.61-14.34-14.73-27.21-9.32-13.27-2.741.94-5.83-6.055.128.99-0.24-7.52-1.285.96-10.72-33.03-1.68-6.11-1.58-2.7210.521.48-1.90-12.64-18.05-1.27-78.08-11.1011.294.752.192.0720.9111.4711.837.9125.7418.518.7810.9122.2514.099.108.5517.289.827.606.0112.297.615.776.2610.487.306.034.198.334.692.352.61
-3.93-4.94-2.73-2.90-5.72-2.45-3.79-0.770.48-1.48-1.691.452.35-0.06-1.80-0.251.07-1.58-5.58-0.42-1.52-0.41-0.743.040.40-0.51-3.13-4.72-0.31-19.32-2.232.320.860.360.333.072.672.761.997.174.762.543.276.784.423.543.988.304.323.533.897.474.723.624.076.804.944.312.965.643.081.601.76
-9.52-11.30-5.66-6.19-11.37-4.53-6.85-1.540.92-2.95-3.483.265.91-0.14-4.30-0.602.53-3.58-11.95-0.98-3.32-0.94-1.665.580.74-0.92-5.51-7.63-0.50-27.05-2.983.121.150.490.424.213.603.742.709.806.783.544.459.646.134.715.3011.625.954.835.3610.936.775.155.609.446.595.433.757.404.092.042.26
3.053.524.324.805.316.427.077.777.537.618.408.928.497.857.938.558.267.738.239.9710.1010.7011.0311.8910.7210.4810.7711.9413.4613.5020.2721.0420.4619.8519.6219.3818.3617.4917.7719.3818.5319.0919.0619.6618.6720.0221.0420.8019.2818.6718.3217.9716.9716.5216.2116.2616.1815.4214.8615.2013.3112.6312.22
0.300.740.01-1.14-2.06-1.59-1.66-2.14-4.13-3.21-2.210.95-0.70-0.19-0.731.981.850.23-1.53-0.28-2.74-0.520.155.041.431.57-0.093.701.240.731.064.351.231.490.727.372.793.331.687.313.742.901.787.143.172.691.447.362.762.200.573.931.301.300.823.090.631.030.813.962.271.730.65
0.360.67-0.02-1.30-2.19-1.67-1.71-2.34-4.29-3.29-2.260.97-0.61-0.04-0.561.811.720.12-1.58-0.67-2.99-0.700.044.691.231.45-0.163.190.900.470.973.921.040.720.315.751.692.671.355.532.402.091.395.532.042.001.115.531.791.710.412.550.531.150.672.410.160.780.723.401.851.490.57