Federal Signal Financial Ratios for Analysis 2009-2024 | FSS

Fifteen years of historical annual and quarterly financial ratios and margins for Federal Signal (FSS).

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
2.912.942.532.732.252.072.593.062.691.952.001.791.811.401.69
0.230.300.260.230.260.280.380.140.100.110.190.510.550.460.33
0.300.420.360.300.340.400.610.160.110.140.261.071.271.190.61
26.1324.0423.8025.9626.4325.8924.6225.9129.3826.7924.6923.6322.5623.8425.73
13.0311.2110.7711.6212.0411.158.198.5913.4411.388.646.414.821.964.77
13.0311.2110.7711.6212.0411.158.198.5913.4411.388.646.414.821.964.77
16.4015.0214.9315.6115.4714.5311.5611.3715.0912.9310.898.607.003.766.73
11.7810.529.6911.0211.3510.246.798.0213.0110.706.163.222.410.163.34
9.148.398.298.518.888.636.866.198.278.1822.44-3.42-2.06-27.753.08
1.060.940.890.941.051.060.911.101.151.181.111.310.970.831.01
4.193.724.044.534.915.134.944.376.226.514.895.125.114.035.03
9.258.268.928.909.108.767.608.7110.5210.597.468.296.566.316.27
39.4544.2140.9240.9940.1141.6848.0241.9234.6934.4848.9544.0355.6557.8858.22
15.7113.9912.8313.6916.9017.6813.2310.0016.2216.0743.4514.987.50-33.546.02
48.9360.4168.8662.24121787-84.3826.7337.8643.77198-17.54-13.4142.61-47.83
9.717.907.367.959.309.156.106.139.879.0623.653.591.85-9.692.66
12.149.859.4410.5412.5812.668.238.6114.6514.3635.007.343.38-18.284.05
16.4214.1812.8711.6110.618.817.626.616.525.955.592.352.813.566.74
3.161.171.642.211.671.521.210.401.531.141.180.370.060.531.28
2.670.311.041.731.101.291.070.301.380.931.000.19-0.130.361.07

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
2.892.822.912.983.052.792.942.822.672.562.532.952.512.432.732.632.532.532.252.322.212.082.072.032.152.452.592.372.283.013.062.842.673.082.692.422.332.141.951.951.881.912.002.082.051.901.791.732.101.841.810.810.831.451.401.901.801.551.691.721.711.88
0.180.200.230.270.310.300.300.290.290.290.260.250.230.240.230.260.270.300.260.290.270.280.280.300.330.360.380.400.410.140.140.140.140.000.100.090.100.110.110.140.140.170.190.290.340.520.510.490.570.560.550.130.130.450.460.350.350.440.330.390.420.46
0.230.260.300.380.440.430.420.400.400.420.360.330.300.310.300.350.370.440.340.410.360.400.400.430.500.570.610.670.700.160.160.160.170.000.110.120.130.140.140.180.200.240.260.440.541.121.071.011.401.301.271.001.001.081.190.570.600.920.610.780.870.93
29.3627.3026.6326.3726.5124.8524.6723.9024.4922.9322.3623.7724.3824.6825.7525.9526.0326.1425.9226.5527.4425.6825.7725.6127.2224.7924.8824.6524.3824.5225.9524.2626.1227.4329.6730.4429.5527.9435.6826.6325.1123.3833.1324.1323.2723.4222.8324.6524.0723.1021.8421.7522.7223.9115.9724.7826.1824.4826.4924.8526.1525.23
16.5412.7814.0714.0013.4310.2511.9011.4012.608.639.9911.5011.509.9711.4712.1511.5911.2911.5812.5014.289.4211.9511.2813.097.858.528.978.386.419.607.238.309.3213.0414.0214.2212.4721.6811.3510.196.3915.398.988.186.065.976.707.735.258.795.076.04-0.587.072.671.28-0.917.854.384.182.33
16.5412.7814.0714.0013.4310.2511.9011.4012.608.639.9911.5011.509.9711.4712.1511.5911.2911.5812.5014.289.4211.9511.2813.097.858.528.978.386.419.607.238.309.3213.0414.0214.2212.4721.6811.3510.196.3915.398.988.186.065.976.707.735.258.795.076.04-0.587.072.671.28-0.917.854.384.182.33
--------------------------------------------------------------
15.8011.9813.0512.7911.919.0010.7310.5912.168.366.3711.2311.269.7611.4011.7610.1810.7010.9711.7613.698.5511.1710.4712.106.815.018.047.846.197.557.078.249.3213.0413.5213.9211.5520.1610.819.685.8913.678.277.37-0.453.122.924.841.946.352.093.87-2.654.721.73-0.61-3.226.983.212.820.00
12.4012.1410.359.709.117.118.849.189.146.216.479.798.877.968.859.047.928.189.489.2010.116.3911.638.059.245.1712.285.035.084.117.164.555.287.876.1710.468.917.5819.047.027.293.7033.377.6452.79-0.302.20-7.95-8.07-0.56-9.141.432.51-3.05-181.350.67-1.38-3.0411.022.71-2.470.54
0.290.260.280.270.270.240.260.240.250.230.220.230.260.220.240.230.220.230.270.260.300.260.270.270.290.250.250.250.220.270.270.290.260.300.280.270.310.300.190.340.360.310.130.320.340.330.360.300.280.270.240.230.240.230.120.210.230.190.280.210.250.23
1.060.961.081.000.960.911.010.921.071.021.021.051.241.031.181.051.011.051.271.201.361.201.321.301.431.231.361.301.211.051.091.221.071.341.501.001.201.120.921.221.411.260.491.431.521.221.401.081.321.191.291.081.101.090.661.091.271.071.360.941.150.96
2.302.222.412.092.292.012.252.042.162.112.222.122.262.052.321.932.162.022.342.172.221.962.252.292.222.012.092.091.912.172.172.132.091.982.551.801.711.751.702.242.231.860.851.932.121.912.251.861.891.541.641.651.551.480.931.561.581.371.711.421.621.27
39.2040.5437.3743.0039.3444.7339.9544.1741.7042.6340.6142.4839.8044.0038.7746.6441.7544.4838.4241.5340.4945.8240.0739.3540.5844.8742.9643.0347.1341.4141.5542.2343.0945.3635.2550.0852.4951.3952.9940.2240.2848.5110646.5342.4947.0340.0648.3647.6958.2955.0454.7157.9760.7696.8557.8857.0165.7252.5563.3155.4570.66
5.534.944.634.534.363.114.023.844.142.602.493.813.983.093.703.723.273.684.634.705.653.196.074.245.462.756.412.942.791.813.071.872.372.554.293.964.693.925.364.014.532.115.415.7944.00-0.763.342.785.691.725.381.452.43-2.35-32.500.55-0.13-1.223.291.441.500.07
14.1713.9614.4216.0317.3913.0017.3615.9319.1413.4113.3515.7218.3016.5416.8419.1119.9626.4433.0460.4350.0054.01271-226.04-86.77-22.28-40.86-11.65-9.384.798.214.916.376.0710.0111.4814.4913.4714.5913.8116.688.7324.61102-3,464.710.87-3.91-3.88-9.38-1.68-9.62-2.01-3.453.0341.29-2.950.622.65-26.09-6.03-5.28-0.23
3.593.122.862.622.431.732.272.172.321.441.432.222.301.752.152.071.771.912.552.422.991.643.152.152.651.282.951.251.151.101.881.161.441.782.612.382.752.223.022.332.581.172.952.5618.12-0.180.800.721.330.421.330.460.77-0.72-9.390.26-0.06-0.471.450.570.560.02
4.513.943.583.293.032.182.832.742.951.841.832.873.072.362.852.752.382.563.453.334.162.294.352.963.631.753.991.771.641.562.641.612.032.553.873.594.233.504.793.453.881.754.364.0929.06-0.371.641.422.460.762.421.272.12-1.29-17.720.35-0.08-0.692.210.880.870.04
17.9717.0916.4215.7015.1514.4814.1813.6613.3513.0012.8712.5312.1911.8011.6111.2410.8510.5710.619.999.609.118.818.508.187.837.627.096.886.656.616.706.616.666.526.426.215.875.956.065.995.735.594.634.282.312.352.542.702.902.813.653.773.633.566.486.286.576.746.265.995.88
1.170.513.161.480.700.121.170.530.370.111.640.890.640.422.211.301.060.081.670.950.42-0.141.521.180.620.171.210.850.750.230.400.300.09-0.091.531.070.430.051.140.690.37-0.111.180.510.09-0.240.37-0.04-0.010.040.060.01-0.10-0.290.530.20-0.14-0.201.280.830.430.16
0.770.372.671.130.440.020.31-0.22-0.31-0.431.040.690.490.351.730.910.79-0.071.100.610.27-0.221.291.010.500.121.070.760.710.210.300.220.03-0.121.380.950.350.010.930.490.22-0.181.000.32-0.03-0.290.19-0.16-0.080.00-0.13-0.14-0.20-0.360.360.06-0.23-0.251.070.610.260.08