L.B Foster Financial Ratios for Analysis 2009-2024 | FSTR

Fifteen years of historical annual and quarterly financial ratios and margins for L.B Foster (FSTR).

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
1.762.002.082.051.861.832.422.422.342.253.283.012.832.473.64
0.280.400.150.200.250.380.460.530.370.070.000.000.000.010.05
0.390.670.170.250.340.610.841.200.600.080.000.000.010.020.08
20.7518.0116.8019.1019.6219.5319.6218.6921.4020.0319.3915.6817.1015.6014.82
1.86-1.450.873.145.19-3.383.31-1.074.616.116.953.855.366.686.03
1.86-1.450.873.145.19-3.383.31-1.074.616.116.953.855.366.686.03
4.671.523.575.877.52-0.797.013.788.888.188.625.987.258.618.13
0.17-1.810.892.813.92-4.231.87-30.44-8.106.437.384.055.686.846.31
0.27-9.160.711.526.91-5.361.00-29.30-7.124.234.902.753.984.393.89
1.741.361.501.341.521.521.341.231.101.231.451.451.511.231.22
5.865.396.805.124.183.764.204.725.095.116.264.635.334.363.48
10.176.039.198.538.376.757.007.267.966.736.079.868.656.706.60
35.9060.5039.7342.7843.5954.1052.1150.3045.8754.2160.0937.0142.1954.4755.27
0.91-33.201.9414.6028.24-25.053.47-106.31-15.717.649.265.138.187.826.76
1.42-55.012.6821.5944.34-57.686.94-278.86-67.1915.0214.177.1611.8812.026.77
0.41-12.501.046.9711.84-7.981.33-36.04-7.845.227.083.645.815.294.74
0.66-19.921.6511.6521.31-15.571.89-50.16-9.877.099.265.138.187.756.40
13.3112.7717.2116.7416.3011.7814.9412.9227.6732.8031.0528.3426.7927.0325.18
3.40-0.99-0.101.592.752.513.761.795.486.461.382.633.075.752.50
3.00-1.67-0.530.732.272.383.311.144.544.830.441.941.936.161.91

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
2.382.171.761.982.222.092.002.062.102.082.081.991.881.862.052.051.861.931.861.952.041.881.831.831.952.022.422.102.062.172.422.222.292.572.342.682.752.582.252.813.003.453.283.383.203.273.012.492.493.212.832.652.702.662.473.233.343.993.644.174.224.56
0.370.350.280.340.390.370.400.360.210.160.150.150.170.170.200.220.250.270.250.340.390.410.380.330.400.410.460.470.480.520.530.430.480.380.370.420.390.390.070.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.010.010.050.050.070.080.08
0.590.540.390.500.630.580.670.560.270.200.170.180.210.210.250.280.340.400.340.530.670.710.610.490.660.700.840.961.001.181.200.770.910.630.600.740.630.650.080.000.000.000.000.000.000.000.000.000.000.000.010.010.010.010.020.070.070.080.080.100.110.12
21.6821.1121.5319.4221.7920.1719.5217.7617.7116.6516.8517.1316.9316.2218.7618.6419.8818.9722.2119.3018.4819.3822.6818.7319.1218.1221.1620.0519.1517.9017.6217.2720.4518.9721.4720.4721.6422.2319.6120.9518.4021.6619.5719.2919.4619.2119.5918.037.5618.9420.0818.6914.9114.9214.5915.9617.0014.7214.8218.1412.9213.46
3.201.840.451.854.290.44-4.58-0.861.89-2.31-0.490.583.19-0.572.473.015.551.117.113.656.273.68-29.834.724.58-0.045.403.333.770.22-2.83-1.541.26-1.681.486.305.464.535.507.945.954.457.018.057.025.437.257.88-3.063.527.007.655.050.916.158.117.983.516.468.884.254.58
3.201.840.451.854.290.44-4.58-0.861.89-2.31-0.490.583.19-0.572.473.015.551.117.113.656.273.68-29.834.724.58-0.045.403.333.770.22-2.83-1.541.26-1.681.486.305.464.535.507.945.954.457.018.057.025.437.257.88-3.063.527.007.655.050.916.158.117.983.516.468.884.254.58
--------------------------------------------------------------
2.253.78-0.540.222.74-2.35-5.41-1.752.13-2.12-0.642.242.58-1.371.852.406.41-0.053.313.175.602.88-30.203.853.56-1.093.912.292.42-1.68-3.97-8.17-95.17-3.283.69-39.874.564.835.998.266.134.787.408.647.405.767.697.70-2.813.937.138.635.160.847.028.057.843.256.2710.054.314.69
2.023.57-0.320.352.39-1.86-32.03-1.601.53-1.59-0.301.801.86-1.081.815.770.37-1.5321.842.124.762.45-34.693.843.14-1.521.092.452.09-2.04-38.33-5.22-67.65-2.242.39-32.623.133.113.745.434.113.284.656.044.873.814.744.83-1.272.954.756.153.720.584.465.195.012.143.726.282.672.97
0.420.380.430.430.420.340.380.310.360.280.330.360.410.310.310.310.360.310.300.370.480.350.310.450.450.330.350.320.370.300.270.280.290.230.250.290.240.200.330.370.380.270.380.390.360.320.350.400.410.310.340.420.460.320.370.350.350.250.320.310.320.33
1.381.141.441.431.461.091.461.261.471.211.490.991.120.831.190.821.000.870.790.911.220.850.741.271.380.991.081.011.381.181.051.041.141.111.131.421.271.011.361.461.611.121.641.401.220.981.061.541.780.961.151.371.520.981.321.111.050.660.910.830.920.90
1.862.152.522.251.992.101.661.611.821.672.022.011.971.771.981.931.721.561.631.702.041.511.381.951.801.591.851.661.881.551.601.771.671.691.771.591.661.481.791.841.771.671.591.831.901.792.361.981.751.851.931.952.041.892.012.011.932.001.721.891.991.73
48.5141.9035.6940.0245.1442.7954.1055.8449.4453.8744.5444.7145.6450.9145.4046.6952.4757.7055.1352.8444.2059.5265.3446.1150.1456.4748.7754.2947.8658.1356.2750.9653.8753.3050.7756.6754.2061.0050.3648.9050.9853.9456.6249.0547.2750.1938.1645.4351.3248.7746.6146.1944.1147.5344.8144.7246.6445.0452.3547.6045.3252.00
1.913.03-0.330.312.45-1.58-31.95-1.201.09-0.87-0.161.241.58-0.721.299.564.250.0018.232.717.022.90-33.224.133.64-1.270.992.242.20-1.84-30.66-3.38-49.98-1.021.18-20.431.561.281.792.732.091.152.303.172.441.702.313.01-1.231.092.173.522.350.262.252.622.470.751.682.691.191.38
2.864.63-0.520.493.88-2.60-52.94-1.861.56-1.20-0.231.752.26-1.051.9114.366.650.0028.624.9913.556.20-76.517.647.15-2.671.994.965.26-4.77-80.41-6.53-102.60-4.295.03-92.0313.1816.043.534.053.111.743.534.273.352.363.224.25-1.761.583.165.253.530.403.462.672.520.761.682.701.191.38
0.851.35-0.150.130.99-0.65-12.03-0.510.54-0.46-0.090.630.75-0.340.624.381.750.007.640.952.290.87-10.591.731.40-0.500.380.790.77-0.60-10.39-1.45-19.57-0.510.59-9.390.760.621.232.021.560.891.762.331.771.241.642.01-0.820.801.542.491.650.181.521.841.760.541.181.920.850.99
1.201.97-0.240.211.51-1.00-19.17-0.770.86-0.73-0.141.061.31-0.591.037.463.180.0013.751.804.271.70-20.652.772.19-0.750.541.181.14-0.87-14.46-1.92-26.20-0.630.74-11.780.950.771.672.722.091.152.303.172.441.702.313.01-1.231.092.173.512.340.262.232.592.440.711.592.511.101.26
13.6913.4713.3113.1513.1812.6712.7716.3716.8716.9717.2117.1317.0016.6816.7416.4115.5215.4016.3013.3113.0712.2311.7814.9614.4014.0714.9413.9113.3012.7512.9217.1617.8827.2227.6727.5133.4932.6432.8032.6732.0131.1431.0530.2929.1728.5928.3430.6929.6330.1126.7929.5427.8627.0527.0326.4923.6323.0725.1822.4721.9321.56
-2.42-1.993.401.40-0.310.64-0.99-1.76-1.24-0.71-0.10-0.660.610.701.591.250.58-0.662.751.24-0.89-1.302.512.140.750.253.762.632.851.041.791.150.64-0.505.481.33-0.19-0.726.464.813.073.131.380.27-0.03-1.672.632.420.25-0.243.071.04-0.92-0.335.753.151.620.722.501.751.05-1.17
-2.47-1.883.001.19-0.390.58-1.67-2.16-1.50-0.88-0.53-0.990.400.580.730.530.04-0.932.271.01-1.24-1.542.382.050.780.183.312.252.430.721.140.610.22-0.804.540.24-0.97-1.154.833.712.352.810.44-0.28-0.33-1.771.941.80-0.23-0.481.930.27-1.55-0.606.162.761.360.591.911.290.83-1.23