FitLife Brands Financial Ratios for Analysis 2009-2024 | FTLF

Fifteen years of historical annual and quarterly financial ratios and margins for FitLife Brands (FTLF).

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
1.425.434.362.841.961.471.061.771.464.293.293.422.041.88-
0.36--0.04---0.030.080.180.29----
0.74--0.04-0.222.590.270.300.360.600.080.140.21-
40.6741.7844.8043.1341.7139.5028.6039.7935.0135.5436.2536.0634.3024.82100.00
14.3319.7922.3219.6613.033.82-50.301.87-6.089.287.0510.401.73-37.96100.00
14.3319.7922.3219.6613.033.82-50.301.87-6.089.287.0510.401.73-37.96100.00
15.1520.0222.5319.8313.304.23-14.693.75-4.4010.418.2311.753.90-34.64100.00
13.2920.2124.0319.9413.683.05-50.971.45-6.669.247.0310.372.70-38.94100.00
10.0515.3819.3839.9113.312.37-54.841.45-6.508.386.5713.952.70-38.94-123.45
0.951.121.301.333.172.712.591.651.021.982.132.362.511.88-
3.441.842.363.563.322.934.424.062.435.634.563.144.234.16-
17.1940.8629.5412.0411.149.099.099.226.3211.8415.6218.6711.6014.28-
21.238.9312.3630.3232.7740.1640.1539.5957.7430.8223.3619.5531.4825.56-
19.5920.7131.1974.3284.9922.00-1,070.283.49-11.5324.9326.8850.5112.48-125.39-
-42.1421.2132.2175.7691.7124.37-1,420.829.14-36.6529.4834.2755.5018.88-248.84-
9.5717.2325.1553.0943.238.07-142.232.39-6.6416.5614.0032.896.77-74.13-
12.4520.7131.1971.5984.9922.00-1,070.293.38-10.5820.5319.1343.4810.19-107.00-
5.884.753.812.802.910.520.212.512.422.051.480.191.08--
0.860.830.931.262.070.060.160.01-0.710.440.720.020.03-0.760.00
0.840.830.931.262.070.060.110.01-0.710.440.720.020.03-0.77-

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
1.501.381.271.422.642.292.135.434.615.374.324.363.753.353.172.843.382.911.701.962.061.811.841.471.271.191.151.061.401.491.591.771.801.711.681.462.943.524.534.294.363.253.893.292.463.984.663.423.902.492.152.042.542.011.791.88-------
0.220.250.290.360.260.280.32--------0.040.070.09---0.060.06------0.010.020.030.040.050.070.080.130.150.160.180.180.200.240.290.34------------------
0.410.480.560.740.450.500.58--------0.040.070.100.53--0.260.300.22---2.590.270.270.270.270.260.270.310.300.270.310.330.360.350.400.470.600.590.060.060.080.080.090.110.140.130.150.190.21-------
43.8244.7744.0340.3240.9740.4141.0540.7639.0244.6142.6542.8043.9243.7949.9241.5941.3448.1444.5040.1042.3840.1543.2336.3338.2341.2441.505.4536.6430.3334.3619.0837.2144.0045.905.5341.6538.5241.0129.8833.6137.5637.2134.0135.7636.9137.4534.6535.6038.1635.2628.3737.2335.5535.65100.00100.00100.00100.00100.00100.00100.00100.00
19.9221.7120.4313.7117.7717.516.2713.7618.5423.3321.8820.8921.3424.1922.5223.6923.98-4.6421.48-0.4216.489.2920.45-5.318.844.894.77-241.83-12.00-10.29-5.48-38.09-6.7114.0611.65-64.647.075.71-0.41-24.7411.6613.6414.63-5.809.8710.199.95-2.5410.2315.0214.54-22.059.2512.773.57100.00100.00100.00100.00100.00100.00100.00100.00
19.9221.7120.4313.7117.7717.516.2713.7618.5423.3321.8820.8921.3424.1922.5223.6923.98-4.6421.48-0.4216.489.2920.45-5.318.844.894.77-241.83-12.00-10.29-5.48-38.09-6.7114.0611.65-64.647.075.71-0.41-24.7411.6613.6414.63-5.809.8710.199.95-2.5410.2315.0214.54-22.059.2512.773.57100.00100.00100.00100.00100.00100.00100.00100.00
---------------------------------------------------------------
18.1319.8317.9312.7615.3217.615.3714.9119.0523.4421.9820.9921.4524.2430.7223.7124.01-4.8222.55-0.4216.7611.9720.19-6.667.963.884.72-242.82-12.69-10.97-5.96-38.76-7.2213.7711.28-66.256.775.32-0.94-25.7611.2413.2315.62-6.5210.4810.119.88-2.6810.3014.9414.53-16.929.0212.573.25100.00100.00100.00100.00100.00100.00100.00100.00
13.3115.5213.0511.1312.2013.311.458.8114.6718.4817.6917.3316.7819.4125.0992.8123.76-3.3623.22-1.2316.4011.4620.19-9.977.963.884.72-264.61-12.69-10.97-5.96-33.97-6.7512.4610.33-62.716.114.84-1.10-23.7010.2712.1114.11-6.829.939.309.6916.7310.1814.9414.53-16.929.0212.453.25-93.61-27.42-22.98-23.39-245.06-251.11-19.03-18.86
0.270.300.300.240.320.320.260.210.310.320.310.330.320.430.310.380.720.360.560.550.770.600.790.560.630.710.770.460.270.330.350.220.290.440.450.160.520.460.380.210.500.520.640.400.410.550.740.440.700.740.810.560.640.610.620.39-------
0.870.961.040.871.060.960.720.350.670.680.590.630.610.980.591.041.800.411.130.591.231.021.430.630.960.931.131.040.891.361.270.740.761.331.210.552.191.681.370.661.451.182.060.881.261.071.120.601.201.131.601.041.041.041.33--------
7.736.496.954.345.145.095.257.625.423.694.327.623.634.682.323.432.631.951.311.931.681.431.541.861.462.371.871.611.151.321.241.251.321.361.490.981.301.691.611.271.802.392.372.923.202.802.973.483.292.462.902.602.802.522.902.99-------
11.6413.8712.9520.7417.5117.6617.1411.8116.6224.4120.8411.8124.7819.2438.7726.2634.2446.0568.6546.5253.6762.7558.4448.3061.7437.9848.2155.7478.2668.0472.5672.1068.3466.3260.4591.4569.4653.2355.8770.6250.0837.6238.0230.8528.0832.1030.2825.8727.3536.5930.9834.5832.1435.7831.0130.07-------
6.228.257.355.476.728.230.722.215.647.126.877.196.9010.8310.1549.2226.14-1.9930.40-0.4924.3115.3133.44-10.5419.3512.0017.84-917.34-5.52-5.68-3.25-11.05-3.068.937.41-17.315.253.51-0.62-7.587.8210.9215.22-5.229.687.4810.0011.2910.4418.9521.77-17.549.3413.603.74-62.38-------
-40.22-34.76-21.00-11.7840.5584.155.112.275.787.317.087.437.1411.2510.3150.1727.11-2.0931.92-0.5325.9016.3335.70-11.6821.9714.2621.87-1,217.78-16.81-16.16-8.70-28.92-6.9620.1119.57-55.026.014.08-0.72-8.979.2213.2119.14-6.6512.387.7510.6012.4011.9422.8528.63-26.5413.6421.426.74-123.80-------
3.634.593.892.673.864.300.371.844.535.945.495.805.398.267.6635.1517.16-1.1912.98-0.2512.857.1715.97-3.875.002.773.62-121.90-3.46-3.64-2.09-7.57-1.985.434.61-9.973.152.22-0.42-5.045.106.298.99-2.724.065.107.147.357.1211.0511.82-9.525.807.652.02-36.88-------
4.856.165.233.484.995.910.492.215.647.126.877.196.9010.8310.1547.4124.39-1.8130.40-0.4924.3114.3931.32-10.5419.3512.0017.84-917.34-5.52-5.62-3.18-10.68-2.938.486.92-15.884.593.00-0.52-6.246.428.7011.61-3.716.396.528.719.728.9416.2818.29-14.327.9611.583.16-53.23-------
7.436.936.395.885.685.364.864.754.754.464.123.813.623.413.172.801.481.091.112.910.980.880.800.520.430.320.280.212.182.312.442.512.832.902.652.422.282.152.112.052.202.031.811.481.622.322.170.191.751.591.321.08-----------
1.741.331.000.860.570.370.050.831.000.480.230.930.660.630.061.260.770.380.002.070.360.20-0.020.06-0.070.20-0.010.160.060.10-0.010.010.090.04-0.26-0.71-0.150.200.120.440.180.240.020.720.710.420.000.020.020.070.140.030.00-0.020.04-0.780.000.000.000.000.000.000.00
1.741.331.000.840.550.360.050.831.000.480.230.930.660.630.061.260.770.380.002.070.360.20-0.020.06-0.070.20-0.010.110.050.10-0.010.010.080.03-0.27-0.71-0.150.200.120.440.180.240.020.720.710.420.000.020.020.070.140.030.00-0.020.04-0.79-------