H B Fuller Financial Ratios for Analysis 2009-2024 | FUL

Fifteen years of historical annual and quarterly financial ratios and margins for H B Fuller (FUL).

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
1.891.841.661.921.912.002.292.072.292.412.202.282.342.312.01
0.510.520.500.560.610.650.700.380.430.380.340.380.200.240.22
1.051.101.011.281.621.952.330.750.830.650.530.670.330.400.36
28.7425.7025.7927.1227.8527.2325.9728.9227.2625.3427.8527.4227.9628.5030.07
10.128.617.717.827.807.825.189.468.187.129.558.628.107.538.68
10.128.617.717.827.807.825.189.468.187.129.558.628.107.538.68
14.6712.5312.0712.8012.6812.608.9713.1711.8010.4712.5611.6610.8010.6212.47
6.676.726.625.685.975.152.637.806.643.776.234.757.096.109.28
4.134.814.924.434.525.632.585.814.162.374.736.666.175.646.78
0.740.840.770.690.730.730.531.021.021.131.091.061.181.091.12
5.665.665.436.296.206.354.596.026.106.256.676.568.937.397.39
6.086.175.335.425.876.144.875.975.716.176.185.896.645.696.06
60.0859.1368.4467.3662.1459.4174.9861.1963.8959.2059.0461.9554.9664.1960.28
8.2611.2010.118.9610.7014.855.6512.9910.125.6310.318.7711.3710.1314.08
-31.54-37.28-41.56-18.04-15.24-16.15-4.6233.2528.8811.4421.4323.4717.2916.3223.96
3.074.043.783.073.284.101.365.934.332.685.123.826.535.577.60
4.045.395.063.944.195.201.728.005.733.496.845.459.067.7011.06
32.4630.0130.2726.6223.8622.7320.8718.7117.4417.7018.5215.6014.2712.9012.21
6.764.643.936.315.184.873.223.824.100.582.592.151.771.461.45
4.722.322.214.574.203.622.172.673.06-2.030.211.471.160.861.01

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.891.891.991.892.011.992.081.841.931.951.871.661.701.791.891.922.172.051.891.912.362.142.102.002.252.242.142.292.632.612.562.072.092.092.092.292.442.222.232.412.282.262.282.202.412.492.432.282.291.842.322.342.352.332.402.312.352.312.212.012.572.442.36
0.520.530.510.510.520.520.530.520.540.540.530.500.510.520.550.560.580.610.610.610.640.650.650.650.670.670.680.700.420.430.440.380.380.390.410.430.430.430.450.380.360.360.350.340.360.370.370.380.370.410.190.200.200.210.220.240.300.290.270.220.230.230.27
1.101.131.041.051.091.121.151.101.221.201.161.011.061.101.221.281.421.581.611.621.781.891.901.952.102.132.182.330.770.790.850.750.740.780.820.830.800.830.880.650.590.590.570.530.590.610.640.670.670.880.310.330.320.330.360.400.500.520.480.360.380.390.45
30.0430.7529.5230.3329.2528.5926.5525.8926.4725.5224.8626.9123.4626.2826.5027.4727.1727.4126.3327.2228.5828.7626.7426.9927.9227.8926.0224.1226.7226.0027.6228.5028.4929.7229.0128.4728.0227.5424.6924.1823.7626.2227.3827.3028.0828.2527.8028.0026.8425.9129.7327.0628.3727.9528.5424.1928.4429.0631.5731.1731.8429.8826.92
11.3710.978.2512.5610.1410.047.459.429.348.816.668.437.198.356.669.518.498.444.457.139.209.535.088.398.749.294.601.477.147.705.189.979.4410.257.989.539.268.944.547.115.398.517.469.9410.4810.187.459.418.588.278.018.568.538.916.267.626.707.428.4810.1810.189.324.45
11.3710.978.2512.5610.1410.047.459.429.348.816.668.437.198.356.669.518.498.444.457.139.209.535.088.398.749.294.601.477.147.705.189.979.4410.257.989.539.268.944.547.115.398.517.469.9410.4810.187.459.418.588.278.018.568.538.916.267.626.707.428.4810.1810.189.324.45
---------------------------------------------------------------
7.887.974.669.556.546.523.776.487.787.035.477.355.897.685.317.476.546.112.155.499.236.772.055.585.827.071.85-3.685.736.233.648.338.488.655.498.157.597.512.823.971.985.113.985.876.906.805.306.546.341.005.496.338.248.215.496.146.224.417.839.7115.518.162.93
6.035.593.824.984.184.502.715.044.944.754.475.673.825.934.105.226.024.691.534.366.854.821.825.384.905.636.69-0.944.474.612.946.386.386.263.994.565.114.652.061.950.763.773.004.105.495.004.314.8916.640.374.437.086.406.824.238.415.613.166.127.1911.235.872.20
0.180.190.170.190.190.190.180.210.210.220.180.210.190.190.180.190.170.170.160.190.180.180.160.180.180.180.160.160.250.260.230.280.250.260.230.270.250.260.220.290.270.280.250.280.290.290.270.290.290.300.280.300.280.290.290.230.290.310.270.310.270.270.27
1.261.281.171.421.351.281.131.441.261.361.171.461.371.431.371.751.421.261.251.591.391.411.271.611.381.411.291.381.301.371.271.661.401.431.271.581.411.481.291.651.431.421.351.751.671.671.511.771.701.841.492.341.501.751.691.631.631.901.592.011.911.781.46
1.601.611.541.561.561.531.431.581.451.541.391.461.441.421.441.511.451.511.411.501.491.521.411.551.651.651.531.431.431.481.411.641.491.501.411.501.531.521.401.601.531.531.481.611.621.641.561.601.571.671.411.721.501.501.501.181.621.711.671.681.661.601.55
56.3656.0558.3857.6157.5758.7862.9957.0562.1358.4064.7661.6462.3663.4162.6159.5961.9759.7963.7360.0560.2659.1763.9757.9854.4554.4658.9362.8662.8560.6764.0454.9760.4260.0663.6459.8958.7159.3264.1656.0958.9658.6360.6255.8655.7354.9857.8356.1457.3953.8863.7452.4559.9959.9060.1276.2455.6752.7553.9653.7254.2956.2158.24
3.002.861.752.562.182.401.343.002.952.922.333.192.023.142.072.943.172.590.812.644.233.151.043.593.353.934.25-0.612.432.611.563.923.433.612.142.872.972.991.131.210.432.161.572.363.233.192.593.213.100.721.872.782.973.352.132.433.141.943.244.155.522.891.13
-9.95-8.56-7.37-9.79-7.38-8.42-4.83-9.99-9.21-8.92-6.78-13.10-6.94-9.82-4.75-5.92-5.45-3.81-1.16-3.75-5.47-3.61-1.19-3.90-3.37-3.84-3.890.497.198.135.2510.039.059.265.858.208.949.814.002.460.834.283.234.917.547.656.448.607.672.122.784.234.475.113.343.925.243.125.387.068.904.881.99
1.111.040.660.950.810.880.481.081.021.020.831.190.741.150.721.011.050.790.250.811.230.880.290.990.881.021.09-0.151.101.180.681.791.581.620.941.231.301.270.470.580.211.050.771.171.511.471.181.401.410.291.081.601.731.941.211.341.600.971.682.243.081.600.59
1.431.340.861.251.051.140.631.441.341.341.081.600.991.510.941.291.321.010.321.031.531.110.371.261.101.281.38-0.181.401.490.872.412.112.191.271.631.701.690.620.750.281.381.011.572.072.021.632.001.940.431.512.212.372.651.651.852.221.372.373.264.242.220.82
33.7232.8832.4832.4631.9731.2530.3630.0129.6230.3831.0330.2729.8429.7827.6526.6225.4023.6423.7723.8623.0822.8423.0722.7322.2522.3422.1720.8720.5319.6318.8118.7119.0118.3717.7117.4417.8817.6317.2117.7018.9119.0218.6518.5216.7216.2615.9115.6015.9214.0514.6014.2715.1814.6713.5012.9012.2411.5911.9912.2113.2012.4111.11
3.832.280.846.763.871.950.104.640.88-0.17-0.323.932.951.470.676.313.672.080.655.183.111.480.014.872.050.43-0.623.221.370.630.323.822.841.610.834.102.972.261.290.58-0.24-0.66-0.332.591.740.80-0.232.151.290.690.011.771.020.440.031.460.550.330.021.452.381.190.04
1.850.700.084.721.990.51-0.742.32-0.88-1.40-1.202.211.590.560.024.572.220.990.004.202.300.87-0.253.621.20-0.16-0.952.170.700.13-0.062.671.960.930.393.062.061.520.76-2.03-2.50-2.23-1.310.210.17-0.14-0.601.470.960.45-0.101.160.620.17-0.090.860.110.08-0.161.012.080.98-0.05