Griffon Financial Ratios for Analysis 2009-2024 | GFF

Fifteen years of historical annual and quarterly financial ratios and margins for Griffon (GFF).

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
2.732.872.572.502.372.322.962.452.322.442.873.022.862.382.75
0.820.770.560.600.700.700.710.690.660.600.510.510.510.410.13
4.663.301.301.502.312.362.462.221.961.501.061.071.090.740.26
35.3432.8928.2428.2627.5825.8526.7627.1326.4523.0622.3122.5021.4922.2821.53
7.33-6.647.516.755.794.694.405.574.513.923.413.893.031.762.11
7.33-6.647.516.755.794.694.405.574.513.923.413.893.031.762.11
13.9913.929.939.458.837.787.839.218.077.637.537.786.725.276.09
4.20-9.514.843.272.471.711.102.181.29-0.290.771.18-0.781.071.64
2.89-6.723.492.591.996.350.982.032.31-0.010.200.91-0.410.741.57
1.111.010.870.840.900.950.810.830.871.101.051.030.980.741.04
3.422.863.454.633.073.683.734.123.355.286.325.595.453.746.73
8.597.887.707.427.097.057.328.016.787.717.307.766.845.127.25
42.4746.3447.3949.1851.5051.7649.8445.5553.8347.3649.9747.0453.3271.3250.32
24.62-60.258.715.925.337.014.464.812.86-0.031.042.60-1.141.342.60
-11.9846.40227-53.03-8.06-9.90-14.17-21.23-8.810.239.1026.05-10.498.133.22
3.21-10.222.701.691.231.600.951.110.72-0.010.380.94-0.400.541.57
4.37-14.113.822.391.622.101.301.510.98-0.010.511.27-0.550.782.28
5.948.3714.2612.4710.2110.398.479.108.9110.0111.0110.7410.5611.4411.55
7.911.151.312.372.111.371.141.820.681.891.511.570.601.391.43
7.130.330.621.471.300.210.330.49-0.300.340.400.38-0.860.710.87

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
2.502.782.462.732.963.183.032.872.262.832.642.572.632.602.562.502.272.592.432.372.622.702.502.322.262.452.922.962.722.822.652.452.732.802.752.322.622.842.602.442.722.832.862.873.132.873.343.023.142.942.892.863.083.222.722.383.033.303.382.754.104.06
0.870.890.830.820.820.760.740.770.630.690.560.560.570.580.580.600.690.720.700.700.700.720.710.700.710.690.740.710.710.720.710.690.690.680.670.660.640.650.610.600.580.580.550.510.520.520.510.510.510.510.510.510.480.480.420.410.150.180.190.130.210.23
6.747.845.054.664.613.222.893.301.752.231.301.301.341.391.421.502.232.572.322.312.402.572.452.362.442.302.882.462.532.672.482.222.222.212.101.961.821.871.581.501.421.411.231.061.091.091.061.071.081.061.091.090.970.950.760.740.260.290.310.260.270.31
38.4640.2236.7938.3440.1827.3636.0135.2433.9233.4328.0327.3427.3728.0530.3136.6126.1126.8427.3434.2126.8725.0228.0223.9226.8525.3627.6226.5927.3625.7627.4624825.8222.8323.5023.8824.1322.8723.5023.9023.4321.6623.2723.6321.2421.5923.0521.8224.0821.3122.7721.7121.7821.2421.2021.4522.7422.0023.0323.7323.0719.55
13.7916.8613.0412.3814.95-9.2612.49-61.1613.4413.196.505.687.217.609.689.508.154.515.867.116.354.685.747.004.563.533.243.444.874.415.0750.475.324.515.025.625.464.164.803.754.323.883.744.243.992.073.382.175.873.453.963.913.303.271.450.123.431.212.405.002.74-0.57
13.7916.8613.0412.3814.95-9.2612.49-61.1613.4413.196.505.687.217.609.689.508.154.515.867.116.354.685.747.004.563.533.243.444.874.415.0750.475.324.515.025.625.464.164.803.754.323.883.744.243.992.073.382.175.873.453.963.913.303.271.450.123.431.212.405.002.74-0.57
--------------------------------------------------------------
9.4213.169.358.7911.48-12.6810.47-63.999.9010.624.042.934.605.086.864.105.460.523.090.923.551.762.744.341.740.67-0.470.821.271.091.26-13.282.541.972.703.333.261.642.391.412.55-6.071.061.591.54-0.490.41-0.603.120.991.091.370.59-4.34-0.740.282.130.271.644.662.30-1.94
6.349.536.566.547.20-8.767.50-58.8018.268.433.262.792.862.985.456.283.450.161.946.732.36-0.211.71-0.261.1318.867.09-2.772.671.313.4826.881.641.222.182.152.131.021.491.512.86-5.090.710.090.71-0.170.130.771.880.420.550.701.07-2.94-0.41-0.491.520.651.413.632.14-0.52
0.270.280.270.270.270.270.230.250.220.210.230.220.230.230.220.130.270.240.240.120.270.260.250.260.250.230.200.230.200.220.200.010.260.280.280.290.300.290.290.290.280.280.260.250.290.270.240.250.270.260.250.260.240.260.240.200.290.270.260.290.260.26
0.930.910.850.780.740.900.640.690.720.760.800.880.830.850.850.631.140.900.850.360.960.900.811.040.950.930.881.060.770.900.79-0.121.091.241.131.171.221.201.201.381.391.551.301.491.831.491.221.361.351.331.171.441.291.391.161.021.721.801.721.801.471.42
2.021.922.152.051.901.841.851.961.791.521.771.931.611.441.701.151.761.692.010.901.781.602.021.941.661.762.062.071.571.521.540.112.071.912.402.302.131.752.122.031.871.641.851.751.881.621.791.871.831.661.671.811.801.621.851.381.851.671.871.991.871.79
44.5146.7941.9243.8447.3348.8848.5945.9150.3459.1650.8046.5355.9362.5252.9478.3851.1853.2444.7399.5350.4556.3444.6646.2854.2151.1543.6443.5057.2559.1058.2680643.3847.0037.5039.2142.2551.5642.5144.2548.0654.8148.6851.3647.9755.6650.4048.2549.0754.0753.8949.6350.0455.4248.7165.4248.6953.9948.2545.1448.1750.24
18.3831.7214.8013.3114.66-13.299.24-86.975.826.592.061.481.892.373.441.164.290.192.15-0.822.891.371.860.221.600.415.251.091.130.521.81-1.141.811.432.522.512.361.101.461.492.55-4.630.540.530.57-0.130.090.531.390.310.380.520.68-1.97-0.24-0.240.730.290.591.720.91-0.32
-5.67-8.54-6.25-6.48-7.6512.08-8.5766.98-7.15-7.5142.9438.53-93.20-45.94-39.59-10.37-7.64-0.29-3.431.23-4.54-1.97-2.63-0.31-2.11-0.83-10.04-3.46-2.51-1.01-3.945.04-5.00-4.08-7.73-7.74-9.07-4.46-8.99-10.50-30.0970.476784.626.65-1.510.825.2813.933.084.664.773.89-11.93-1.35-1.450.880.360.732.131.12-0.40
1.732.651.761.731.91-2.341.75-14.751.511.540.650.460.580.721.020.330.950.040.47-0.190.670.300.420.050.350.091.050.230.250.110.40-0.260.430.340.620.630.630.290.430.440.79-1.450.180.190.21-0.050.030.190.500.110.140.180.26-0.75-0.10-0.100.440.170.351.040.56-0.19
2.383.602.462.362.63-3.182.39-20.382.132.060.900.650.811.001.430.471.340.050.65-0.250.860.390.540.070.470.131.360.320.320.140.53-0.360.570.450.820.860.840.390.570.601.06-1.940.250.260.27-0.060.040.260.680.150.190.250.35-1.02-0.14-0.140.610.240.481.510.72-0.25
4.534.075.555.946.148.199.218.3715.8815.4914.4314.2613.8613.4913.1012.4710.7210.0510.5510.2110.4310.1310.0810.3910.2210.249.098.478.347.998.699.109.119.018.918.919.289.109.7610.0110.5810.2310.8511.0110.5910.6310.7610.7410.6410.7310.5110.5611.3311.1711.8711.4411.5311.7111.8411.5511.2410.80
6.303.722.847.915.663.051.371.15-1.21-3.24-1.581.310.25-0.830.232.371.28-1.39-0.412.110.35-1.280.021.37-0.13-1.10-0.131.140.59-0.330.011.821.38-0.07-0.380.700.63-0.90-0.171.901.00-0.54-0.481.510.05-0.63-0.571.570.53-0.04-0.240.600.22-0.60-0.401.390.800.090.041.430.710.08
5.603.082.577.135.513.051.490.33-1.83-3.66-1.780.62-0.22-1.170.061.470.49-1.90-0.711.30-0.29-1.69-0.170.21-0.91-1.60-0.370.330.07-0.69-0.170.49-0.06-1.10-0.92-0.31-0.54-1.73-0.560.34-0.09-1.25-0.800.40-0.75-1.17-0.850.38-0.47-0.74-0.59-0.86-0.84-1.28-0.700.710.36-0.20-0.120.870.36-0.12