Green Brick Partners Financial Ratios for Analysis 2009-2024 | GRBK

Fifteen years of historical annual and quarterly financial ratios and margins for Green Brick Partners (GRBK).

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
8.947.817.954.393.402.563.123.243.641.373.5572.112.351.221.31
0.200.240.270.150.12------0.000.630.800.74
0.260.340.380.340.440.410.270.210.160.970.220.001.804.573.22
30.8429.7525.8124.0421.3624.7325.8522.4521.3823.6628.6824.831.62-0.272.59
19.9820.4316.2412.518.3911.6213.1012.5711.0914.5019.7814.24-0.04-3.00-1.17
19.9820.4316.2412.518.3911.6213.1012.5711.0914.5019.7814.24-0.04-3.00-1.17
20.1820.5616.4312.898.7812.0913.1712.6411.3814.6219.8414.314.513.335.60
22.0122.5518.3214.6310.6513.1014.0212.9311.9214.7122.0628.68-1.59-5.56-4.74
16.0116.6113.5611.657.418.283.276.085.2620.3315.8223.54-1.33-4.41-3.28
0.931.060.990.990.900.800.750.720.610.610.750.292.181.371.20
0.800.870.860.880.830.700.690.740.670.680.63-24.5319.1919.38
16733220418716812928616087.85329455-48.0516.3117.50
2.181.101.791.952.182.831.282.294.151.110.80-7.6022.3820.86
24.1430.3324.3018.1411.9913.295.828.766.8733.6322.2937.58-10.37-46.35-25.29
23.2929.0323.0318.1812.0213.335.828.766.8733.6322.2937.58-10.37-46.35-25.29
16.1218.9614.3711.917.348.234.136.505.3915.2516.518.27-3.46-7.60-5.68
18.5422.1316.7015.4910.5413.295.828.766.8733.6322.2937.58-3.88-9.35-6.60
29.2923.5217.5112.8210.629.608.568.207.615.7917.908.7816.1132.6046.67
4.651.89-1.810.69-0.44-0.78-0.36-0.10-1.130.12-4.49-5.734.9810.12-7.89
4.481.85-1.850.63-0.49-0.84-0.37-0.11-1.140.08-4.50-5.784.386.52-19.92

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
8.288.708.947.978.047.857.816.105.826.037.954.194.106.844.394.463.592.803.408.789.282.562.562.462.682.873.123.103.283.523.242.793.333.163.644.411.411.401.374.236.2576.263.550.210.210.2272.110.231.592.002.351.831.571.761.221.191.101.211.310.950.181.63
0.180.180.200.210.220.230.240.250.260.270.270.230.240.260.150.150.110.120.120.320.32----------------------0.060.060.050.000.040.680.650.630.640.650.640.800.800.800.760.740.760.190.74
0.210.220.260.280.290.310.340.380.400.400.380.460.500.350.340.330.380.570.440.460.470.430.410.430.370.330.270.240.200.180.210.230.190.210.160.070.950.960.97---0.224.283.823.470.002.622.251.981.801.922.021.894.574.564.443.673.223.713.332.98
33.8333.1431.4533.1831.3327.5626.0932.6832.1627.5324.4926.6827.0125.1625.1324.6123.1522.9621.1721.3621.9520.9723.6824.1226.1125.2734.8222.3521.8421.4323.4522.5222.3520.6015.3720.9023.8727.7316.0830.2425.0325.15-----13.41-6.92-6.72-4.685.754.34-2.23-1.363.594.01-6.45-4.6612.112.30-0.79-5.20
23.5621.8420.1421.9920.5417.4015.7322.0824.2018.8216.2916.8317.9212.5813.1013.9612.1210.367.988.689.827.0210.7411.2013.3811.2313.6413.9712.7911.6515.4312.2812.467.768.709.6712.7214.3913.2112.4716.1615.75-----13.25-8.70-8.71-6.643.902.79-3.76-3.051.750.89-9.75-7.669.72-4.16-4.77-7.91
23.5621.8420.1421.9920.5417.4015.7322.0824.2018.8216.2916.8317.9212.5813.1013.9612.1210.367.988.689.827.0210.7411.2013.3811.2313.6413.9712.7911.6515.4312.2812.467.768.709.6712.7214.3913.2112.4716.1615.75-----13.25-8.70-8.71-6.643.902.79-3.76-3.051.750.89-9.75-7.669.72-4.16-4.77-7.91
--------------------------------------------------------------
24.8325.8522.6123.4122.8419.2818.0823.9226.3320.9918.2619.0319.7915.0414.9316.6515.5410.679.8111.9311.699.0811.1913.2215.4012.8614.9815.2113.1612.2014.6812.9013.798.5011.719.5012.7414.3613.5112.2116.5016.12-----18.27-9.75-10.11-7.962.721.57-4.94-5.73-0.75-1.53-12.42-10.337.34-9.19-8.44-11.47
18.6618.4616.6917.0516.3414.0413.3917.8519.1415.4614.0314.1713.9811.0811.5312.6214.457.466.927.487.887.487.218.029.458.67-5.848.167.336.245.896.816.824.425.493.765.266.8746.727.4411.2511.66-----15.40-8.46-8.62-6.752.311.35-4.18-4.85-0.74-1.20-9.76-8.085.69-6.84-6.14-7.91
0.270.230.240.220.260.260.260.250.330.260.320.250.290.220.260.290.260.220.260.240.220.210.240.200.220.200.230.190.190.190.240.170.200.140.180.170.170.140.175.637.456.07-----1.220.440.450.490.550.530.540.490.430.350.290.300.350.270.310.28
0.210.180.200.190.220.240.220.190.260.210.280.210.250.190.230.270.240.210.240.220.200.190.210.180.200.180.180.180.190.190.240.170.200.150.210.190.180.150.21--------9.617.587.725.906.897.426.765.755.757.596.205.076.499.387.93
38.1351.8442.3642.0964.6662.3081.5256.3576.9155.8365.8248.7053.3531.0148.6448.8116.0735.4248.7522.0236.6460.7938.2337.4625.3583.4487.3962.8944.0834.6453.2844.3545.2616.9625.8010488.8763.1990.229,935-1,658-----8.338.237.6112.079.036.605.575.095.355.346.275.075.644.865.53
2.361.742.122.141.391.441.101.601.171.611.371.851.692.901.851.845.602.541.854.092.461.482.352.403.551.081.031.432.042.601.692.031.995.313.490.871.011.421.000.01-0.05-----10.8010.9411.837.469.9713.6316.1617.7016.8216.8514.3517.7515.9618.5016.28
8.146.716.336.357.106.325.918.2011.797.347.986.547.974.104.665.815.973.023.273.713.232.373.493.274.173.02-1.012.722.292.023.262.102.461.191.901.453.643.3018.9089.7714695.7824.19-2.59-3.10-2.64101-17.11-16.08-12.434.462.68-9.03-9.04-1.95-3.19-21.19-15.2711.34-12.20-11.81-13.26
7.886.496.106.126.826.055.657.8311.226.977.566.567.984.114.675.825.983.033.283.723.242.373.503.284.193.02-1.012.722.292.023.262.102.461.191.901.453.643.3018.9089.7714695.7824.19-2.59-3.10-2.64101-17.11-16.08-12.434.462.68-9.03-9.04-1.95-3.19-21.19-15.2711.34-12.20-11.81-13.26
5.584.594.224.134.563.993.694.866.804.204.723.804.532.573.063.813.831.712.002.211.941.452.161.992.692.06-0.721.971.701.542.421.471.860.891.491.201.681.518.5768.6612394.5417.92-0.45-0.59-0.5322.18-4.30-4.51-3.871.490.83-2.67-2.82-0.32-0.53-3.66-3.072.55-2.46-2.59-3.17
6.495.314.864.835.314.664.315.908.315.105.485.036.033.043.984.935.302.662.882.542.202.373.493.274.173.02-1.012.722.292.023.262.102.461.191.901.453.643.3018.9089.7714695.7824.19-2.43-2.93-2.50101-16.43-5.22-4.381.670.96-3.13-3.27-0.39-0.64-4.31-3.612.96-2.89-9.57-3.47
32.8231.0929.2927.8026.2324.6323.5222.3920.7318.5717.5115.4314.4113.3412.8212.2211.5310.9410.6210.239.849.589.609.278.988.668.568.668.388.288.207.947.827.737.617.466.145.995.791.081.181.6317.906.447.247.978.7810.5512.2914.2116.1115.3514.8816.1632.6033.0033.8640.9046.6741.0045.5850.52
0.070.024.655.084.593.341.890.681.02-0.27-1.81-2.24-2.32-0.160.691.260.770.02-0.44-0.42-0.41-0.18-0.78-0.75-0.24-0.40-0.36-0.460.080.34-0.10-0.08-0.13-0.34-1.13-0.45-0.37-0.320.120.431.160.26-4.491.900.570.15-5.730.520.200.064.982.291.580.9910.129.268.249.37-7.89-8.77-9.27-6.00
0.020.004.484.984.533.301.850.651.00-0.28-1.85-2.28-2.35-0.170.631.230.750.00-0.49-0.46-0.43-0.19-0.84-0.79-0.27-0.41-0.37-0.460.080.34-0.11-0.08-0.13-0.34-1.14-0.47-0.39-0.330.080.321.080.23-4.501.520.370.06-5.780.400.09-0.054.381.961.410.946.525.985.188.21-19.92-19.07-19.35-15.59