Heartland Express Financial Ratios for Analysis 2009-2024 | HTLD

Fifteen years of historical annual and quarterly financial ratios and margins for Heartland Express (HTLD).

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
1.371.473.262.722.393.592.273.082.062.201.634.224.673.962.65
0.250.32-------0.050.16----
0.350.48-------0.050.19----
28.5234.4838.2639.8937.2537.0934.0039.1336.2332.4733.6732.6432.4535.7434.93
3.5119.4617.3614.4815.8014.7010.4613.9615.8315.1319.2917.3920.1618.3117.18
3.5119.4617.3614.4815.8014.7010.4613.9615.8315.1319.2917.3920.1618.3117.18
20.0833.2434.5231.5832.7131.2927.5731.3331.1927.8531.4528.4231.1330.7129.96
1.6418.7117.4614.6116.2815.0510.6214.0415.8615.1019.3317.5120.3018.5917.69
1.2213.8013.0510.9712.2311.9012.389.209.929.7412.1211.2813.2312.4612.39
0.800.580.650.680.660.760.770.831.001.150.801.171.010.990.83
---------------
10.706.7710.6711.6110.4612.438.5911.8810.738.996.4611.1611.8811.4410.94
34.1353.9034.2031.4434.9129.3642.4830.7234.0340.6156.4832.7130.7331.9133.37
1.7115.6210.909.7810.6611.8013.0811.1515.5517.8017.7521.1920.5218.6215.49
3.3330.9914.7813.3314.9115.4917.6814.3320.5423.5725.1921.5520.8218.8915.69
0.988.008.547.448.129.019.537.649.9311.169.7413.1613.3012.2910.33
1.2810.6510.909.7810.6611.8013.0811.1515.5516.9314.9321.1920.5218.6215.49
10.9510.839.218.988.357.526.906.075.595.434.533.433.943.694.05
2.092.471.552.201.781.781.311.872.191.961.301.191.101.091.11
1.192.621.520.830.921.310.881.521.400.670.800.750.511.170.24

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
1.171.231.261.371.281.341.451.471.672.343.463.262.213.212.702.722.062.372.082.392.293.653.433.592.652.872.132.271.864.053.243.082.301.971.992.062.172.522.052.201.511.461.721.633.704.612.934.226.115.694.234.674.044.223.603.961.774.222.802.651.301.211.10
0.190.210.230.250.280.280.290.320.350.04----------0.06------------------0.050.040.090.130.16-------------------
0.250.280.310.350.400.400.420.480.550.06----------0.08------------------0.050.050.100.150.19-------------------
27.3228.8325.9626.8526.1129.8830.7931.5934.2437.6537.7538.8138.2038.7437.2841.1440.5340.9137.1133.8336.2340.7238.9240.4138.4436.7333.0330.6830.3339.2738.1042.2737.5838.3938.5737.9836.5335.9934.5635.5333.3832.0529.2631.1435.0036.7732.7432.1832.3734.2131.7633.2632.8832.8130.7935.4435.8337.2134.3535.4834.2235.7634.25
-2.750.10-5.323.89-2.525.306.927.3712.6855.9314.8017.8921.8017.7511.9915.2516.8515.5310.4210.5618.0820.4214.9420.1116.6114.218.265.967.1416.4414.9114.9213.3415.2412.4415.8813.6218.6415.0716.8716.7217.929.2214.5719.9021.9222.5018.1414.5719.1517.6420.4718.9623.8317.1318.9822.8417.2913.6913.8419.7618.5616.56
-2.750.10-5.323.89-2.525.306.927.3712.6855.9314.8017.8921.8017.7511.9915.2516.8515.5310.4210.5618.0820.4214.9420.1116.6114.218.265.967.1416.4414.9114.9213.3415.2412.4415.8813.6218.6415.0716.8716.7217.929.2214.5719.9021.9222.5018.1414.5719.1517.6420.4718.9623.8317.1318.9822.8417.2913.6913.8419.7618.5616.56
---------------------------------------------------------------
-4.28-1.46-7.151.84-4.483.505.235.7712.0255.9814.9017.9921.9217.8612.0815.3416.9515.6310.6410.4718.5421.2915.7620.6417.0014.488.486.067.1716.7715.1315.0513.4215.3112.4915.9113.6618.6815.0816.8616.6817.919.1614.5120.0022.0222.5918.2714.7119.2617.7420.5919.0923.9817.3219.1723.1117.6214.0414.2020.1919.0417.32
-3.57-1.27-5.591.85-3.632.543.814.368.9140.9511.0913.7316.0313.469.0111.3412.7611.927.967.6513.8615.7312.4115.2712.6011.428.5423.304.3511.2810.819.368.3910.188.839.758.2812.169.3910.6110.4711.676.278.6412.1514.2814.7010.499.2113.0512.3013.0511.6216.4211.6511.9014.3813.0710.289.3612.7915.0612.30
0.190.190.190.180.190.190.210.210.160.170.160.160.160.160.160.160.170.170.180.190.160.170.170.180.190.200.190.210.230.170.170.190.200.220.220.240.240.250.240.270.290.300.310.250.240.260.260.290.250.250.240.250.240.250.240.260.210.220.200.210.200.220.21
---------------------------------------------------------------
2.572.422.392.442.282.502.622.481.681.962.462.602.612.602.522.802.592.512.522.932.442.652.622.992.482.482.202.342.332.772.812.722.562.482.782.542.642.612.322.092.492.572.402.032.502.632.592.782.572.712.692.952.892.872.742.962.742.902.762.722.713.013.33
35.0737.2137.6436.9039.4635.9834.3136.2553.5645.8636.6434.5734.5234.6235.7732.1134.6835.8835.7030.7236.9033.9634.3630.0836.2236.3040.9338.3938.7032.5132.0233.1535.1236.2632.3435.3934.1134.4438.8442.9936.1734.9937.4244.2335.9834.2734.6832.3235.0533.2133.4530.5331.1531.3332.8530.4132.8531.0532.5633.1233.2629.9426.99
-1.12-0.42-1.780.59-1.240.891.461.812.909.402.262.803.452.801.902.442.872.731.931.873.053.422.743.643.203.062.296.721.472.752.712.592.533.393.073.623.074.533.574.524.986.083.433.984.645.856.394.923.344.924.655.024.386.124.284.605.714.243.152.914.045.144.32
-2.27-0.83-3.521.15-2.441.722.843.595.8013.743.043.794.733.772.593.333.923.772.702.614.274.413.574.784.264.113.079.082.033.483.453.333.284.424.054.784.005.844.675.996.708.344.825.654.715.946.495.013.384.984.725.104.446.204.354.675.794.303.192.954.105.214.39
-0.68-0.25-1.040.34-0.680.490.780.931.436.911.772.192.552.171.451.862.162.061.451.422.162.602.082.782.342.271.634.890.991.951.871.781.692.211.982.311.972.982.262.843.033.521.952.192.953.773.833.062.283.303.013.262.834.062.783.043.072.922.101.942.553.242.64
-0.91-0.33-1.370.44-0.900.641.031.231.909.012.262.803.452.801.902.442.872.731.931.872.883.422.743.643.203.062.296.721.472.752.712.592.533.393.073.623.074.533.574.304.765.542.983.354.645.856.394.923.344.924.655.024.386.124.284.605.714.243.152.914.045.144.32
10.5210.6710.7410.9510.9011.0510.9710.8310.6510.369.419.218.989.289.048.988.878.648.428.358.217.977.717.527.267.087.036.906.456.386.226.075.935.805.635.595.725.865.615.435.204.964.684.534.033.863.643.434.354.304.123.943.984.063.833.693.544.334.174.053.963.783.61
1.360.900.392.091.571.230.842.471.430.740.481.551.210.790.442.201.631.030.491.781.330.870.441.781.330.850.391.310.930.610.391.871.440.930.672.191.631.160.631.961.470.890.361.300.860.590.331.190.790.500.331.100.800.460.261.090.800.530.321.110.790.500.34
1.380.860.421.190.530.800.672.622.121.740.371.521.270.890.630.830.250.240.000.920.670.540.191.310.810.570.320.880.600.590.431.521.050.750.681.401.381.070.860.670.820.400.170.800.450.160.090.750.690.510.380.510.330.130.101.170.980.630.330.240.230.270.36