Hubbell Inc Financial Ratios for Analysis 2009-2023 | HUBB

Fifteen years of historical annual and quarterly financial ratios and margins for Hubbell Inc (HUBB).

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
1.641.861.761.671.861.962.272.632.303.263.503.252.752.762.18
0.410.380.390.410.430.490.370.380.250.240.240.260.290.290.28
0.740.610.650.760.801.000.640.620.370.310.310.360.410.410.38
35.1429.7427.4629.4929.6929.0231.4831.5332.2033.0133.6233.2532.1732.6130.82
19.3314.3312.6913.4313.3512.4314.1413.9714.0015.4015.9415.5014.7614.4712.51
19.3314.3312.6913.4313.3512.4314.1413.9714.0015.4015.9415.5014.7614.4712.51
22.1117.3316.2517.3516.8415.7416.8216.5716.5117.7618.1617.6917.1317.3315.51
18.3013.2810.9511.5311.8910.4212.0812.2812.3514.4514.8814.5113.5712.6111.11
14.1111.009.509.5010.128.016.608.338.169.6610.229.819.298.517.61
0.780.920.790.720.800.920.990.991.061.011.001.031.010.940.98
4.184.694.604.934.384.893.964.514.265.095.485.956.125.746.18
6.846.676.216.665.786.186.796.617.277.157.227.517.287.437.60
53.3654.7158.7754.8463.1759.0853.7555.1950.2351.0450.5448.5850.1249.0948.05
26.5121.8016.5616.0518.7720.3515.1618.5816.1316.9017.2218.1118.3414.9513.92
-91.18-191.55-118.90-59.95-58.15-45.4825416562.9344.3239.8448.3956.6846.9588.53
11.089.577.036.587.517.516.728.458.799.8610.3510.259.498.097.55
15.5913.5710.099.5010.6210.359.4811.4812.0312.9313.1313.3413.0510.6210.08
53.7744.1541.1038.3535.9632.8830.0328.8730.2433.0932.3628.1624.8724.1121.82
16.3111.769.3911.069.459.426.887.385.856.616.415.845.554.416.98
13.2415.527.909.547.867.795.776.374.535.705.485.104.793.666.47

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
1.661.811.661.642.162.061.991.861.882.032.001.761.771.751.591.672.072.041.991.862.091.981.951.961.881.991.922.272.281.572.632.632.642.512.522.302.832.982.863.263.243.453.393.503.293.333.313.253.032.932.832.752.582.702.612.762.362.302.252.182.572.522.36
0.340.380.390.410.340.350.370.380.380.390.390.390.400.400.410.410.410.450.450.430.470.480.490.490.500.530.530.370.370.300.380.380.380.390.390.250.230.240.240.240.230.230.240.240.250.260.260.260.270.280.280.290.290.290.290.290.260.270.270.280.310.310.33
0.600.650.720.740.520.550.580.610.620.640.650.650.720.730.860.760.720.890.880.800.910.960.991.001.091.171.240.640.650.680.630.620.610.660.630.370.310.310.320.310.290.300.310.310.330.340.350.360.370.380.400.410.400.400.410.410.350.370.380.380.440.460.48
34.4635.0232.0033.9035.4336.3334.8830.0830.2830.5127.9526.3527.7928.2927.4230.3529.7329.5528.7531.5830.0729.8728.2628.0229.5829.8228.5431.5432.3631.1630.8130.7931.8232.3031.1332.1733.0732.3931.1032.4333.0834.1832.2633.5934.8533.9431.9333.2034.0033.3832.3431.9333.0132.4231.1832.3534.3432.6430.8032.4032.4829.8228.52
21.0620.7416.3316.7620.0821.0719.3614.1015.4715.1812.3612.2113.4713.4911.4915.2114.6913.8510.9014.3814.3613.9511.1211.9413.8813.4510.0513.7815.7914.1712.6514.0214.9914.5412.2113.4914.9414.5012.9714.8615.9516.7913.8015.6518.1416.4913.2014.6817.1115.9914.0514.8416.3914.8212.7014.2317.1714.4611.5213.4315.3711.409.78
21.0620.7416.3316.7620.0821.0719.3614.1015.4715.1812.3612.2113.4713.4911.4915.2114.6913.8510.9014.3814.3613.9511.1211.9413.8813.4510.0513.7815.7914.1712.6514.0214.9914.5412.2113.4914.9414.5012.9714.8615.9516.7913.8015.6518.1416.4913.2014.6817.1115.9914.0514.8416.3914.8212.7014.2317.1714.4611.5213.4315.3711.409.78
---------------------------------------------------------------
19.3719.2914.4015.5719.2620.0518.2812.8614.5014.0111.5411.2612.2810.1010.0313.5912.5411.909.1617.3513.9510.339.0110.0312.0811.497.6512.1913.0012.3110.6711.4613.6812.8510.9710.9413.1213.5011.7013.9315.0615.9412.6514.4417.1415.3312.3213.5716.3414.9213.0713.7715.4413.5211.2410.6515.9413.2310.1011.8414.139.898.50
15.2114.7110.5612.5714.5415.1414.158.5710.549.6815.5410.669.989.068.0915.109.629.266.8522.1610.817.996.627.609.638.605.862.228.478.317.347.529.528.897.277.408.349.147.689.5410.0010.508.4310.1211.5110.218.909.5310.999.928.709.4210.759.157.617.7410.378.886.738.359.606.715.75
0.210.210.200.190.240.240.230.230.250.240.220.210.210.200.180.110.230.190.220.090.240.240.220.230.240.230.200.250.250.260.240.240.260.270.250.260.260.260.250.260.260.260.230.250.270.260.250.260.270.270.250.260.270.260.240.240.260.250.230.250.270.270.28
1.111.101.131.071.131.101.071.151.241.211.181.221.121.181.130.711.331.111.300.501.271.271.181.271.241.190.990.991.031.121.081.111.131.131.031.041.111.151.151.301.341.311.231.391.361.381.441.471.461.461.451.581.551.481.491.451.531.571.461.521.621.471.31
1.611.631.621.711.611.681.651.641.641.611.491.631.361.381.360.971.561.471.540.671.531.521.521.581.501.501.411.701.551.581.561.611.601.761.661.781.651.711.611.811.651.691.621.831.671.711.671.861.691.781.741.881.681.741.661.871.671.741.641.911.791.791.75
55.8255.3455.6852.5255.7953.4554.4954.7354.7455.9360.5655.2566.3265.0766.1793.1857.7561.0758.4213458.8459.0959.2857.0660.1360.1563.9252.9958.2457.0257.5555.8456.1351.1854.3050.6154.4852.7755.7749.8154.5753.2155.4949.2053.7852.6553.9448.4653.4150.6051.7047.9653.6151.7954.3648.1253.7951.7554.9647.1550.3450.3551.39
6.847.025.075.977.347.917.395.236.526.054.674.524.844.193.562.945.354.513.933.256.925.284.044.966.476.023.561.364.965.044.024.105.395.193.933.583.824.203.394.164.454.533.364.325.394.763.924.375.415.034.224.785.624.403.473.435.004.242.933.855.113.683.32
-54.83-36.91-19.76-20.52182-648.59-125.70-45.92-49.21-58.19-33.44-32.46-21.87-16.58-12.20-10.98-21.45-15.47-11.88-10.07-21.02-13.72-9.69-11.08-13.62-11.09-6.1622.7449.5582.7039.6936.3643.6455.4446.7913.9911.5712.5410.8610.9210.9211.328.3610.0013.7712.6510.4811.6814.7114.9812.6914.7916.6613.1310.8910.7721.2425.4820.8024.4618.9815.1815.33
3.193.132.172.493.503.693.352.292.852.622.011.922.011.731.411.212.231.761.531.302.611.941.481.832.302.061.200.602.212.201.831.862.522.401.821.952.212.441.952.432.652.742.012.603.092.732.242.472.952.682.212.482.962.371.851.862.752.261.552.092.591.861.63
4.544.343.083.514.825.124.683.254.033.702.842.762.922.512.121.743.132.492.151.843.652.742.072.523.222.841.670.853.123.522.482.533.363.192.422.672.933.212.573.193.443.492.573.304.053.552.903.223.953.633.023.414.013.142.462.443.713.102.132.783.542.522.24
60.1657.1254.8253.7751.2949.0646.3444.1543.3942.2541.4541.1040.0339.3738.6338.3537.4536.3935.5835.9635.2234.0933.5232.8832.3931.0530.6330.0330.4929.3128.8928.8729.5128.5628.2930.2433.7433.4532.3233.0934.4333.9532.8432.3630.5229.4028.6928.1627.3026.1125.4624.8725.1324.9124.2624.1123.8822.7422.1621.8219.9319.1018.23
10.356.131.7116.319.916.322.1111.767.293.23-0.269.395.273.470.9711.068.365.591.999.457.053.841.439.426.182.77-0.016.884.162.381.137.384.852.281.105.853.341.700.446.614.011.700.736.413.801.820.725.843.221.750.755.553.631.910.874.412.921.550.406.985.262.730.83
8.277.033.2413.247.995.051.4915.5212.218.925.757.904.282.950.629.547.414.951.667.866.342.971.007.794.891.91-0.415.773.191.780.896.374.031.740.834.532.431.110.165.703.291.250.525.483.121.380.505.102.691.400.564.792.941.400.513.662.361.180.216.474.922.490.69