Hawkins Financial Ratios for Analysis 2009-2024 | HWKN

Fifteen years of historical annual and quarterly financial ratios and margins for Hawkins (HWKN).

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
2024202320222021202020192018201720162015201420132012201120102009
1.962.552.242.312.112.522.232.172.303.153.203.163.052.643.193.02
0.180.230.280.250.180.260.310.300.38-------
0.240.320.410.370.260.390.500.470.64-------
21.0717.6618.9220.7418.6817.2417.2120.2819.3918.0717.6916.2519.1620.8025.0721.95
11.329.439.199.367.716.62-2.338.007.538.368.077.2310.2110.7415.1113.13
11.329.439.199.367.716.62-2.338.007.538.368.077.2310.2110.7415.1113.13
14.7812.3612.3113.1611.7110.539.8912.3511.2811.9311.6910.1512.6713.1417.5515.09
11.008.839.039.367.216.03-2.997.457.348.378.067.2510.2510.8515.2213.25
8.206.426.656.875.254.39-1.824.664.385.285.204.896.606.839.288.36
1.401.581.371.261.391.441.291.160.951.471.471.581.681.611.602.09
9.738.676.617.418.077.616.997.526.998.0510.9410.4010.068.079.0311.12
8.037.236.316.598.028.637.628.266.348.869.189.758.497.858.799.29
45.4650.4557.8855.4145.5342.3147.8944.2157.6041.2039.7737.4243.0146.5241.5439.29
18.5617.1517.0315.4512.1511.22-4.5410.359.039.919.9210.0513.8114.8919.5422.58
40.5230.0935.5434.6824.8026.08-12.6451.9889.3011.2310.8710.9715.2416.7320.3524.08
11.4510.179.098.677.296.34-2.355.394.167.737.637.7010.6010.9814.8117.19
15.2313.2912.3211.5710.028.35-3.137.225.599.919.9210.0513.8114.8919.5422.58
19.5316.7914.4912.6511.1110.289.5110.299.569.188.648.117.516.625.935.06
7.593.682.032.062.762.241.282.121.720.971.631.681.621.381.891.19
5.731.720.691.101.611.650.381.110.590.301.060.430.670.791.490.50

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
2.272.271.962.452.192.402.552.832.772.882.242.772.372.522.312.632.432.482.112.482.472.482.522.682.382.532.232.742.522.992.172.792.382.682.302.272.963.733.153.633.293.303.203.513.203.323.163.432.732.933.053.443.083.112.644.393.694.133.193.792.923.713.02
0.170.230.180.220.120.170.230.260.280.320.280.270.210.240.250.250.210.190.180.200.220.250.260.270.260.300.310.300.310.330.300.330.330.370.380.39---------------------------
0.230.320.240.300.160.240.320.380.420.510.410.400.290.350.370.370.300.270.260.290.330.380.390.420.390.470.500.470.500.540.470.520.530.610.640.65---------------------------
24.3825.2720.4120.2622.7820.7015.6616.5519.2318.9616.2918.1420.3421.5019.4819.7622.1921.6417.1017.8419.9919.5515.5416.4117.7319.0014.0215.9619.2319.4418.4718.6122.2921.4819.3016.6420.9420.4316.6516.2720.3918.8716.7216.5919.1318.1916.339.5022.0216.9916.2418.6321.3420.2414.6319.4425.2024.7126.4526.1526.8021.5520.00
13.6615.559.018.8613.9512.948.106.9611.0011.306.827.6210.7012.207.907.3411.2211.135.865.639.419.484.355.247.459.00-28.333.987.417.656.285.3410.039.966.902.1310.0510.686.435.9011.089.817.246.599.568.726.850.6013.477.866.7510.1212.4111.372.959.6815.5215.7915.6815.5216.7012.9111.03
13.6615.559.018.8613.9512.948.106.9611.0011.306.827.6210.7012.207.907.3411.2211.135.865.639.419.484.355.247.459.00-28.333.987.417.656.285.3410.039.966.902.1310.0510.686.435.9011.089.817.246.599.568.726.850.6013.477.866.7510.1212.4111.372.959.6815.5215.7915.6815.5216.7012.9111.03
---------------------------------------------------------------
13.3615.128.678.7113.5212.617.686.4710.2410.626.487.5210.6212.147.777.4111.2111.205.125.258.959.043.984.376.958.37-29.043.266.767.095.714.779.529.416.292.1010.0410.706.465.9211.069.837.236.609.548.706.830.6413.517.896.7810.1512.4411.443.029.7815.6615.9315.8515.6816.8212.9211.04
9.7611.296.207.149.829.335.094.907.467.994.745.467.719.175.575.548.258.233.603.786.616.662.833.225.106.09-29.4214.524.154.363.553.165.935.793.750.926.006.694.183.756.926.145.044.266.015.404.751.588.304.864.216.607.857.592.316.029.709.839.569.2310.268.237.51
0.360.360.340.320.410.420.390.370.400.410.390.360.380.380.340.320.350.360.340.310.360.370.350.330.370.380.320.270.290.310.280.270.290.300.300.210.370.410.380.350.370.410.360.350.380.420.390.390.390.420.410.440.460.480.440.410.410.460.360.420.450.550.50
2.292.362.382.422.672.592.171.801.721.901.972.012.082.092.051.771.821.772.021.721.842.021.861.581.761.831.831.581.541.641.891.821.732.182.191.491.812.072.101.901.902.322.712.222.212.202.602.682.162.832.522.122.022.172.392.332.132.182.002.453.053.672.72
2.142.021.951.841.901.821.771.751.841.781.821.822.041.991.801.841.982.061.962.132.142.132.062.082.192.211.922.042.092.132.032.112.292.151.981.612.542.552.272.402.502.462.252.382.352.512.442.332.422.322.052.382.402.412.162.632.572.731.982.522.632.762.21
41.9844.4646.2048.7847.4949.5850.9951.5149.0350.6649.5849.4844.2245.1650.0448.9745.3643.6645.8142.3542.0342.1643.6343.2041.1040.8246.8844.1243.0542.2344.4442.6839.2241.8145.4055.8235.5035.2639.6437.5436.0536.6540.0737.8138.2535.8736.9038.5637.1838.7943.8237.8437.4337.3841.6634.2135.0132.9645.4835.6634.2232.5840.64
5.446.863.413.786.076.323.323.155.436.293.503.504.976.043.423.084.794.842.041.964.034.391.731.903.404.30-18.477.052.312.601.931.633.383.632.420.412.863.392.011.623.233.222.351.922.942.922.450.804.342.702.093.444.554.431.393.115.175.684.554.725.915.414.71
11.6015.817.448.489.9310.545.825.6810.1512.517.296.9810.2212.827.696.6310.549.394.164.078.589.764.024.488.1410.85-51.4423.449.6311.289.708.5720.4224.9123.923.213.303.832.281.843.523.512.582.113.193.182.670.874.752.972.313.815.064.941.563.225.365.904.744.976.255.745.02
3.504.112.102.314.043.961.971.813.003.301.861.962.963.501.921.782.882.951.221.182.352.460.981.061.902.30-9.563.981.211.351.010.861.701.761.110.192.242.741.571.302.532.521.811.512.282.281.870.613.282.061.602.763.523.411.022.484.004.543.453.874.594.473.58
4.495.302.802.965.375.212.572.323.904.262.532.573.954.612.562.313.803.941.681.573.143.291.291.392.523.01-12.754.931.591.731.351.102.252.291.500.252.863.392.011.623.233.222.351.922.942.922.450.804.342.702.093.444.554.431.393.115.175.684.554.725.915.414.71
21.3520.3219.5318.9418.4117.7116.7916.3615.9215.0614.4913.9813.6113.1412.6512.2812.0711.5711.1111.0110.8810.5710.2810.2410.209.959.5111.4410.6410.6010.2910.3110.109.959.569.539.479.489.189.179.008.888.648.588.408.318.118.047.907.747.517.437.156.966.626.676.446.305.935.795.505.365.06
2.840.847.595.634.411.663.682.120.90-0.452.031.841.900.702.061.250.950.072.762.121.280.472.241.451.160.321.280.680.21-0.562.121.461.320.681.721.130.970.370.970.800.450.071.631.180.700.061.681.421.120.671.620.980.590.351.381.170.840.221.891.441.330.571.19
1.820.335.734.273.601.281.720.58-0.09-1.000.691.091.570.601.100.630.57-0.151.611.210.610.041.651.110.960.210.38-0.11-0.41-0.871.110.720.840.390.590.320.510.130.300.330.16-0.091.060.690.39-0.130.430.480.560.470.670.330.300.180.790.800.590.071.491.131.120.420.50