Installed Building Products Financial Ratios for Analysis 2011-2024 | IBP

Fifteen years of historical annual and quarterly financial ratios and margins for Installed Building Products (IBP).

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
2023202220212020201920182017201620152014201320122011
3.092.702.792.642.722.272.221.481.541.561.481.441.48
0.560.630.670.630.690.700.620.480.520.320.390.310.28
1.311.762.081.792.302.541.711.081.260.580.770.510.42
33.5031.0129.9430.8528.7727.8028.6029.2528.4127.0425.3924.5824.00
13.2812.949.549.798.026.986.567.656.784.943.03-0.63-7.18
13.2812.949.549.798.026.986.567.656.784.943.03-0.63-7.18
17.8817.4214.8515.1913.3211.4611.5211.7310.337.875.711.99-3.37
11.9911.367.907.936.135.404.936.916.334.362.51-1.24-2.41
8.778.376.035.884.514.103.634.454.00-1.15-0.04-2.4730.88
1.401.501.191.391.371.601.531.871.772.212.261.871.87
11.3510.439.6414.8114.4315.7816.7315.1816.1715.7716.3313.5914.70
6.566.726.296.206.186.246.276.726.427.177.346.436.81
55.6154.3057.9958.8559.0458.4858.2354.3456.8450.9349.7156.7953.60
36.3645.2728.5030.4727.2630.0019.5424.9623.1615.22-9.2957.3975.21
1347761,4552478,933-39.01-49.61-97.49-61.3267.3324789.6565.39
12.3012.567.198.196.206.565.578.327.105.973.47-2.67-5.64
16.1216.809.4911.268.538.857.5112.9611.0610.406.17-5.03-10.36
23.6317.4314.0310.778.336.106.614.893.652.914.043.673.67
12.029.634.676.084.123.092.172.341.100.650.190.23-0.65
9.948.123.514.992.472.031.201.500.250.470.130.09-0.69

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-31
2.993.083.183.093.082.922.732.702.502.252.572.792.362.412.492.642.862.902.832.722.692.162.242.272.592.802.132.222.222.281.591.481.541.511.521.541.381.391.491.561.661.421.351.48-----
0.540.550.560.560.570.600.620.630.650.680.680.670.580.600.620.630.640.670.690.690.710.680.700.700.670.670.630.620.630.640.590.480.500.520.520.520.510.480.470.320.320.220.340.39-----
1.231.291.301.311.391.561.721.761.892.162.222.081.461.581.681.791.892.112.342.302.512.262.432.542.172.151.811.711.811.911.621.081.161.251.241.261.191.081.020.580.580.400.630.77-----
33.7634.0833.8434.0934.2733.5931.9131.6730.7732.0229.3529.2830.5831.1228.7030.5631.3132.2729.2629.9229.7928.8526.1427.9327.8928.7626.5127.1328.9930.1028.2329.2129.8429.3728.4828.4429.4228.9826.2626.9928.2127.5524.9226.1625.8325.0824.22--
13.3212.8512.6913.5414.4813.3411.6614.9313.0613.609.709.1410.6710.987.1110.1710.8410.757.318.709.448.295.267.587.558.224.245.537.538.144.888.148.807.835.527.888.527.132.306.417.703.630.833.784.972.380.31--
13.3212.8512.6913.5414.4813.3411.6614.9313.0613.609.709.1410.6710.987.1110.1710.8410.757.318.709.448.295.267.587.558.224.245.537.538.144.888.148.807.835.527.888.527.132.306.417.703.630.833.784.972.380.31--
-------------------------------------------------
12.3511.7511.0312.5213.1411.9510.2213.5111.5512.017.877.259.269.465.368.439.008.755.456.617.276.753.565.995.996.462.863.336.016.373.977.468.117.064.657.887.906.401.745.657.003.020.713.304.322.05-0.27--
9.028.848.078.999.628.907.4810.018.488.855.765.516.847.623.966.316.686.434.024.785.355.092.584.674.464.912.123.604.074.242.494.745.124.723.034.855.224.070.963.484.411.83-18.431.991.20-0.29-2.19--
0.370.360.350.360.370.380.370.390.410.400.360.320.380.380.350.370.360.350.370.360.370.410.390.420.400.390.420.410.410.400.420.510.510.500.490.510.520.520.470.620.600.630.550.62-----
2.762.772.682.922.912.812.642.662.732.392.592.643.003.383.623.974.113.863.823.774.384.144.174.164.894.884.804.524.764.574.204.124.644.454.424.674.444.143.724.424.324.193.754.47-----
1.691.681.631.701.651.661.661.731.731.761.701.711.661.721.621.661.621.591.621.641.641.601.581.651.591.651.601.661.591.601.581.821.801.811.791.861.851.801.752.011.911.931.812.03-----
53.3753.6455.2752.8654.4154.1754.2752.0852.0251.1652.9452.7454.1352.2455.7054.3455.4256.5755.6054.8554.9556.1857.0854.5756.5954.7056.2754.2456.5556.3857.0049.4149.9449.8150.3748.5048.7849.9651.5244.7847.1446.7149.7844.37-----
9.589.518.239.6710.8210.999.7613.9213.3314.958.677.058.8810.265.088.729.239.296.507.689.329.184.639.037.267.593.225.136.096.473.717.208.107.654.848.119.066.881.435.506.732.710.58-3.33-----
31.8933.7329.1135.5347.4481.85276239656-122.72-176.0836053.4588.1655.1570.61-48.41-33.94-15.332,516-20.92-15.06-6.70-11.74-16.72-19.85-6.40-13.01-12.38-11.70-5.69-28.11-28.58-20.16-13.37-21.47-22.62-24.26-6.2824.3522.1910.348.1088.33-----
3.313.222.793.273.543.362.773.863.463.522.051.782.632.921.402.342.412.241.471.751.992.061.011.971.801.930.891.461.661.711.042.402.612.351.482.492.732.130.452.162.651.150.211.24-----
4.394.243.654.294.634.403.675.164.724.862.772.353.724.091.953.223.303.092.012.402.742.951.412.662.392.501.201.972.252.301.533.744.063.652.333.874.443.570.763.764.602.100.382.21-----
25.4624.2723.8823.6322.1119.7317.8117.4315.9913.9413.3314.0313.2212.2111.4710.7710.219.158.298.337.586.866.366.106.866.806.306.616.195.815.404.894.534.153.833.653.343.012.782.912.892.702.264.04-----
9.435.782.9912.028.854.882.619.636.953.441.634.673.932.821.276.084.843.571.204.123.571.760.533.092.201.050.192.171.680.900.492.341.741.150.631.100.930.490.190.650.460.250.190.190.12-0.34-0.390.000.00
7.154.342.249.947.263.942.118.125.772.621.293.513.072.170.924.994.013.030.872.472.341.180.252.031.370.48-0.121.200.980.450.261.501.150.740.430.250.310.140.020.470.400.210.170.130.08-0.36-0.41--