Insteel Industries Financial Ratios for Analysis 2009-2024 | IIIN

Fifteen years of historical annual and quarterly financial ratios and margins for Insteel Industries (IIIN).

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
5.686.485.363.593.675.652.723.793.363.302.263.243.202.624.433.80
------------0.070.08--
------------0.080.10--
9.3810.0723.8620.5811.806.6015.6215.3720.3513.0411.9310.786.189.428.50-6.56
3.785.3519.5414.614.771.229.388.7713.497.195.765.100.750.240.93-14.04
3.785.3519.5414.614.771.229.388.7713.497.195.765.100.750.240.93-14.04
6.707.4121.3017.087.804.2112.2211.7816.269.878.297.833.463.104.41-10.62
4.786.4319.5614.585.111.649.418.7913.457.376.164.950.750.030.20-14.20
3.654.9915.1211.284.021.238.005.808.904.854.073.220.50-0.110.22-9.59
1.251.451.751.511.401.561.381.371.431.721.591.711.741.561.161.26
5.405.653.195.936.046.014.064.024.685.904.405.525.184.004.416.37
9.0810.2410.138.708.7810.318.809.658.839.577.998.858.628.038.4710.82
40.2235.6636.0441.9741.5635.3941.4637.8141.3338.1645.7041.2342.3345.4743.0733.74
5.508.5032.0822.057.182.2815.0110.0916.5910.849.307.291.21-0.260.31-14.24
5.758.8633.5023.407.712.4416.2110.8117.8611.8610.277.371.21-0.260.31-14.24
4.577.2426.5017.055.631.9111.017.9712.728.346.485.520.87-0.180.25-11.50
5.508.5032.0822.057.182.2815.0110.0916.5910.849.307.291.12-0.240.31-14.24
18.0419.6120.0115.5613.7212.7712.5711.7311.8310.849.738.868.448.438.418.39
2.977.270.293.582.900.342.801.082.951.901.572.010.73-0.170.731.27
2.006.21-0.172.692.65-0.201.840.012.281.721.091.740.30-0.450.651.14

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
5.685.757.186.936.485.836.386.425.363.623.833.623.593.013.253.613.673.293.664.335.654.504.253.612.723.623.712.733.793.043.562.693.363.193.632.543.303.123.243.332.262.533.073.073.242.742.862.793.203.242.843.312.622.392.392.914.433.954.336.503.804.755.91
----------------------0.02---------------0.050.05--------0.070.110.050.100.080.080.080.08------0.00
----------------------0.02---------------0.050.05--------0.080.120.050.110.100.090.090.10------0.00
9.1310.5612.345.158.8812.298.3410.6619.1325.5726.7723.7423.3119.6321.7516.6014.0812.1413.316.393.386.526.2710.5416.1019.0914.3511.9312.1817.2018.0813.8621.9223.8217.3317.7818.5413.418.5510.8911.8312.6012.6910.388.8411.2513.3310.016.036.846.315.497.8212.7113.35-0.264.1712.4111.904.2314.812.06-41.74
3.525.156.15-0.083.727.513.626.3915.1321.9423.5616.8318.9914.7913.928.906.815.984.650.51-1.832.150.424.279.9013.147.396.035.9810.7311.097.1314.3417.8510.1311.0012.247.622.355.784.727.106.154.993.525.717.014.371.351.640.44-0.632.055.695.29-21.88-2.575.443.90-4.858.06-4.99-50.41
3.525.156.15-0.083.727.513.626.3915.1321.9423.5616.8318.9914.7913.928.906.815.984.650.51-1.832.150.424.279.9013.147.396.035.9810.7311.097.1314.3417.8510.1311.0012.247.622.355.784.727.106.154.993.525.717.014.371.351.640.44-0.632.055.695.29-21.88-2.575.443.90-4.858.06-4.99-50.41
---------------------------------------------------------------
4.515.987.031.284.618.174.118.6415.1721.9723.5616.8318.9914.7513.868.876.797.004.820.74-1.792.131.255.189.9613.267.276.066.0210.7211.097.1614.3217.6710.0911.1012.277.063.825.735.727.815.844.973.465.247.054.281.171.550.47-0.341.885.475.07-22.12-5.175.333.83-4.817.98-5.21-50.65
3.484.505.450.933.576.383.216.6611.6916.9718.3012.9614.6911.4410.736.815.375.463.800.57-1.561.730.943.967.7510.165.478.303.927.097.344.759.5611.706.667.268.154.612.503.753.915.123.853.152.393.384.482.800.850.960.30-0.210.983.703.01-14.58-2.902.593.13-2.762.77-3.07-32.53
0.320.350.320.310.350.370.370.390.440.470.510.480.440.430.410.390.410.360.360.320.390.410.360.330.370.430.390.340.340.330.370.330.350.410.430.350.450.470.400.450.460.450.400.400.460.450.400.440.470.430.420.410.460.450.420.270.310.330.290.250.340.330.30
1.371.461.211.231.391.091.070.870.850.881.231.671.661.821.591.551.721.441.391.401.551.130.900.811.081.871.461.211.040.961.401.311.131.381.571.101.461.431.121.131.261.251.121.121.521.261.081.371.401.131.181.091.201.221.220.861.231.301.431.031.351.591.30
2.302.382.292.812.482.502.412.432.552.802.642.432.522.712.392.432.572.222.092.762.572.492.212.852.362.272.132.462.412.292.042.132.182.342.212.292.522.432.312.722.292.432.222.582.392.592.472.442.322.302.382.352.362.262.322.342.252.182.252.322.872.312.16
39.0737.8139.2432.0536.2436.0437.2837.0935.3332.1634.0637.1035.6933.2337.6337.0435.0440.5143.0332.6635.0636.1740.6631.5738.1839.6642.2736.6237.4239.2844.1142.3341.3638.4740.7039.3235.6537.0838.9333.1039.3637.0840.5334.8337.6834.7136.4736.9338.7539.1537.7738.3438.1239.8938.7438.4740.0241.3339.9638.8231.3738.9241.70
1.331.902.040.341.472.821.403.086.2410.5712.008.098.336.645.773.342.802.591.740.23-0.720.880.431.683.895.582.703.821.703.133.492.184.396.353.593.544.812.821.372.272.563.342.101.681.462.072.421.630.560.600.18-0.120.652.491.83-5.44-1.141.091.11-0.771.89-1.19-11.08
1.391.982.130.361.542.941.463.236.5111.0812.668.608.847.096.193.613.012.791.880.24-0.770.950.461.814.216.062.954.201.823.373.762.364.736.883.923.895.263.111.512.492.823.342.101.681.472.072.421.630.560.600.18-0.120.652.491.83-5.44-1.141.091.11-0.771.89-1.19-11.08
1.111.581.750.291.262.371.192.625.158.029.286.276.444.954.432.632.201.981.370.18-0.600.720.341.322.854.412.162.851.342.352.741.583.364.842.832.533.702.171.001.671.782.301.561.251.101.511.801.230.400.410.13-0.090.451.671.27-4.01-0.920.880.92-0.671.53-1.01-9.64
1.331.902.040.341.472.821.403.086.2410.5712.008.098.336.645.773.342.802.591.740.23-0.720.880.421.683.895.582.703.821.703.133.492.184.396.353.593.544.812.821.302.152.563.342.101.681.462.072.421.630.520.530.17-0.110.602.291.68-4.98-1.141.091.11-0.771.89-1.19-11.05
18.0417.7917.4917.1519.6119.3018.7718.5420.0118.7116.7314.7315.5614.3113.3812.6213.7213.3313.0112.7812.7712.9012.8112.7712.5712.0911.4411.1411.7311.5211.1810.8011.8311.2710.6010.1810.8410.3510.089.959.739.489.168.988.868.718.528.308.448.438.408.418.438.348.127.988.418.498.408.328.398.338.43
2.972.151.181.127.275.294.071.690.290.771.020.693.583.341.500.722.902.301.371.530.34-1.34-2.08-1.182.802.591.270.771.081.150.910.202.952.391.250.661.900.87-0.10-0.511.571.180.430.342.011.731.431.300.730.100.64-0.04-0.17-0.010.00-0.290.730.711.10-0.561.270.38-0.95
2.001.250.460.496.214.433.791.77-0.170.500.940.652.692.651.050.572.652.221.251.50-0.20-1.83-2.50-1.501.841.940.790.450.010.270.36-0.082.281.921.030.621.720.51-0.34-0.691.090.870.270.231.741.501.231.160.30-0.140.43-0.10-0.45-0.35-0.27-0.320.650.641.05-0.581.140.28-1.03