Jacobs Solutions Financial Ratios for Analysis 2009-2024 | J

Fifteen years of historical annual and quarterly financial ratios and margins for Jacobs Solutions (J).

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
1.371.451.341.541.341.451.561.611.581.662.142.071.472.232.17
0.300.350.320.220.170.270.050.080.120.150.090.120.000.000.00
0.440.560.480.290.240.360.050.090.140.180.100.140.170.030.01
21.2422.3021.6019.0719.4520.4019.9116.1216.2516.3415.5915.8515.0213.4413.61
6.586.154.883.953.183.663.863.093.684.165.665.475.004.035.41
6.586.154.883.953.183.663.863.093.684.165.665.475.004.035.41
8.458.176.665.294.515.545.794.274.915.316.506.405.924.936.16
5.615.874.943.252.763.133.842.623.554.275.605.454.983.955.44
4.074.323.393.636.661.544.641.922.502.583.583.483.192.483.49
1.121.020.961.101.110.840.861.491.561.501.621.591.672.122.59
---------------
4.594.384.544.284.484.213.015.184.754.434.644.645.005.977.08
79.4483.2980.3385.2181.3986.7312170.4376.7982.4578.7278.7073.0461.1051.52
10.9211.727.046.595.440.093.794.957.557.8110.3610.4010.098.6015.17
-35.75-28.91-15.09-87.35-95.450.9314.8623.4834.4633.8921.9322.3623.1114.1123.46
4.934.882.883.122.740.042.302.914.224.176.055.725.415.269.01
7.657.564.775.124.510.073.604.556.666.689.449.1210.088.6015.17
52.3947.9246.3645.1343.4141.8037.2735.8035.3734.2032.2728.9326.0122.7521.18
7.663.675.536.08-2.633.504.785.603.845.453.432.331.861.784.27
6.592.754.835.19-3.562.833.825.133.144.632.491.631.111.503.84

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.141.171.371.371.461.531.481.451.431.251.401.341.461.491.661.541.691.971.551.341.361.521.581.451.451.491.481.561.601.631.671.611.621.601.741.581.661.701.651.661.731.841.822.142.192.202.112.072.101.791.561.471.471.972.262.232.032.001.912.172.032.02
0.240.240.300.300.320.350.360.350.370.340.340.320.330.360.230.220.270.360.190.170.140.340.310.270.280.290.300.050.060.070.090.080.100.110.120.120.130.140.140.150.150.170.190.090.100.100.120.120.120.07-0.000.000.110.000.000.000.000.000.000.010.01
0.440.450.430.440.490.540.560.560.600.530.510.480.500.580.290.290.370.550.270.240.200.510.460.360.390.420.440.050.070.080.090.090.110.120.140.140.160.170.170.180.180.220.250.100.110.110.130.140.140.150.160.170.170.140.030.030.030.030.040.010.020.01
21.6721.1920.4521.2620.4621.8321.4521.5321.5422.7023.5623.0822.8421.6218.6918.8919.2918.9119.1819.6219.7519.9518.4420.2620.7520.9619.183.6518.2718.2116.4316.3516.7615.9715.4715.1916.6716.9116.3016.8317.3816.2614.7815.1015.1616.4015.7916.0315.6215.7716.0015.6615.0415.2114.0514.8510.8514.0414.0913.6313.7413.57
6.166.584.916.486.447.116.267.956.944.345.257.017.37-1.166.330.645.964.904.502.922.843.323.675.385.542.40-0.263.965.112.963.473.144.073.122.091.733.454.584.964.253.833.854.735.575.465.835.816.025.534.935.395.435.085.004.405.101.804.724.584.795.425.74
6.166.584.916.486.447.116.267.956.944.345.257.017.37-1.166.330.645.964.904.502.922.843.323.675.385.542.40-0.263.965.112.963.473.144.073.122.091.733.454.584.964.253.833.854.735.575.465.835.816.025.534.935.395.435.085.004.405.101.804.724.584.795.425.74
--------------------------------------------------------------
5.345.663.995.605.416.195.207.217.114.055.004.757.92-3.1610.471.719.32-5.167.561.582.953.622.994.765.001.70-0.382.955.072.633.371.353.823.252.031.583.344.444.854.503.654.174.795.575.475.715.666.105.464.905.305.335.154.944.405.141.494.684.574.855.475.73
3.473.804.133.483.925.313.575.805.122.323.961.204.640.317.602.337.51-2.697.654.1916.551.844.03-1.255.121.690.12-9.213.502.152.371.122.562.351.630.963.132.823.142.672.012.633.053.533.533.683.593.863.533.113.413.463.303.142.793.290.763.002.923.113.513.67
0.280.290.280.290.280.270.250.260.260.250.230.250.240.230.260.280.260.260.280.300.270.240.240.240.230.230.14-0.140.350.320.360.360.360.360.370.400.370.370.390.380.390.390.360.430.440.410.400.410.430.430.430.440.450.450.480.500.540.560.530.580.610.71
--------------------------------------------------------------
1.121.131.131.211.181.161.101.141.161.161.131.161.121.071.041.111.031.081.101.191.141.131.151.190.850.840.54-0.491.211.121.221.251.211.151.171.221.091.081.171.121.181.171.141.231.331.251.241.191.261.261.301.311.261.291.461.411.511.521.601.581.641.71
80.2779.5379.5574.6876.5077.6581.5078.9777.6877.5379.6877.8380.2583.7586.9080.9987.0683.4781.8675.3478.9179.9778.2775.62106107166-182.1674.6780.4473.8272.1174.6478.1476.6273.5982.9383.7077.1980.1976.1977.0378.9073.0067.7172.2072.5375.8771.6871.4969.3268.6671.4269.8161.8063.7659.6459.1056.2957.0754.9052.55
2.372.612.702.542.623.632.363.943.561.782.511.192.82-1.514.351.364.01-2.063.060.511.562.161.19-1.231.91-0.05-0.57-0.532.071.061.480.691.581.431.150.862.212.002.372.021.572.032.272.742.722.682.702.962.742.452.652.872.922.672.262.690.682.762.663.013.624.41
-8.40-9.01-9.31-8.30-7.85-10.06-5.85-9.72-7.54-3.73-5.34-2.55-6.503.18-70.15-18.08-57.8617.19-896.17-8.9422048.4813.41-12.68-19.810.504.98-2.098.254.456.143.276.596.085.213.919.909.1210.508.766.398.519.775.805.325.405.636.355.955.195.476.576.536.173.724.411.134.604.554.665.597.02
1.051.171.221.141.161.550.991.641.440.721.030.491.15-0.592.090.651.87-0.881.520.260.820.930.54-0.580.92-0.03-0.27-0.321.220.620.860.410.960.820.660.481.221.111.291.080.861.101.171.601.591.561.511.621.561.381.491.541.521.441.361.650.411.671.551.792.142.61
1.811.971.901.781.782.371.522.542.241.171.670.811.88-0.973.361.062.94-1.332.480.421.341.430.82-0.901.38-0.04-0.40-0.511.940.981.350.631.431.281.010.751.931.722.051.731.341.681.832.502.462.412.392.592.402.272.652.862.912.372.252.690.682.762.663.013.604.36
53.7353.3453.6252.3952.2150.6949.2147.9246.8847.4947.2346.3647.4846.4347.2445.1345.2143.1845.5843.4144.9640.7241.6041.8042.6742.5242.1237.2735.6334.6534.1335.8036.8936.3435.6035.3735.4434.8634.5434.2034.0833.7733.0732.2731.3730.5229.7028.9328.4627.6326.8926.0124.7424.0623.4022.7522.4322.5221.8721.1821.1020.07
6.832.983.307.665.943.412.373.671.533.432.475.533.982.690.866.082.850.11-1.02-2.63-1.60-0.40-1.573.501.880.380.374.783.181.660.915.603.672.180.223.843.100.821.075.453.661.482.473.433.331.931.902.331.100.951.141.860.970.501.151.781.880.931.924.273.861.62
6.172.623.166.595.182.882.122.750.983.072.324.833.492.350.735.192.18-0.35-1.18-3.56-2.32-0.79-1.712.831.440.070.203.822.571.280.735.133.341.940.093.142.590.390.844.632.970.982.182.492.661.451.711.630.560.660.991.110.340.381.111.501.670.841.953.843.501.34