J.B Hunt Transport Services Financial Ratios for Analysis 2009-2024 | JBHT

Fifteen years of historical annual and quarterly financial ratios and margins for J.B Hunt Transport Services (JBHT).

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
1.171.411.341.701.431.111.451.541.611.120.951.101.170.911.46
0.240.260.230.330.360.300.370.410.430.360.310.430.550.440.47
0.380.340.420.500.570.550.590.700.770.780.700.871.321.140.88
44.4040.4239.6141.4141.9039.6740.8142.4542.9839.0537.9738.0839.3241.8143.07
7.748.998.597.408.017.918.6811.0011.5710.2410.3310.499.819.167.74
7.748.998.597.408.017.918.6811.0011.5710.2410.3310.499.819.167.74
13.4913.3413.1712.8713.4512.9714.0116.5117.0615.0214.8615.0214.5414.3613.64
7.298.658.226.917.437.448.2810.6111.159.819.919.989.188.436.99
5.686.546.255.255.635.689.556.596.906.086.136.145.685.264.26
1.501.901.791.631.681.691.611.661.701.821.982.052.001.931.73
169217294237252236206203152135132136131127106
7.597.977.067.357.386.505.978.808.469.439.8210.8511.0010.8010.32
48.0845.8051.6949.6349.4756.1961.1441.5043.1438.7137.1633.6533.1833.7935.36
17.7526.4424.4019.4622.7823.3037.3130.5632.8631.1233.8239.1945.2834.8421.19
18.9928.2626.0021.1925.0124.5339.7630.6132.8631.1233.8239.1945.2834.8421.19
8.5312.4511.208.549.449.6215.3710.9411.7711.0912.1412.5911.3410.187.35
13.4119.6718.7212.9614.4916.3223.4618.0018.5919.8523.2822.5420.2919.4311.29
39.7635.3429.6724.6121.3419.3316.7612.7011.4110.338.646.744.854.725.06
16.7016.8811.4810.5210.149.857.707.537.485.464.814.575.213.352.76
1.383.283.254.893.791.833.103.252.71-0.111.101.491.561.580.89

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
0.941.211.261.171.111.211.171.411.431.221.271.341.381.801.831.701.581.591.541.431.291.301.441.111.111.131.131.451.481.491.521.541.401.501.401.611.411.011.051.120.931.441.270.950.940.930.851.101.031.030.991.170.981.141.120.910.930.800.871.461.501.101.14
0.210.270.250.240.230.230.210.260.260.220.230.230.240.320.320.330.340.350.360.360.370.390.370.300.280.270.280.370.420.400.410.410.410.410.430.430.440.320.330.360.340.450.410.310.310.340.310.430.410.450.490.550.590.520.540.440.430.420.340.470.510.500.51
0.380.360.330.380.360.370.330.340.350.390.400.420.440.470.480.500.520.550.570.570.590.640.580.550.510.490.510.590.740.670.690.700.680.690.750.770.800.670.690.780.720.810.800.700.700.750.680.870.830.951.111.321.541.111.251.141.091.080.800.881.031.121.14
45.6746.7846.4243.5244.0545.5644.5142.2640.7939.7338.8438.7839.4339.6240.9139.2440.5144.5942.0040.9040.8543.0243.0436.7640.1540.8541.3140.0040.2341.2441.9941.1741.8842.8644.1142.9043.0143.3542.6540.5839.1338.5837.7338.2437.7438.2737.6038.0337.5738.2338.5538.9139.0939.3040.1140.9442.0742.4541.8541.4642.6743.1145.45
7.307.026.606.157.648.648.597.739.449.209.589.228.718.317.937.597.108.166.788.377.108.548.035.307.9110.048.667.338.959.479.1711.2910.8210.8810.9811.9012.2211.2810.7811.3610.7510.298.3410.4110.5010.669.6810.7110.2710.9310.0010.1510.139.878.989.549.289.697.988.328.516.127.88
7.307.026.606.157.648.648.597.739.449.209.589.228.718.317.937.597.108.166.788.377.108.548.035.307.9110.048.667.338.959.479.1711.2910.8210.8810.9811.9012.2211.2810.7811.3610.7510.298.3410.4110.5010.669.6810.7110.2710.9310.0010.1510.139.878.989.549.289.697.988.328.516.127.88
---------------------------------------------------------------
6.636.336.075.667.248.188.137.429.088.879.228.958.337.897.477.216.627.576.267.856.587.897.414.817.459.588.197.028.509.058.7510.9510.4410.4910.5611.6311.7210.8510.3111.0210.339.757.8810.0910.0910.219.2010.329.7810.389.409.639.529.288.138.748.608.997.228.017.785.116.86
4.964.644.334.655.926.056.125.527.026.656.976.936.355.925.605.635.085.674.605.905.015.915.723.835.937.096.0619.365.455.676.306.836.476.506.557.207.266.726.386.856.406.034.886.236.236.345.686.286.046.415.816.025.865.715.015.675.295.534.444.754.793.124.26
0.370.350.350.390.380.380.410.470.520.530.500.510.480.460.420.460.430.390.420.450.440.420.390.460.470.470.440.450.450.460.430.440.450.440.420.450.450.440.420.480.510.500.450.520.530.520.500.540.530.530.500.530.540.540.490.520.500.500.450.470.450.420.41
-------51.90---85.53---69.88---68.61---66.70---57.72---54.50---39.91---34.48---34.69---35.95---35.17---34.75---29.72---
2.432.342.312.472.312.442.341.962.222.162.002.032.182.252.152.092.202.262.331.972.252.172.081.752.022.102.161.652.152.312.302.312.182.172.212.222.362.312.282.462.392.322.222.592.452.392.442.872.572.662.602.932.762.612.482.902.662.592.472.832.452.502.60
37.0538.4638.8936.3738.9736.9538.5445.8440.4841.6745.0344.3541.3040.0441.9143.0740.8339.8838.6045.6240.0241.3943.1851.5044.6242.9041.6254.4641.9339.0439.0838.9741.2641.4640.6440.6038.0938.8839.4436.5637.7338.8240.6334.7136.6637.7236.8831.3435.0233.8534.5630.7332.6334.5036.2330.9933.8734.7236.4031.8536.7436.0534.68
-------5.49---7.77---5.92---6.38---4.22---20.95---8.31---8.98---9.16---9.07---10.61---12.79---10.10---6.47---
4.063.563.274.005.015.145.555.878.258.278.088.287.356.645.836.455.475.545.037.015.916.885.964.446.307.466.0822.337.396.957.488.337.907.617.788.989.227.727.209.168.838.646.439.079.139.728.3810.6110.0211.2810.7412.7913.8010.988.9610.108.789.135.576.476.584.175.58
1.831.611.511.802.242.302.542.593.623.523.463.563.072.722.382.602.172.191.952.642.202.472.251.742.783.302.678.632.482.592.722.982.932.842.743.223.272.972.683.273.243.022.203.263.303.302.843.413.213.402.913.203.173.102.462.952.672.741.982.242.151.321.73
3.022.442.302.833.593.714.134.085.675.985.795.965.174.203.643.943.313.292.924.063.403.813.432.964.525.444.3813.173.934.164.424.904.704.494.455.085.135.224.825.845.864.783.776.256.316.375.786.105.906.225.495.735.655.274.155.635.005.273.703.453.242.072.76
39.6739.9740.3739.7638.9637.8536.6435.3433.8532.0331.0529.6727.8326.6125.7624.6123.5422.6621.6421.3420.5820.0020.2719.3319.0618.6017.7016.7613.4112.8612.4812.7012.3512.2411.4211.4110.9011.5210.9610.339.909.289.118.648.327.717.456.746.616.075.384.854.264.984.654.724.824.635.285.064.784.554.37
11.418.024.4816.7014.6510.494.6616.8812.927.442.7511.489.116.263.4110.528.536.002.3310.148.715.602.299.857.054.782.367.705.684.002.557.536.034.172.677.485.993.852.175.464.112.541.344.813.452.461.734.573.472.171.225.214.032.501.103.352.611.620.662.761.911.160.57
6.634.052.881.382.012.331.033.283.221.770.033.254.313.822.614.894.333.521.133.793.261.210.351.831.751.580.743.102.842.511.743.252.871.901.672.712.291.310.97-0.110.06-0.440.011.100.650.690.771.491.150.750.521.561.350.780.201.581.460.810.300.890.360.120.21