John B Sanfilippo & Son Financial Ratios for Analysis 2009-2024 | JBSS

Fifteen years of historical annual and quarterly financial ratios and margins for John B Sanfilippo & Son (JBSS).

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
2.342.972.312.252.132.692.122.312.912.122.222.061.731.581.431.55
0.020.020.030.040.060.070.100.100.100.120.140.140.150.190.190.23
0.090.030.190.100.210.110.280.250.180.410.360.350.480.560.560.60
20.0721.1720.8821.5519.9718.0615.6316.7614.4414.8815.7816.3415.2812.4916.8813.07
7.999.039.159.928.926.686.327.145.585.856.045.674.711.525.282.81
7.999.039.159.928.926.686.327.145.585.856.045.674.711.525.282.81
10.4811.2411.2112.0510.968.628.068.987.337.688.137.947.154.888.105.69
7.498.548.559.308.265.985.556.394.885.065.124.813.740.414.071.20
5.656.296.466.966.154.503.664.273.193.303.382.962.440.422.571.25
2.072.352.142.152.162.242.142.132.432.051.971.961.881.921.571.72
4.344.563.694.554.094.574.303.865.203.813.593.874.054.584.084.53
12.5613.7413.7312.9415.4514.3713.5913.0612.1911.7313.9514.8314.0517.2714.0415.93
29.0726.5626.5828.2023.6225.4026.8627.9529.9431.1226.1624.6125.9821.1325.9922.91
18.6821.5122.1624.6422.7115.5013.3715.3412.1012.1511.5910.118.521.548.024.18
19.7522.9623.6626.8025.0017.1415.0715.3412.1712.3011.8610.499.011.679.114.19
11.6914.7813.8114.9913.2810.097.829.087.776.786.665.814.610.814.032.14
18.3121.0021.5623.5821.3914.3512.0213.8610.8610.7110.018.747.221.256.483.22
27.8025.2924.1921.1520.8622.3521.4220.8722.4221.6520.5319.7218.6817.2316.9015.58
8.7010.711.699.065.517.265.784.627.881.241.073.251.470.673.924.08
6.288.930.506.914.215.954.623.666.55-0.030.892.690.810.200.093.54

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
2.342.462.262.822.972.672.482.182.311.981.971.902.252.102.321.932.131.941.972.142.692.131.941.752.121.951.822.042.312.051.982.582.912.052.192.282.121.851.812.412.221.941.842.222.061.801.651.871.731.581.571.681.581.351.361.401.431.701.701.751.551.39
0.020.020.020.020.020.020.030.030.030.030.040.040.040.050.050.060.060.060.070.070.070.080.090.100.100.110.120.100.100.100.110.110.100.110.110.110.120.120.130.130.140.140.150.130.140.140.140.150.150.170.170.180.190.180.180.190.190.210.210.220.230.24
0.090.130.130.050.030.120.120.200.190.310.210.260.100.190.110.280.210.260.170.180.110.270.250.390.280.410.310.300.250.410.210.150.180.370.200.260.410.500.310.250.360.470.320.320.350.470.270.420.480.630.410.500.560.750.560.530.560.500.400.460.600.76
18.5518.0919.9024.3623.3620.8620.6020.0521.8018.0320.6322.8922.6422.1522.6018.7119.9520.2320.2819.3920.1219.2316.9316.1315.5616.3314.5816.2816.6816.4017.4016.4114.5411.8616.1314.7115.5114.2214.8214.9716.6613.0816.4116.6216.8213.9717.0117.2216.6514.3715.8713.8815.897.2712.1813.9917.4011.9718.1818.8216.0511.61
5.446.759.4810.509.199.158.928.879.477.977.2112.088.4210.1511.908.987.659.179.938.757.587.636.574.924.946.925.458.176.036.328.137.696.162.547.066.096.185.495.845.865.993.527.286.985.642.036.697.814.602.627.073.502.98-5.534.342.174.87-1.488.427.345.11-0.86
5.446.759.4810.509.199.158.928.879.477.977.2112.088.4210.1511.908.987.659.179.938.757.587.636.574.924.946.925.458.176.036.328.137.696.162.547.066.096.185.495.845.865.993.527.286.985.642.036.697.814.602.627.073.502.98-5.534.342.174.87-1.488.427.345.11-0.86
--------------------------------------------------------------
4.996.218.9110.108.808.618.458.318.897.266.6711.497.869.5111.318.266.868.489.418.076.996.845.954.114.196.024.857.295.255.317.556.984.901.976.655.455.604.825.274.444.922.646.456.074.721.096.046.813.561.476.352.451.53-6.943.601.183.02-2.697.676.182.57-2.43
3.714.966.587.516.266.606.166.156.765.435.238.505.977.078.516.095.026.367.095.935.205.124.453.232.664.222.944.973.343.655.174.583.141.434.323.543.823.113.342.883.262.114.103.833.150.213.854.242.330.944.191.561.33-4.092.310.741.93-1.684.903.763.10-2.19
0.520.550.600.550.550.540.640.570.580.480.590.560.520.530.590.530.500.490.620.550.550.490.620.490.510.480.610.550.510.420.610.590.590.490.670.530.510.460.560.530.510.430.540.470.470.420.530.480.450.390.570.460.470.350.550.400.400.330.520.400.400.33
1.121.061.181.011.040.991.261.050.980.851.121.141.081.071.161.140.950.901.141.121.100.911.230.951.030.921.311.090.920.721.131.261.260.921.261.020.940.790.961.020.920.761.000.930.930.851.061.090.950.741.201.191.090.811.221.091.020.801.211.031.010.80
3.173.593.763.423.223.203.793.313.703.183.893.153.123.223.863.013.593.114.683.603.563.494.053.473.243.113.673.013.112.923.782.932.973.023.872.902.933.143.883.263.633.323.963.503.583.194.692.783.343.754.403.204.263.324.873.113.542.934.433.583.673.11
28.3725.0423.9226.2827.9528.1223.7627.2224.3128.2923.1228.5928.8827.9223.3129.9125.1028.9419.2324.9825.3225.7622.2325.9427.8228.9124.4929.8728.9430.8423.8230.6730.3529.8323.2531.0030.7428.6523.2127.5724.8027.0822.7425.7225.1228.2119.2032.4126.9224.0320.4528.1421.1127.1218.5028.9325.4330.6720.3025.1224.5428.90
3.104.196.246.125.025.386.135.786.254.665.488.445.096.378.155.744.315.547.635.524.434.234.832.982.323.623.364.902.862.795.864.352.901.265.003.203.512.793.712.532.911.674.263.042.590.164.013.611.930.734.771.311.20-3.102.770.601.52-1.074.912.792.39-1.54
3.284.446.646.535.365.756.606.176.675.025.949.215.546.978.906.344.746.108.486.144.894.715.423.392.614.113.854.902.862.805.884.372.911.265.043.233.562.833.782.592.981.724.403.152.690.174.203.792.040.775.091.411.30-3.493.110.671.73-1.074.922.802.40-1.55
1.942.743.964.143.453.533.973.533.892.623.104.733.103.755.003.232.523.134.373.292.882.522.741.591.352.011.782.751.691.543.182.691.860.702.881.871.961.431.881.521.670.902.221.821.490.092.052.031.050.362.390.710.63-1.441.270.300.76-0.562.561.511.22-0.72
3.044.106.115.984.905.255.975.626.084.525.288.084.876.067.745.404.055.207.115.134.103.884.382.682.083.222.964.412.582.515.223.892.601.124.442.843.102.443.232.202.521.433.642.652.240.143.433.081.640.603.951.070.98-2.542.270.481.23-0.843.882.181.84-1.18
27.8027.7426.4924.8425.2925.3023.8623.3524.1922.1020.9819.8921.1520.1321.2919.5620.8621.3120.0520.5522.3521.4620.3019.5121.4220.8119.7819.3420.8720.1019.5020.8722.4221.8821.5522.4321.6521.0020.3621.1020.5319.9719.6220.3519.7219.1419.0919.4118.6818.4818.1317.4917.2317.02--16.90---15.58-
8.705.685.241.8710.716.216.102.641.69-1.081.370.089.066.665.371.785.513.034.711.957.263.724.211.365.782.895.112.054.621.345.493.667.883.617.243.621.24-0.753.382.491.07-0.982.670.673.251.275.170.941.47-1.132.751.140.67-2.550.200.533.911.563.372.254.081.69
6.284.194.311.368.934.875.122.130.50-1.850.89-0.026.915.324.431.264.212.114.151.685.952.673.400.954.622.104.501.803.660.624.903.336.552.506.322.95-0.03-1.732.642.020.89-1.002.820.392.690.784.780.870.81-1.642.370.980.20-2.91-0.090.400.091.012.942.053.541.35