Jefferies Financial Group Financial Ratios for Analysis 2009-2024 | JEF

Fifteen years of historical annual and quarterly financial ratios and margins for Jefferies Financial Group (JEF).

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
2023202220212020201920182017201720162015201420132012201120102009
0.951.051.131.791.771.361.24-0.640.430.722.241.251.431.320.88
0.540.500.500.520.510.480.51-0.500.500.520.510.170.230.180.27
2.391.761.832.041.871.831.96-1.701.982.102.110.260.380.300.45
99.3792.6394.1294.2191.7991.8493.1193.1188.9029.4830.1427.4120.4766.3974.4650.41
19.9029.9536.1027.9612.8111.2520.9920.990.004.103.995.5414.395.1831.82-41.92
19.9029.9536.1027.9615.0513.6223.4723.473.165.165.046.3515.3822.5742.09-19.54
22.3133.1137.9030.2918.3815.4125.0625.065.516.746.267.6917.1837.6050.88-4.52
7.5417.6628.1318.2412.297.8714.8714.87-0.413.283.325.2315.3314.8331.82-41.92
5.6013.0020.8113.1524.6527.164.104.104.152.571.783.549.093.9316195.67
0.080.120.140.110.080.080.09-0.070.240.220.221.010.070.130.09
-------------0.615.27-
---0.890.680.600.75----0.628.731.908.013.51
---412539610485----58541.8119345.59104
2.687.5915.858.1410.022.75-0.35--0.372.362.084.0213.340.5327.3012.16
3.309.1318.9910.2112.543.38-0.47--0.493.152.815.5315.260.6227.4612.30
0.451.532.991.451.950.59-0.08--0.090.530.410.859.650.3620.337.87
1.233.837.903.924.951.42-0.17--0.191.181.001.9611.110.4122.338.82
46.5445.5343.4437.7932.9232.7828.46-28.6728.8628.2227.9127.6725.2628.5617.98
-8.177.065.837.08-2.611.972.132.131.54-2.05-2.642.022.59-2.281.74-0.54
-8.186.185.226.47-3.341.081.871.870.98-2.78-4.111.612.32-2.362.16-0.57

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-09-302018-06-302018-05-312018-03-312018-02-282017-12-312017-11-302017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.030.980.910.951.000.951.071.052.112.211.871.132.172.312.121.791.791.521.631.771.431.371.371.360.570.59-0.68-0.64-0.670.620.640.640.500.440.380.432.302.300.942.561.311.241.321.270.430.360.401.251.641.621.401.432.151.801.07-0.831.051.040.881.431.311.44
0.600.600.560.540.530.510.510.500.490.510.500.500.500.520.520.520.520.520.520.510.500.510.500.480.490.49-0.51-0.51-0.510.520.500.500.500.500.500.500.520.530.520.520.510.530.530.510.500.510.480.170.130.180.180.230.200.180.18-0.250.290.270.270.280.310.40
2.652.772.582.392.282.092.001.761.751.861.911.831.761.851.932.041.952.062.061.871.881.981.981.831.931.85-1.90-1.96-1.861.931.741.701.831.851.841.982.142.202.192.102.082.262.182.112.061.981.750.260.280.290.290.380.330.310.30-0.450.500.430.450.460.530.78
97.7897.7498.0198.0599.8699.7799.8393.6591.8290.2594.3595.1292.1992.6396.1693.9694.8992.9694.7792.1889.9992.7091.92-123.7292.6290.0590.0534.6290.85-176.19-176.1991.6591.8346.54-11.5636.8932.3418.2229.2018.1227.7939.6424.2833.3628.4233.8834.4824.8828.1820.3338.1214.98-7.7123.5789.6161.4186.2465.85-44.8163.2262.40100.0047.7133.4322.90
23.6022.9323.8119.9020.2715.9522.7626.3235.5225.1831.8347.7133.5129.4535.7042.3129.3213.7420.5519.11-0.9520.128.92-28.9625.935.405.404.355.34-33.38-33.384.478.9419.962.419.485.00-13.972.65-10.611.0318.89-0.394.844.796.343.592.663.0614.0636.427.74-16.4814.9497.908.3768.9128.00--31.5727.7618.45157-25.80-45.91-32.55
23.6022.9323.8119.9020.2715.9522.7626.3235.5225.1831.8344.0634.5230.4836.5238.5330.6615.5922.1020.681.8122.2211.70-31.7128.438.078.075.237.74-37.87-37.877.4611.9220.921.7710.345.86-12.863.53-9.322.1519.880.865.825.817.314.463.343.8514.9937.128.69-15.2516.1518422.1472.6038.20--14.7138.6530.5920.44-3.88-34.52-19.21
------------------------------------------------------------------
15.0113.7512.677.297.701.7312.3113.5519.9912.4523.1825.9928.5524.3132.2024.7925.516.5811.3821.021.5516.655.95-15.7823.694.124.123.984.22-27.07-27.072.985.4013.882.349.345.31-14.991.65-11.500.0218.44-0.443.934.135.341.752.243.1315.4038.088.83-15.7014.9487.478.3768.9128.00--31.5727.7618.451.76-25.80-45.91-32.55
9.938.808.615.484.351.1910.419.7512.958.5219.3419.8421.0118.0823.4218.0718.843.918.1517.685.6660.895.41-6.6016.7479.6379.634.6513.9153.8253.8211.596.799.81-3.205.772.18-11.062.23-7.320.5811.96-0.361.822.283.210.290.121.9713.2814.864.81-11.3020.58-20.09-145.6924.733.70-155-81.3173.85-47.17258145-55.93
0.030.030.030.020.020.020.020.030.030.020.030.030.030.030.040.030.030.020.030.020.020.020.02-0.020.020.02-0.05--0.01-0.020.020.06-0.100.060.060.050.050.050.050.060.050.060.060.060.060.060.060.050.330.250.200.27-0.060.020.080.03-0.030.050.040.030.020.050.05
---------------------------------------------------5.325.525.13-0.17-----------
--------0.230.140.20-0.270.240.320.260.320.180.190.190.150.160.11-0.12------0.09---------0.120.140.730.140.160.160.160.17---2.847.044.297.18-1.751.173.902.45-1.831.041.141.180.713.341.58
--------399627440-328375285350280513470467612565785-782.28------966.49---------780651123657577566564515---31.7212.7920.9912.53-51.3177.2523.1136.80-49.2686.1578.8076.4912626.9256.79
1.731.551.660.720.550.091.321.371.891.133.113.153.923.505.963.263.230.471.192.020.496.810.471.341.710.26-1.35--3.61-0.150.192.78-0.651.720.69-2.130.37-1.740.143.49-0.140.560.680.990.140.300.602.937.191.89-3.067.552.12-4.872.690.18-5.48-6.184.29-1.838.0011.10-5.26
2.111.902.040.890.670.111.601.652.311.383.793.784.804.327.414.094.050.581.502.520.618.410.581.652.080.32-1.78--4.76-0.150.253.63-0.653.490.92-2.870.50-2.340.194.67-0.180.760.921.360.190.410.844.028.232.19-3.568.732.47-4.922.720.18-5.53-6.294.36-1.858.1511.34-5.43
0.280.250.270.120.100.020.250.280.350.200.550.590.700.611.020.580.590.090.220.390.101.390.100.290.370.06-0.28--0.78-0.030.040.64-0.150.380.16-0.510.08-0.360.030.72-0.030.110.140.200.030.070.130.645.211.34-2.175.401.41-3.581.990.13-3.59-3.832.81-1.185.156.79-2.74
0.680.620.730.330.260.040.650.690.960.551.541.571.961.672.841.571.540.230.571.000.243.350.240.690.870.13-0.66--1.75-0.070.091.38-0.320.860.35-1.060.19-0.830.071.67-0.070.270.320.470.070.150.301.525.991.65-2.506.181.63-3.922.210.15-4.10-4.393.15-1.335.757.64-3.14
49.2246.9346.5446.5446.4142.2042.0145.5345.2844.6343.9243.4442.3640.8739.6437.7936.4335.0533.8732.9233.5133.9833.3732.7832.1331.70-28.80-28.46-29.8829.7829.4428.6728.4628.4828.2928.8628.7829.2529.2328.2228.3628.1228.0027.9127.7827.5328.5727.6725.3224.9226.2925.2624.6527.8328.27-19.6816.3818.8217.9817.5515.2011.17
-8.66-5.62-5.78-8.17-8.15-5.71-7.337.065.610.04-4.565.830.32-3.62-5.487.084.590.56-2.98-2.61-4.01-4.61-2.461.970.57-1.47-1.47-1.09-1.092.132.132.871.27-0.911.540.88-0.07-2.48-2.05-3.17-4.53-4.57-2.64-3.39-2.98-2.742.022.551.22-0.582.591.060.26-0.17-2.280.090.01-0.070.000.19-0.24-0.29-0.55-0.49-0.25-0.28
-9.47-6.26-6.21-8.18-8.49-5.92-7.436.185.08-0.30-4.665.22-0.11-3.83-5.576.474.070.14-3.18-3.34-4.47-4.92-2.601.08-0.20-2.13-2.13-1.23-1.191.871.872.691.16-0.990.980.36-0.43-2.71-2.78-3.71-4.89-4.73-4.11-4.51-3.41-2.931.612.321.08-0.602.320.870.13-0.24-2.360.03-0.01-0.04-0.09-0.30-0.31-0.58-0.59-0.32-0.31